| | |
每台
|
| |
合計
|
| ||||||
首次公開發行價格(1)
|
| | | $ | 5.50 | | | | | $ | 15,400,000 | | |
承銷折扣和佣金(2)
|
| | | $ | 0.385 | | | | | $ | 1,078,000 | | |
未扣除費用的收益給我們
|
| | | $ | 5.115 | | | | | $ | 14,322,000 | | |
|
基準公司
|
| |
Roth Capital Partners
|
|
| | |
第
頁
|
| |||
招股説明書摘要
|
| | | | 1 | | |
產品
|
| | | | 17 | | |
風險因素
|
| | | | 25 | | |
有關前瞻性陳述的警示説明
|
| | | | 54 | | |
使用收益
|
| | | | 56 | | |
股利政策
|
| | | | 57 | | |
組織交易
|
| | | | 58 | | |
大寫
|
| | | | 63 | | |
稀釋
|
| | | | 65 | | |
未經審計的備考合併財務信息
|
| | | | 68 | | |
管理層對財務狀況和經營成果的討論和分析
|
| | | | 75 | | |
業務
|
| | | | 94 | | |
管理
|
| | | | 107 | | |
高管薪酬
|
| | | | 114 | | |
某些關係和關聯人交易
|
| | | | 120 | | |
主要股東
|
| | | | 124 | | |
證券説明
|
| | | | 126 | | |
有資格未來出售的股票
|
| | | | 133 | | |
針對非美國持有者的某些重要美國聯邦所得税考慮事項
|
| | | | 134 | | |
承銷
|
| | | | 143 | | |
法律事務
|
| | | | 150 | | |
專家
|
| | | | 150 | | |
| | |
截至的三個月
|
| ||||||||||||||||||||||||||||||||||||||||||
收入
|
| |
3月31日
2020 |
| |
06月30日
2020 |
| |
9月30日
2020 |
| |
12月31日
2020 |
| |
3月31日
2021 |
| |
06月30日
2021 |
| |
9月30日
2021 |
| | |||||||||||||||||||||||
DDH歷史 | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | ||
買方廣告
|
| | | $ | 1,444,533 | | | | | $ | 1,471,761 | | | | | $ | 1,461,414 | | | | | $ | 5,278,457 | | | | | $ | 4,828,047 | | | | | $ | 9,113,305 | | | | | $ | 6,033,883 | | | | ||
賣方廣告
|
| | | $ | 175,758 | | | | | $ | 537,832 | | | | | $ | 784,710 | | | | | $ | 1,323,054 | | | | | $ | 865,685 | | | | | $ | 2,068,588 | | | | | $ | 2,326,862 | | | | ||
橙色142歷史
|
| | | $ | 5,264,746 | | | | | $ | 6,272,039 | | | | | $ | 6,401,296 | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
| | |
年終了
2020年12月31日 |
| |
截至9個月
2021年9月30日 |
| ||||||||||||||||||||||||
| | |
如報道的那樣
|
| |
形式
用於 收購 橙色142, 有限責任公司 (未經審計) |
| |
形式,即
調整,針對 橙142 收購和 組織 交易記錄 (未經審計) |
| |
據報道
(未經審計) |
| |
形式上,
調整後的 用於 組織 交易 (未經審計) |
| |||||||||||||||
收入 | | | | | | | | | | | | | | | | | |||||||||||||||
買方廣告
|
| | | $ | 9,656,165 | | | | | $ | 27,594,246 | | | | | $ | 27,594,246 | | | | | $ | 19,975,235 | | | | | $ | 19,975,235 | | |
賣方廣告
|
| | | | 2,821,354 | | | | | | 2,821,354 | | | | | | 2,821,354 | | | | | | 5,261,135 | | | | | | 5,261,135 | | |
總收入
|
| | | | 12,477,519 | | | | | | 30,415,600 | | | | | | 30,415,600 | | | | | | 25,236,370 | | | | | | 25,236,370 | | |
收入成本
|
| | | | | | | | | | | | | | | | |||||||||||||||
買方廣告
|
| | | | 4,864,234 | | | | | | 10,131,697 | | | | | | 10,131,697 | | | | | | 7,480,727 | | | | | | 7,480,727 | | |
賣方廣告
|
| | | | 2,440,975 | | | | | | 2,440,975 | | | | | | 2,440,975 | | | | | | 4,348,756 | | | | | | 4,348,756 | | |
收入總成本
|
| | | | 7,305,209 | | | | | | 12,572,672 | | | | | | 12,572,672 | | | | | | 11,829,483 | | | | | | 11,829,483 | | |
毛利
|
| | | | 5,172,310 | | | | | | 17,842,928 | | | | | | 17,842,928 | | | | | | 13,406,887 | | | | | | 13,406,887 | | |
運營費用 | | | | | | | | | | | | | | | | | |||||||||||||||
薪酬、税收和福利
|
| | | | 3,334,060 | | | | | | 7,095,086 | | | | | | 7,095,086 | | | | | | 6,131,930 | | | | | | 6,131,930 | | |
一般和行政
|
| | | | 1,848,407 | | | | | | 4,791,311 | | | | | | 4,791,311 | | | | | | 4,214,229 | | | | | | 4,214,229 | | |
總運營費用
|
| | | | 6,016,874 | | | | | | 11,886,397 | | | | | | 11,886,397 | | | | | | 10,346,159 | | | | | | 10,346,159 | | |
(損失)經營收入
|
| | | | (844,564) | | | | | | 5,956,531 | | | | | | 5,956,531 | | | | | | 3,060,728 | | | | | | 3,060,728 | | |
其他(費用)收入 | | | | | | | | | | | | | | | | | |||||||||||||||
其他收入
|
| | | | 134,776 | | | | | | 146,676 | | | | | | 146,676 | | | | | | 19,186 | | | | | | 19,186 | | |
薪資保護計劃貸款的赦免
|
| | | | 277,100 | | | | | | 277,100 | | | | | | 277,100 | | | | | | 10,000 | | | | | | 10,000 | | |
重新估值和結算賣方票據和收益責任的收益
|
| | | | 401,677 | | | | | | 401,677 | | | | | | 401,677 | | | | | | 21,232 | | | | | | 21,232 | | |
優先單位贖回損失
|
| | | | — | | | | | | — | | | | | | (590,689) | | | | | | — | | | | | | (590,689) | | |
利息支出
|
| | | | (865,055) | | | | | | (2,937,006) | | | | | | (2,937,006) | | | | | | (2,432,567) | | | | | | (2,432,567) | | |
其他(費用)收入合計
|
| | | | (51,502) | | | | | | (2,111,553) | | | | | | (2,702,242) | | | | | | (2,382,149) | | | | | | (2,972,838) | | |
