公司總營業收入爲17190萬美元,同比下降0.3%,原因是拉丁美洲匯款市場增長放緩,尤其是在零售方面。 營業收入受到數字彙款收入增長76.0%和420萬名獨立活躍客戶增長5.0%的積極影響。 The Company's user base generated 15.2 million money transfer transactions, down 0.9% from a year ago. The total principal amount transferred for the period was $6.4 billion.
Net income was $1730萬, an increase of 16.9%. Diluted earnings per share were $0.53, an increase of 29.3%. The increase in Net Income was positively impacted by lower services charges from agent and banks and much lower restructuring charges, as the first phase of the La Nacional restructuring was initiated in the third quarter of 2023. Lower selling, general and administrative expenses also positively impacted net income versus 2023. Diluted earnings per share reflects the effect of higher net income and the reduction in share count as a result of the Company's stock repurchases.
Adjusted net income increased 7.6% to $1980萬, and adjusted diluted earnings per share was $0.61, an increase of 19.6%. Adjusted net income and adjusted diluted EPS were impacted by the items noted above in net income, adjusted for certain items detailed in the reconciliation table below. Adjusted EPS also benefited from a lower share count as a result of the Company's stock repurchases.
本新聞稿包含根據1995年修訂的《私人證券訴訟改革法案》的某些「前瞻性聲明」,這些聲明反映了我們目前對某些可能對我們未來業績產生影響的事件的看法,其中包括但不限於,關於我們的計劃、目標、財務表現、業務策略、運營業績預期、重組舉措以及對公司的期望。 這些前瞻性聲明包括董事會對戰略選擇進行評估,包括在私人交易中探索潛在銷售選擇。 這些聲明可能包括並且可通過諸如「將會」、「應該」、「期望」、「相信」、「預期」、「繼續」、「可能」、「也許」、「計劃」、「可能的」、「潛在的」、「預測」、「項目」、「預測」、「打算」、「假設」、「估計」、「大約」、「應」、「我們的計劃假設」、「未來展望」、「目前」、「目標」、「指導」等詞或短語進行識別(包括這些詞和短語的否定和複數形式)。這些前瞻性聲明在很大程度上基於當前可供我們管理層使用的信息、我們目前的期望、假設、計劃、估計、判斷、關於我們業務和行業以及宏觀經濟狀況的預測,並受各種風險、不確定性、估計、可變因素和其他因素的影響,其中許多因素在我們控制之外,可能導致實際結果與這些前瞻性聲明所表達或暗示的結果存在重大差異,並可能對我們的業務、財務狀況、運營結果、現金流和流動性產生重大不利影響。這些因素包括但不限於:與董事會戰略替代評估過程結果及時間的風險和不確定性,該過程可能隨時暫停或修改;董事會可能決定在評估過程後不採取戰略替代舉措的可能性;由於市場、監管以及其他因素原因,公司無法完成由評估導致的任何擬議的戰略替代;評審過程可能導致公司業務受到干擾的潛在影響;宣佈、暫停或完成評估過程及其結果可能對公司股價產生負面影響;適用法律或法規的變化;與我們的業務、運營以及財務表現有關的因素: 與主要發送代理的業務損失或減少; our ability to effectively compete in the markets in which we operate; economic factors such as inflation, the level of economic activity, recession risks and labor market conditions, as well as volatility in market interest rates; international political factors, including ongoing hostilities in Ukraine and the Middle East, political instability, tariffs, border taxes or restrictions on remittances or transfers from the outbound countries in which we operate or plan to operate; volatility in foreign exchange rates that could affect the volume of consumer remittance activity and/or affect our foreign exchange related gains and losses; public health conditions, responses thereto and the economic and market effects thereof; consumer confidence in our brands and in consumer money transfers generally; expansion into new geographic markets or product markets; our ability to successfully execute, manage, integrate and obtain the anticipated financial benefits of key acquisitions and mergers; new technology or competitors that disrupt the current money transfer and payment ecosystem, including the introduction of new digital platforms; our success in developing, introducing and expanding customer acceptance of new products, digital services and infrastructure; the ability of our risk management and compliance policies, procedures and systems to mitigate risk related to transaction monitoring; consumer fraud and other risks relating to the authenticity of customers’ orders or the improper or illegal use of our services by consumers or sending agents; cybersecurity-attacks or disruptions to our information technology,
computer network systems, data centers and mobile devices apps; our ability to maintain favorable banking and paying agent relationships necessary to conduct our business; bank failures, sustained financial illiquidity, or illiquidity at the clearing, cash management or custodial financial institutions with which we do business; 銀行業監管和業務實踐的變化; 我們面臨來自代理商和與我們開展業務的金融機構的信用風險;我們招聘和留住關鍵人員的能力;我們保持遵守適用法律和監管要求的能力, 包括用於防止我們的匯款服務被用於犯罪活動的法律和相關的數據和網絡安全保護法律,以及相關的新業務倡議的法律;根據適用於匯款服務的法規對我們進行的執法行動和私人訴訟; 移民法律及其執行的變化;我們運營國家的稅法變化;我們保護知識產權的能力;我們滿足債務義務並遵守信用設施要求的能力;我們使用第三方供應商和服務提供商;美國或國際經濟狀況的疲軟; 和其他經濟、商業和/或競爭因素、風險和不確定性,包括我們在向美國證券交易委員會提交的定期報告和其他文件中描述的「風險因素」和其他部分所述的那些。因此,我們警告投資者和其他人不要過分依賴任何前瞻性聲明。任何前瞻性聲明僅於發表該聲明的日期起效,我們不承擔更新任何前瞻性聲明的義務。 報表註釋。