税費
|
| | | | (12,124) | | | | | | (61,095) | | | | | | (61,095) | | | | | | (54,878) | | | | | | (54,878) | | |
淨收益(虧損)
|
| | | $ | (908,190) | | | | | $ | 3,783,883 | | | | | $ | 3,193,194 | | | | | $ | 623,701 | | | | | $ | 33,012 | | |
每普通股/普通股的淨利潤(損失):
|
| | | | | | | | | | | | | | | | |||||||||||||||
基礎版
|
| | | $ | (30.32) | | | | | $ | (92.02) | | | | | $ | 0.23 | | | | | $ | 18.25 | | | | | $ | NM | | |
稀釋
|
| | | $ | (30.32) | | | | | $ | (92.02) | | | | | $ | 0.19 | | | | | $ | 18.25 | | | | | $ | NM | | |
加權平均公用單位/
流通普通股: |
| | | | | | | | | | | | | | | | |||||||||||||||
基本
|
| | | | 29,954 | | | | | | 34,182 | | | | | | 14,178,000 | | | | | | 34,182 | | | | | | 14,178,000 | | |
稀釋的
|
| | | | 29,954 | | | | | | 34,182 | | | | | | 16,978,000 | | | | | | 34,182 | | | | | | 16,978,000 | | |
| | |
截至
2021年9月30日 |
| |||||||||
| | |
實際
(未經審計) |
| |
形式
用於 組織 交易 (未經審計) |
| ||||||
資產 | | | | ||||||||||
當前資產 | | | | ||||||||||
現金和現金等價物
|
| | | $ | 2,603,152 | | | | | $ | 929,916 | | |
應收賬款淨額
|
| | | | 3,903,809 | | | | | | 3,903,809 | | |
預付費用和其他流動資產
|
| | | | 727,075 | | | | | | 727,075 | | |
流動資產總額
|
| | | | 7,234,036 | | | | | | 5,560,800 | | |
商譽
|
| | | | 6,519,636 | | | | | | 6,519,636 | | |
無形資產淨值
|
| | | | 16,080,032 | | | | | | 16,080,032 | | |
遞延融資成本,淨額
|
| | | | 51,775 | | | | | | 51,775 | | |
其他長期資產
|
| | | | 12,948 | | | | | | 12,948 | | |
總資產
|
| | | $ | 29,898,427 | | | | | $ | 28,225,191 | | |
負債和成員股權/股東股權 | | | | | | | | | |||||
流動負債 | | | | | | | | | |||||
應付賬款
|
| | | $ | 3,110,281 | | | | | $ | 3,110,281 | | |
應計負債
|
| | | | 1,510,563 | | | | | | 1,510,563 | | |
應付票據,當前部分
|
| | | | 2,611,685 | | | | | | 2,611,685 | | |
遞延收入
|
| | | | 684,303 | | | | | | 684,303 | | |
關聯方應付款
|
| | | | 69,837 | | | | | | 69,837 | | |
應付賣家票據
|
| | | | — | | | | | | — | | |
賣方應付收入
|
| | | | — | | | | | | — | | |
流動負債總額
|
| | | | 7,986,669 | | | | | | 7,986,669 | | |
應付票據,扣除短期部分和
截至2021年9月30日,遞延融資成本為286,741美元 |
| | | | 9,086,328 | | | | | | 9,086,328 | | |
強制贖回的非參與者
首選單位 |
| | | | 9,913,940 | | | | | | 3,458,378 | | |
授信額度
|
| | | | 407,051 | | | | | | 407,051 | | |
薪資保護計劃貸款
|
| | | | 287,143 | | | | | | 287,143 | | |
經濟傷害災難貸款
|
| | | | 150,000 | | | | | | 150,000 | | |
總負債
|
| | | | 27,831,131 | | | | | | 21,375,569 | | |
成員/股東股票 | | | | | | | | | |||||
截至2021年9月30日批准的單位為1,000,000單位;截至2021年9月30日已發行和未償還的單位為34,182單位
|
| | | | 4,294,241 | | | | | | — | | |
累計虧損
|
| | | | (2,226,945) | | | | | | (2,817,634) | | |
A類普通股,每股面值0.001美元;截至2021年9月30日,實際無授權、已發行或已發行股份;截至2021年9月30日,已授權股份1.6億股,已發行和已發行股份280萬股,預計
|
| | | | — | | | | | | 2,800 | | |
| | |
截至
2021年9月30日 |
| |||||||||
| | |
實際
(未經審計) |
| |
形式
用於 組織 交易 (未經審計) |
| ||||||
B類普通股,每股面值0.001美元;截至2021年9月30日,實際無授權、已發行或已發行股份;截至2021年9月30日,已授權股份20,000,000股,已發行和已發行股份11,378,000股,預計
|
| | | | — | | | | | | 11,378 | | |
新增實收資本
|
| | | | — | | | | | | 9,653,078 | | |
會員/股東權益合計
|
| | | | 2,067,296 | | | | | | 6,849,622 | | |
總負債和成員/股東權益
|
| | | $ | 29,898,427 | | | | | $ | 28,225,191 | | |
|
| | |
截至2019年12月31日止的9個月
9月30日 |
| |
截至本年度的年度業績
12月31日 |
| ||||||||||||||||||
| | |
2021
|
| |
2020
|
| |
2020
|
| |
2019
|
| ||||||||||||
淨收益(虧損)
|
| | | $ | 623,701 | | | | | $ | (380,490) | | | | | $ | (908,190) | | | | | $ | (883,768) | | |
加(減): | | | | | | | | | | | | | | | | | | | | | | | | | |
無形資產攤銷
|
| | | | 1,465,364 | | | | | | — | | | | | | 488,454 | | | | | | — | | |
收購交易成本
|
| | | | — | | | | | | 650,000 | | | | | | 834,407 | | | | | | — | | |
利息支出
|
| | | | 2,432,567 | | | | | | 19,925 | | | | | | 865,055 | | | | | | 57,105 | | |
税費
|
| | | | 54,878 | | | | | | 12,154 | | | | | | 12,124 | | | | | | 39,137 | | |
薪資保護計劃貸款的赦免
|
| | | | (10,000) | | | | | | — | | | | | | (277,100) | | | | | | — | | |
重新估值和結算賣方票據和收益責任的收益
|
| | | | (21,232) | | | | | | (401,677) | | | | | | (401,677) | | | | | | (79,091) | | |
調整後的EBITDA
|
| | | $ | 4,545,278 | | | | | $ | (100,088) | | | | | $ | 613,073 | | | | | $ | (866,617) | | |
| | |
截至2021年9月30日
|
| |||||||||||||||
| | |
實際
(未經審計) |
| |
形式:
組織 交易記錄 不包括 產品 (未經審計) |
| |
形式:
組織 交易記錄 和 產品 (未經審計)(1) |
| |||||||||
現金和現金等價物
|
| | | $ | 2,603,152 | | | | | $ | (11,443,299) | | | | | $ | 929,916 | | |
長期債務
|
| | | | 19,844,462 | | | | | | 13,388,900 | | | | | | 13,388,900 | | |
會員/股東(虧損)權益: | | | | | | | | | | | | | | | | | | | |
直接數字控股有限責任公司會員(虧損)權益
|
| | | | (2,226,945) | | | | | | (2,817,634) | | | | | | (2,817,634) | | |
個單位,授權1,000,000個單位;已發行34,182個單位,未完成
|
| | | | 4,294,241 | | | | | | — | | | | | | — | | |
A類普通股,每股面值0.001美元;無
已授權、已發行和已發行的實際股份;無 已授權、已發行和已發行的股份,形式上; 和160,000,000股授權發行,2,800,000股已發行 和未償還的、形式上的產品 |
| | | | — | | | | | | — | | | | | | 2,800 | | |
B類普通股,每股面值0.001美元;無
已授權、已發行和已發行的實際股份;無 已授權、已發行和已發行的股份,形式上; 和20,000,000股授權發行,11,378,000股已發行 和未償還的、形式上的產品 |
| | | | — | | | | | | — | | | | | | 11,378 | | |
新增實收資本
|
| | | | — | | | | | | 2,705,959 | | | | | | 9,653,078 | | |
會員/股東權益合計
|
| | | | 2,067,296 | | | | | | (111,675) | | | | | | 6,849,622 | | |
總市值
|
| | | $ | 21,911,758 | | | | | $ | 13,277,225 | | | | | $ | 20,238,522 | | |
|
假設每股首次公開募股價格(認股權證沒有任何價值)
|
| | | | | | | | | $ | 5.50 | | |
|
截至2021年9月30日每股預計有形淨賬面價值(虧損)(1)(2)
|
| | | $ | (1.80) | | | |
|
| |||
|
由於新投資者在本次發行中購買股份,調整後的每股有形淨賬面價值(虧損),預計增加(減少)
|
| | | $ | 0.69 | | | | | | | | |
|
本次發行生效後調整後的每股有形淨賬面價值(虧損)的形式
|
| | | | | | | | | $ | (1.11) | | |
|
在此次發行中向新投資者每股攤薄
|
| | | | | | | | | $ | 6.61 | | |
| 分子: | | | | |
|
有形資產賬面價值
|
| |
730萬美元
|
|
|
減去:總負債
|
| |
(2780萬)萬
|
|
|
預計有形賬面淨值(赤字)(A)
|
| |
$(2050萬)
|
|
| 分母: | | | | |
|
在緊接本次發行前和假定贖回後發行的A類普通股
|
| |
11,378,000
|
|
|
預計每股有形賬面淨值(虧損)
|
| |
$(1.80)
|
|
| 分子: | | | | |
|
有形資產賬面價值
|
| |
560萬美元
|
|
|
減去:總負債
|
| |
(2140萬)
|
|
|
預計有形賬面淨值(虧損)
|
| |
$(1580萬)
|
|
| 分母: | | | | |
|
A類普通股在本次發行和贖回後緊隨其後流通股
|
| |
14,178,000
|
|
|
預計每股有形賬面淨值(虧損)
|
| |
$(1.11)
|
|
| | |
A類股份
普通股 購買了 |
| |
總體考慮
|
| |
均價
每台 |
| |||||||||||||||||||||
| | |
編號
|
| |
百分比
|
| |
金額
|
| |
百分比
|
| ||||||||||||||||||
繼續擁有有限責任公司所有者
|
| | | | — | | | | | | —% | | | | | $ | — | | | | | | —% | | | | | $ | — | | |
此次發行的新投資者
|
| | | | 2,800,000 | | | | | | 100 | | | | | | 15,400,000 | | | | | | 100 | | | | | | 5.50 | | |
合計
|
| | | | 2,800,000 | | | | | | 100% | | | | | $ | 15,400,000 | | | | | | 100% | | | | | $ | 5.50 | | |
| | |
年終了
2020年12月31日 |
| |
截至9個月
2021年9月30日 |
| ||||||||||||||||||||||||||||||||||||
| | |
直接數字
控股有限責任公司 |
| |
Orange142,LLC
|
| |
形式
對 的調整 橙子142 收購 (未經審計) |
| |
備註
|
| |
形式,即
調整後,針對 橙子142 收購和 組織 交易 (未經審計) |
| |
直接數字
控股有限責任公司 (未經審計) |
| |
形式
用於 組織 交易記錄 以及 報價 (未經審計) |
| |||||||||||||||||||||
收入 | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |||||
買方廣告
|
| | | $ | 9,656,165 | | | | | $ | 17,938,081 | | | | | $ | — | | | | | | | | | | | $ | 27,594,246 | | | | | $ | 19,975,235 | | | | | $ | 19,975,235 | | |
賣方廣告
|
| | | | 2,821,354 | | | | | | — | | | | | | — | | | | | | | | | | | | 2,821,354 | | | | | | 5,261,135 | | | | | | 5,261,135 | | |
總收入
|
| | | | 12,477,519 | | | | | | 17,938,081 | | | | | | — | | | | | | | | | | | | 30,415,600 | | | | | | 25,236,370 | | | | | | 25,236,370 | | |
收入成本 | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |||||||||||||||
買方廣告
|
| | | | 4,864,234 | | | | | | 5,267,463 | | | | | | — | | | | | | | | | | | | 10,131,697 | | | | | | 7,480,727 | | | | | | 7,480,727 | | |
賣方廣告
|
| | | | 2,440,975 | | | | | | — | | | | | | — | | | | | | | | | | | | 2,440,975 | | | | | | 4,348,756 | | | | | | 4,348,756 | | |
收入總成本
|
| | | | 7,305,209 | | | | | | 5,267,463 | | | | | | — | | | | | | | | | | | | 12,572,672 | | | | | | 11,829,483 | | | | | | 11,829,483 | | |
毛利
|
| | | | 5,172,310 | | | | | | 12,670,618 | | | | | | — | | | | | | | | | | | | 17,842,928 | | | | | | 13,406,887 | | | | | | 13,406,887 | | |
運營費用 | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |||||||||||||||
薪酬、税收和福利
|
| | | | 3,334,060 | | | | | | 4,038,610 | | | | | | (277,584) | | | | | | (1) | | | | | | 7,095,086 | | | | | | 6,131,930 | | | | | | 6,131,930 | | |
一般和行政
|
| | | | 1,848,407 | | | | | | 757,540 | | | | | | 2,185,364 | | | | | | (2),(3) | | | | | | 4,791,311 | | | | | | 4,214,229 | | | | | | 4,214,229 | | |
收購交易
成本 |
| | | | 834,407 | | | | | | — | | | | | | (834,407) | | | | | | (4) | | | | | | — | | | | | | — | | | | | | — | | |
總運營費用
|
| | | | 6,016,874 | | | | | | 4,796,150 | | | | | | 1,073,373 | | | | | | | | | | | | 11,886,397 | | | | | | 10,346,159 | | | | | | 10,346,159 | | |
運營收入(虧損)
|
| | | | (844,564) | | | | | | 7,874,468 | | | | | | (1,073,373) | | | | | | | | | | | | 5,956,531 | | | | | | 3,060,728 | | | | | | 3,060,728 | | |
其他收入(費用) | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |||||
其他收入
|
| | | | 134,776 | | | | | | 11,900 | | | | | | — | | | | | | | | | | | | 146,676 | | | | | | 19,186 | | | | | | 19,186 | | |
薪資保護計劃的赦免
貸款 |
| | | | 277,100 | | | | | | — | | | | | | — | | | | | | | | | | | | 277,100 | | | | | | 10,000 | | | | | | 10,000 | | |
賣方重新估價和結算的收益
票據和收益責任 |
| | | | 401,677 | | | | | | — | | | | | | — | | | | | | | | | | | | 401,677 | | | | | | 21,232 | | | | | | 21,232 | | |
優先單位贖回損失
|
| | | | — | | | | | | — | | | | | | — | | | | | | | | | | | | (590,689) | | | | | | — | | | | | | (590,689) | | |
利息支出
|
| | | | (865,055) | | | | | | — | | | | | | (2,071,951) | | | | | | (5) | | | | | | (2,937,006) | | | | | | (2,432,567) | | | | | | (2,432,567) | | |
其他收入(費用)合計
|
| | | | (51,502) | | | | | | 11,900 | | | | | | (2,071,951) | | | | | | | | | | | | (2,702,242) | | | | | | (2,382,149) | | | | | | (2,972,838) | | |
税費
|
| | | | (12,124) | | | | | | (48,971) | | | | | | — | | | | | | (6) | | | | | | (61,095) | | | | | | (54,878) | | | | | | (54,878) | | |
淨收益(虧損)
|
| | | $ | (908,190) | | | | | $ | 7,837,397 | | | | | $ | (3,145,324) | | | | | | | | | | | $ | 3,193,194 | | | | |
$
|
623,701
|
| | | |
$
|
33,012
|
| |
每普通股/普通股的淨利潤(損失):
|
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |||||
基礎版
|
| | | $ | (30.32) | | | | | $ | 1,853.69 | | | | | $ | (92.02) | | | | | | | | | | | $ | 0.23 | | | | | $ | 18.25 | | | | |
|
NM
|
| |
稀釋後的
|
| | | $ | (30.32) | | | | | $ | 1,853.69 | | | | | $ | (92.02) | | | | | | | | | | | $ | 0.19 | | | | | $ | 18.25 | | | | |
|
NM
|
| |
加權平均普通單位/普通股
未償(7): |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |||||
基礎版
|
| | | | 29,954 | | | | | | 4,228 | | | | | | 34,182 | | | | | | | | | | | | 14,178,000 | | | | | | 34,182 | | | | | | 14,178,000 | | |
稀釋後的
|
| | | | 29,954 | | | | | | 4,228 | | | | | | 34,182 | | | | | | | | | | | | 16,978,000 | | | | | | 34,182 | | | | | | 16,978,000 | | |
| | |
截至2021年9月30日
|
| |||||||||||||||||||||||||||
| | |
實際
(未經審計) |
| |
形式
用於 組織 交易記錄 不包括 產品 (未經審計) |
| |
備註
|
| |
形式
用於 組織 交易記錄 以及 報價 (未經審計) |
| |
備註
|
| |||||||||||||||
資產 | | | | | | | | | | | | | | | | | | | | | | | | | | | |||||
當前資產 | | | | | | | | | | | | | | | | | | | | | | | | | | | |||||
現金和現金等價物
|
| | | $ | 2,603,152 | | | | | $ | 2,603,152 | | | | | | | | | | | $ | 929,916 | | | | | | (1) | | |
應收賬款淨額
|
| | | | 3,903,809 | | | | | | 3,903,809 | | | | | | | | | | | | 3,903,809 | | | | | | | | |
預付費用和其他流動資產
|
| | | | 727,075 | | | | | | 727,075 | | | | | | | | | | | | 727,075 | | | | | | | | |
流動資產總額
|
| | | | 7,234,036 | | | | | | 7,234,036 | | | | | | | | | | | | 5,560,800 | | | | | | | | |
商譽
|
| | | | 6,519,636 | | | | | | 6,519,636 | | | | | | | | | | | | 6,519,636 | | | | | | | | |
無形資產淨值
|
| | | | 16,080,032 | | | | | | 16,080,032 | | | | | | | | | | | | 16,080,032 | | | | | | | | |
遞延融資成本,淨額
|
| | | | 51,775 | | | | | | 51,775 | | | | | | | | | | | | 51,775 | | | | | | | | |
其他長期資產
|
| | | | 12,948 | | | | | | 12,948 | | | | | | | | | | | | 12,948 | | | | | | | | |
總資產
|
| | | $ | 29,898,427 | | | | | $ | 29,898,427 | | | | | | | | | | | $ | 28,225,191 | | | | | | | | |
負債和成員/股東股票
|
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
流動負債 | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
應付賬款
|
| | | $ | 3,110,281 | | | | | $ | 3,110,281 | | | | | | | | | | | $ | 3,110,281 | | | | | | | | |
應計負債
|
| | | | 1,510,563 | | | | | | 15,557,014 | | | | | | (1) | | | | | | 1,510,563 | | | | | | | | |
應付票據本期部分
|
| | | | 2,611,685 | | | | | | 2,611,685 | | | | | | | | | | | | 2,611,685 | | | | | | | | |
遞延收入
|
| | | | 684,303 | | | | | | 684,303 | | | | | | | | | | | | 684,303 | | | | | | | | |
關聯方應付款
|
| | | | 69,837 | | | | | | 69,837 | | | | | | | | | | | | 69,837 | | | | | | | | |
應付賣方票據
|
| | | | — | | | | | | — | | | | | | | | | | | | — | | | | | | | | |
賣方應付分紅
|
| | | | — | | | | | | — | | | | | | | | | | | | — | | | | | | | | |
流動負債總額
|
| | | | 7,986,669 | | | | | | 22,033,120 | | | | | | | | | | | | 7,986,669 | | | | | | | | |
應付票據,扣除短期部分和延期的286,741美元
截至2021年9月30日的融資成本 |
| | | | 9,086,328 | | | | | | 9,086,328 | | | | | | | | | | | | 9,086,328 | | | | | | | | |
可強制贖回的非參股優先股
|
| | | | 9,913,940 | | | | | | 3,458,378 | | | | | | (2) | | | | | | 3,458,378 | | | | | | | | |
授信額度
|
| | | | 407,051 | | | | | | 407,051 | | | | | | | | | | | | 407,051 | | | | | | | | |
支付寶保障計劃貸款
|
| | | | 287,143 | | | | | | 287,143 | | | | | | | | | | | | 287,143 | | | | | | | | |
經濟傷害災難貸款
|
| | | | 150,000 | | | | | | 150,000 | | | | | | | | | | | | 150,000 | | | | | | | | |
總負債
|
| | | | 27,831,131 | | | | | | 35,422,020 | | | | | | | | | | | | 21,375,569 | | | | | | | | |
會員/股東權益(虧損) | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
單位,截至2021年9月30日授權1,000,000單位;34,182
截至2021年9月30日已發行和未償還的單位 |
| | | | 4,294,241 | | | | | | — | | | | | | (3) | | | | | | — | | | | | | | | |
A類普通股,每股票面價值0.001美元;截至2021年9月30日,無授權、已發行和已發行股份;截至2021年9月30日,已授權股份1.6億股,已發行和已發行股份280萬股,預計
|
| | | | — | | | | | | — | | | | | | | | | | | | 2,800 | | | | | | (4) | | |
B類普通股,每股票面價值0.001美元;截至2021年9月30日,無授權、已發行和已發行股份;截至2021年9月30日,已授權股份20,000,000股,已發行和已發行股份11,378,000股,預計
|
| | | | — | | | | | | — | | | | | | | | | | | | 11,378 | | | | | | (4) | | |
新增實收資本
|
| | | | — | | | | | | (2,705,959) | | | | | | (5) | | | | | | 9,653,078 | | | | | | (5) | | |
累計虧損
|
| | | | (2,226,945) | | | | | | (2,817,634) | | | | | | (2) | | | | | | (2,817,634) | | | | | | | | |
會員/股東權益合計(虧損)
|
| | | | 2,067,296 | | | | | | (5,523,593) | | | | | | | | | | | | 6,849,622 | | | | | | | | |
總負債和成員/股東權益(赤字)
|
| | | $ | 29,898,427 | | | | | $ | 29,898,427 | | | | | | | | | | | $ | 28,225,191 | | | | | | | | |
子公司
|
| |
當前%
所有權 |
| |
廣告
解決方案和 細分市場 |
| |
成立日期
|
| |
收購日期
|
| ||||||
擠成一團的LLC
|
| | | | 100% | | | | | | 買方 | | | |
2012年11月13日
|
| |
2018年6月21日
|
|
巨人傳媒有限責任公司
|
| | | | 100% | | | | | | 賣方 | | | |
2017年9月8日
|
| |
2018年6月21日
|
|
Orange142,LLC
|
| | | | 100% | | | | | | 買方 | | | | 2013年3月6日 | | |
2020年9月30日
|
|
| | |
截至2013年12月31日的年度
|
| |
更改
|
| ||||||||||||||||||
| | |
2020
|
| |
2019
|
| |
金額
|
| |
Pcnt
|
| ||||||||||||
收入 | | | | | | ||||||||||||||||||||
買方廣告
|
| | | $ | 9,656,165 | | | | | $ | 5,472,485 | | | | | $ | 4,183,680 | | | | | | 76% | | |
賣方廣告
|
| | | | 2,821,354 | | | | | | 798,622 | | | | | | 2,022,732 | | | | | | 253% | | |
總收入
|
| | | | 12,477,519 | | | | | | 6,271,107 | | | | | | 6,206,412 | | | | | | 99% | | |
收入成本 | | | | | | ||||||||||||||||||||
買方廣告
|
| | | | 4,864,234 | | | | | | 3,720,594 | | | | | | 1,143,640 | | | | | | 31% | | |
賣方廣告
|
| | | | 2,440,975 | | | | | | 816,083 | | | | | | 1,624,892 | | | | | | 199% | | |
收入總成本
|
| | | | 7,305,209 | | | | | | 4,536,677 | | | | | | 2,768,532 | | | | | | 61% | | |
毛利
|
| | | | 5,172,310 | | | | | | 1,734,430 | | | | | | 3,437,880 | | | | | | 198% | | |
運營費用
|
| | | | 6,016,874 | | | | | | 2,606,898 | | | | | | 3,409,976 | | | | | | 130% | | |
運營虧損
|
| | | | (844,564) | | | | | | (872,468) | | | | | | 27,904 | | | | | | 3% | | |
其他(費用)收入
|
| | | | (51,502) | | | | | | 27,837 | | | | | | (79,339) | | | | | | -285% | | |
税費
|
| | | | (12,124) | | | | | | (39,137) | | | | | | 27,012 | | | | | | 69% | | |
淨虧損
|
| | | $ | (908,190) | | | | | $ | (883,768) | | | | | $ | (24,422) | | | | | | -3% | | |
調整後的EBITDA(1)
|
| | | $ | 613,074 | | | | | $ | (866,617) | | | | | $ | 1,479,690 | | | | | | 171% | | |
| | |
截至2013年12月31日的年度
|
| |
更改
|
| ||||||||||||||||||
| | |
2020
|
| |
2019
|
| |
金額
|
| |
Pcnt
|
| ||||||||||||
運營費用 | | | | | | | | | | | | | | | | | | | | | | | | | |
薪酬、税收和福利
|
| | | $ | 3,334,060 | | | | | $ | 1,613,692 | | | | | $ | 1,720,368 | | | | | | 107% | | |
一般和行政
|
| | | | 1,848,407 | | | | | | 993,206 | | | | | | 855,201 | | | | | | 86% | | |
收購交易成本
|
| | | | 834,407 | | | | | | — | | | | | | 834,407 | | | | | | NM | | |
總運營費用
|
| | | $ | 6,016,874 | | | | | $ | 2,606,898 | | | | | $ | 3,409,976 | | | | | | 131% | | |
| | |
截至2013年12月31日的年度
|
| |
更改
|
| ||||||||||||||||||
| | |
2020
|
| |
2019
|
| |
金額
|
| |
Pcnt
|
| ||||||||||||
其他(費用)收入 | | | | | | | | | | | | | | | | | | | | | | | | | |
其他收入
|
| | | $ | 134,776 | | | | | $ | 5,851 | | | | | $ | 128,925 | | | | | | NM | | |
免除購買力平價貸款
|
| | | | 277,100 | | | | | | — | | | | | | 277,100 | | | | | | NM | | |
重估和結算賣方票據和溢價負債的收益
|
| | | | 401,677 | | | | | | 79,091 | | | | | | 322,586 | | | | | | 408% | | |
利息支出
|
| | | | (865,055) | | | | | | (57,105) | | | | | | (807,950) | | | | | | NM | | |
其他(費用)收入合計
|
| | | $ | (51,502) | | | | | $ | 27,837 | | | | | $ | (79,339) | | | | | | -285% | | |
| | |
截至9月30日的9個月
|
| |
更改
|
| ||||||||||||||||||
| | |
2021
|
| |
2020
|
| |
金額
|
| |
Pcnt
|
| ||||||||||||
收入 | | | | | | ||||||||||||||||||||
買方廣告
|
| | | $ | 19,975,235 | | | | | $ | 4,377,708 | | | | | $ | 15,597,527 | | | | | | 356% | | |
賣方廣告
|
| | | | 5,261,135 | | | | | | 1,498,300 | | | | | | 3,762,835 | | | | | | 251% | | |
總收入
|
| | | | 25,236,370 | | | | | | 5,876,008 | | | | | | 19,360,362 | | | | | | 329% | | |
收入成本 | | | | | | ||||||||||||||||||||
買方廣告
|
| | | | 7,480,727 | | | | | | 2,836,035 | | | | | | 4,644,692 | | | | | | 164% | | |
賣方廣告
|
| | | | 4,348,756 | | | | | | 1,350,083 | | | | | | 2,998,673 | | | | | | 222% | | |
收入總成本
|
| | | | 11,829,483 | | | | | | 4,186,118 | | | | | | 7,643,365 | | | | | | 183% | | |
毛利
|
| | | | 13,406,887 | | | | | | 1,689,890 | | | | | | 11,716,997 | | | | | | 693% | | |
運營費用
|
| | | | 10,346,159 | | | | | | 2,574,739 | | | | | | 7,771,420 | | | | | | 302% | | |
運營收入(虧損)
|
| | | | 3,060,728 | | | | | | (884,849) | | | | | | 3,945,577 | | | | | | 446% | | |
其他(費用)收入
|
| | | | (2,382,149) | | | | | | 516,513 | | | | | | (2,898,662) | | | | | | -561% | | |
税費
|
| | | | (54,878) | | | | | | (12,154) | | | | | | (42,724) | | | | | | -352% | | |
淨收益(虧損)
|
| | | $ | 623,701 | | | | | $ | (380,490) | | | | | $ | 1,004,191 | | | | | | 264% | | |
調整後的EBITDA(1)
|
| | | $ | 4,545,278 | | | | | $ | (100,088) | | | | | $ | 4,645,366 | | | | | | 464% | | |
| | |
截至9月30日的9個月
|
| |
更改
|
| ||||||||||||||||||
| | |
2021
|
| |
2020
|
| |
金額
|
| |
Pcnt
|
| ||||||||||||
運營費用 | | | | | | | | | | | | | | | | | | | | | | | | | |
薪酬、税收和福利
|
| | | $ | 6,131,930 | | | | | $ | 1,324,196 | | | | | $ | 4,807,734 | | | | | | 363% | | |
一般和行政
|
| | | | 4,214,229 | | | | | | 600,543 | | | | | | 3,613,686 | | | | | | 602% | | |
收購交易成本
|
| | | | — | | | | | | 650,000 | | | | | | (650,000) | | | | | | NM | | |
總運營費用
|
| | | $ | 10,346,159 | | | | | $ | 2,574,739 | | | | | $ | 7,771,420 | | | | | | 302% | | |
| | |
截至9月30日的9個月 |
| |
更改
|
| ||||||||||||||||||
| | |
2021
|
| |
2020
|
| |
金額
|
| |
Pcnt
|
| ||||||||||||
其他收入
|
| | | $ | 19,186 | | | | | $ | 134,761 | | | | | $ | (115,575) | | | | | | -86% | | |
免除購買力平價貸款
|
| | | | 10,000 | | | | | | — | | | | | | 10,000 | | | | | | NM | | |
重估和結算賣方票據和溢價負債的收益
|
| | | | 21,232 | | | | | | 401,677 | | | | | | (380,445) | | | | | | -95% | | |
利息支出
|
| | | | (2,432,567) | | | | | | (19,925) | | | | | | (2,412,642) | | | | | | NM% | | |
其他(費用)收入合計
|
| | | $ | (2,382,149) | | | | | $ | 516,513 | | | | | $ | (2,898,662) | | | | | | -561% | | |
| | |
2021年9月30日
|
| |
2020年12月31日
|
| |
2019年12月31日
|
| |||||||||
現金和現金等價物
|
| | | $ | 2,603,152 | | | | | $ | 1,611,998 | | | | | $ | 882,292 | | |
工作不足
|
| | | $ | (752,633) | | | | | $ | (117,779) | | | | | $ | (2,332,508) | | |
循環信貸安排下的可用性
|
| | | $ | 592,949 | | | | | $ | 592,949 | | | | | $ | — | | |
| | |
截至9月30日的9個月
|
| |
截至2013年12月31日的年度
|
| ||||||||||||||||||
| | |
2021
|
| |
2020
|
| |
2020
|
| |
2019
|
| ||||||||||||
經營活動提供(使用)的現金淨額
|
| | | $ | 3,204,641 | | | | | $ | (952,134) | | | | | $ | (574,527) | | | | | $ | 210,243 | | |
投資活動中使用的淨現金
|
| | | | — | | | | | | (10,985,849) | | | | | | (10,985,849) | | | | | | — | | |
融資活動提供的現金淨額(用於)
|
| | | | (2,213,487) | | | | | | 13,190,632 | | | | | | 12,290,082 | | | | | | 43,001 | | |
現金和現金等價物淨增長
|
| | | $ | 991,154 | | | | | $ | 1,252,649 | | | | | $ | 729,706 | | | | | $ | 253,244 | | |
|
支付給賣家的現金
|
| | | $ | 12,000,000 | | |
|
會員單位發放
|
| | | | 4,294,041 | | |
|
可強制贖回的單位
|
| | | | 9,913,940 | | |
|
總購買考量
|
| | | $ | 26,207,981 | | |
|
支付給賣家的現金
|
| | | $ | 12,000,000 | | |
|
現金收購
|
| | | | (1,014,151) | | |
|
收購中使用的淨現金
|
| | | $ | 10,985,849 | | |
| 收購資產的公允價值: | | | |||||
|
現金和現金等價物
|
| | | $ | 1,014,151 | | |
|
應收賬款
|
| | | | 4,590,945 | | |
|
預付費用和其他流動資產
|
| | | | 148,717 | | |
|
其他資產
|
| | | | 9,618 | | |
|
無形資產
|
| | | | 18,033,850 | | |
|
商譽
|
| | | | 4,095,700 | | |
|
收購的總資產
|
| | | $ | 27,892,981 | | |
| 假設負債的公允價值: | | | |||||
|
應付賬款
|
| | | $ | 683,521 | | |
|
應計負債
|
| | | | 244,165 | | |
|
遞延收入
|
| | | | 757,314 | | |
|
承擔的總負債
|
| | | $ | 1,685,000 | | |
|
淨資產公允價值總額
|
| | | $ | 26,207,981 | | |
|
2021
|
| | | $ | 143,211 | | |
|
2022
|
| | | | 121,651 | | |
|
2023
|
| | | | 90,138 | | |
| | | | | $ | 355,000 | | |
|
2021
|
| | | $ | 36,638 | | |
|
2022
|
| | | | 121,651 | | |
|
2023
|
| | | | 90,138 | | |
| | | | | $ | 248,427 | | |
名稱
|
| |
年齡
|
| |
職位
|
|
馬克·沃克 | | |
46
|
| | 董事長兼首席執行官 | |
基思·史密斯 | | |
53
|
| | 總裁和董事 | |
蘇珊·埃查德 | | |
57
|
| | 首席財務官 | |
Anu Pillai | | |
51
|
| | 首席技術官 | |
理查德·科恩 | | |
70
|
| | 獨立董事 | |
Antoinette R.Leatherberry | | |
60
|
| | 獨立董事 | |
姓名和主要職務
|
| |
財政
年 |
| |
工資($)
|
| |
所有其他
薪酬 ($)(1) |
| |
總計($)
|
|
馬克·沃克
|
| |
2021
|
| |
456,923
|
| |
66,863
|
| |
523,786
|
|
董事長兼首席執行官
|
| | | | | | | | | | | | |
基思·史密斯
|
| |
2021
|
| |
456,923
|
| |
99,624
|
| |
556,547
|
|
總裁兼臨時首席財務官
|
| | | | | | | | | | | | |
蘇珊·埃查德(2)
|
| |
2021
|
| |
—
|
| |
—
|
| |
—
|
|
首席財務官
|
| | | | | | | | | | | | |
名稱
|
| |
生活
保險 保費 |
| |
Ins.
保費 |
|
馬克·沃克
|
| |
—
|
| |
66,863
|
|
基思·史密斯
|
| |
25,155
|
| |
74,469
|
|
蘇珊·埃查德
|
| |
—
|
| |
—
|
|
| | |
A類普通股股份
實益擁有的 |
| |
B類普通股股份
實益擁有的 |
| |
總投票權受益
擁有 |
| |||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||||
|
給予後
對 的影響 組織 交易記錄 和 之前的 提供服務 |
| |
給予後
對 的影響 組織 交易 在 之後 提供服務 |
| |
給予後
對 的影響 組織 交易 在 之前 提供服務 |
| |
給予後
對 的影響 組織 交易 在 之後 提供服務 |
| |
給予後
對 的影響 組織 交易 在 之前 提供服務 |
| |
給予後
對 的影響 組織 交易 在 之後 提供服務 |
| ||||||||||||||||||||||||||||||||||||||||||||||||||||||||
|
不。
|
| |
百分比
|
| |
不。
|
| |
百分比
|
| |
不。
|
| |
百分比
|
| |
不。
|
| |
百分比
|
| |
不。
|
| |
百分比
|
| |
不。
|
| |
百分比
|
| ||||||||||||||||||||||||||||||||||||||
5%股東
|
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
直接數字管理有限責任公司(1)
|
| | | | — | | | | | | — | | | | | | — | | | | | | — | | | | | | — | | | | | | —% | | | | | | 11,378,000 | | | | | | 100% | | | | | | — | | | | | | —% | | | | | | 11,378,000 | | | | | | 80.3% | | |
指定執行官和董事
|
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | |
馬克·沃克(2)
|
| | | | — | | | | | | —% | | | | | | — | | | | | | —% | | | | | | — | | | | | | — | | | | | | 5,689,000 | | | | | | 50.0% | | | | | | — | | | | | | —% | | | | | | 5,689,000 | | | | | | 40.1% | | |
基思·史密斯(2)
|
| | | | — | | | | | | —% | | | | | | — | | | | | | —% | | | | | | — | | | | | | — | | | | | | 5,689,000 | | | | | | 50.0% | | | | | | — | | | | | | —% | | | | | | 5,689,000 | | | | | | 40.1% | | |
蘇珊·埃查德
|
| | | | — | | | | | | —% | | | | | | — | | | | | | —% | | | | | | — | | | | | | — | | | | | | — | | | | | | — | | | | | | — | | | | | | —% | | | | | | — | | | | | | —% | | |
Anu Pillai
|
| | | | — | | | | | | —% | | | | | | — | | | | | | —% | | | | | | — | | | | | | — | | | | | | — | | | | | | — | | | | | | — | | | | | | —% | | | | | | — | | | | | | —% | | |
理查德·科恩
|
| | | | — | | | | | | —% | | | | | | — | | | | | | —% | | | | | | — | | | | | | — | | | | | | — | | | | | | — | | | | | | — | | | | | | —% | | | | | | — | | | | | | —% | | |
Antoinette R.Leatherberry
|
| | | | — | | | | | | —% | | | | | | — | | | | | | —% | | | | | | — | | | | | | — | | | | | | — | | | | | | — | | | | | | — | | | | | | —% | | | | | | — | | | | | | —% | | |
全體高管和董事(6人)(3)
|
| | | | — | | | | | | —% | | | | | | — | | | | | | —% | | | | | | — | | | | | | — | | | | | | 11,378,000 | | | | | | 100% | | | | | | — | | | | | | —% | | | | | | 11,378,000 | | | | | | 80.3% | | |
承銷商
|
| |
編號
個單位 |
| |||
The Benchmark Company,LLC
|
| | | | 1,400,000 | | |
Roth Capital Partners,LLC
|
| | | | 1,400,000 | | |
合計
|
| | | | 2,800,000 | | |
| | |
每台
|
| |
總計
否 結束- 分配 |
| |
總計
結束- 分配 |
| |||||||||
承保折扣由我們支付
|
| | | | 0.385 | | | | | | 1,078,000 | | | | | | 1,239,700 | | |
| | |
第
頁
|
|
經審計的Direct Digital Holdings,Inc.財務報表 | | | | |
獨立註冊會計師事務所報告
|
| |
F-4
|
|
截至2021年8月26日的資產負債表
|
| |
F-5
|
|
財務報表附註
|
| |
F-6
|
|
經審計的Direct Digital Holdings LLC合併財務報表 | | | | |
獨立註冊會計師事務所報告
|
| |
F-9
|
|
截至2020年12月31日和2019年12月31日的綜合資產負債表
|
| |
F-10
|
|
截至2020年12月31日止年度的綜合經營報表和
2019 |
| |
F-11
|
|
截至2020年12月31日和2019年12月31日止年度會員權益變動綜合報表
|
| |
F-12
|
|
截至2020年12月31日和2019年12月31日止年度的合併現金流量表
|
| |
F-13
|
|
經審計的合併財務報表附註
|
| |
F-14
|
|
Direct Digital Holdings LLC未經審計的合併財務報表 | | | | |
截至2021年9月30日和2020年12月31日的合併資產負債表
|
| |
F-34
|
|
截至2021年9月30日和2020年9月30日的9個月綜合經營報表
|
| |
F-35
|
|
截至2021年9月30日和2020年9月30日的9個月會員權益變動綜合報表
|
| |
F-36
|
|
截至2021年9月30日和2020年9月30日的9個月現金流量表
|
| |
F-37
|
|
合併財務報表附註
|
| |
F-38
|
|
Orange142有限責任公司經審計的合併財務報表 | | | ||
截至2019年12月31日和2018年12月31日的資產負債表
|
| |
F-59
|
|
截至2019年12月31日和2018年12月31日止年度的營運報表
|
| |
F-60
|
|
截至2019年12月31日的年度會員權益變動報表和
2018 |
| |
F-60
|
|
截至2019年12月31日和2018年12月31日的部分年度現金流量表
|
| |
F-61
|
|
Orange142,LLC未經審計的合併財務報表 | | | | |
截至2020年9月30日的資產負債表
|
| |
F-69
|
|
截至2020年9月30日的9個月的運營報表
|
| |
F-70
|
|
截至2020年9月30日止九個月股東權益變動表
|
| |
F-71
|
|
截至2020年9月30日的九個月現金流量表
|
| |
F-72
|
|
| | |
第
頁
|
| |||
獨立註冊會計師事務所報告
|
| | | | F-4 | | |
財務報表 | | | | | | | |
資產負債表
|
| | | | F-5 | | |
財務報表註釋
|
| | | | F-6 | | |
| 資產: | | | | | | | |
|
現金
|
| | | $ | 200 | | |
|
總資產
|
| | | $ | 200 | | |
| 承付款和或有事項 | | | | | | | |
| 股東權益: | | | | | | | |
|
普通股,每股面值0美元,授權、已發行和已發行股票1,000股
|
| | | $ | — | | |
|
新增實收資本
|
| | | | 200 | | |
|
總股東權益
|
| | | $ | 200 | | |
| | |
第
頁
|
| |||
獨立註冊會計師事務所報告
|
| | | | F-9 | | |
合併財務報表 | | | | | | | |
合併資產負債表
|
| | | | F-10 | | |
合併業務報表
|
| | | | F-11 | | |
股東權益(赤字)合併變動表
|
| | | | F-12 | | |
現金流量表合併報表
|
| | | | F-13 | | |
合併財務報表附註
|
| | | | F-14 | | |
| | |
12月31日
|
| |||||||||
| | |
2020
|
| |
2019
|
| ||||||
資產 | | | | | | | | | | | | | |
當前資產 | | | | | | | | | | | | | |
現金和現金等價物
|
| | | $ | 1,611,998 | | | | | $ | 882,292 | | |
應收賬款
|
| | | | 4,679,376 | | | | | | 834,071 | | |
預付費用和其他流動資產
|
| | | | 223,344 | | | | | | 67,535 | | |
流動資產總額
|
| | | | 6,514,718 | | | | | | 1,783,898 | | |
商譽
|
| | | | 6,519,636 | | | | | | 2,423,936 | | |
無形資產淨值
|
| | | | 17,545,396 | | | | | | − | | |
遞延融資成本,淨額
|
| | | | 90,607 | | | | | | − | | |
其他長期資產
|
| | | | 25,118 | | | | | | 15,500 | | |
總資產
|
| | | $ | 30,695,475 | | | | | $ | 4,223,334 | | |
負債和會員權益 | | | | | | | | | | | | | |
流動負債 | | | | | | | | | | | | | |
應付賬款
|
| | | $ | 3,263,326 | | | | | $ | 3,096,495 | | |
應計負債
|
| | | | 1,392,520 | | | | | | 608,324 | | |
應付票據本期部分
|
| | | | 1,206,750 | | | | | | − | | |
遞延收入
|
| | | | 308,682 | | | | | | 41,945 | | |
關聯方應付款(注7)
|
| | | | 70,801 | | | | | | − | | |
應付賣家票據
|
| | | | 315,509 | | | | | | − | | |
賣方應付收入
|
| | | | 74,909 | | | | | | 369,642 | | |
流動負債總額
|
| | | | 6,632,497 | | | | | | 4,116,406 | | |
應付票據,扣除短期部分和501,796美元遞延融資成本
|
| | | | 11,213,697 | | | | | | − | | |
可強制贖回的非參股優先股
|
| | | | 9,913,940 | | | | | | − | | |
授信額度
|
| | | | 407,051 | | | | | | 727,000 | | |
應付賣家票據
|
| | | | − | | | | | | 526,403 | | |
賣方應付收入,扣除短期部分
|
| | | | − | | | | | | 124,367 | | |
支付寶保障計劃貸款
|
| | | | 10,000 | | | | | | − | | |
經濟傷害災難貸款
|
| | | | 150,000 | | | | | | − | | |
總負債
|
| | | | 28,327,185 | | | | | | 5,494,176 | | |
承諾和連續性(注8) | | | | | | | | | | | | | |
成員股權(赤字) | | | | | | | | | | | | | |
2020年和2019年12月31日已授權1,000,000個單位,截至2020年和2019年12月31日已發行和未償還的單位分別為34,182個和28,545個
|
| | | | 4,294,241 | | | | | | 200 | | |
應收會員款項(注7)
|
| | | | − | | | | | | (370,789) | | |
累計虧損
|
| | | | (1,925,951) | | | | | | (900,253) | | |
成員權益總額(赤字)
|
| | | | 2,368,290 | | | | | | (1,270,842) | | |
負債總額和成員權益(赤字)
|
| | | $ | 30,695,475 | | | | | $ | 4,223,334 | | |
| | |
12月31日
|
| |||||||||
| | |
2020
|
| |
2019
|
| ||||||
收入 | | | | | | | | | | | | | |
買方廣告
|
| | | $ | 9,656,165 | | | | | $ | 5,472,485 | | |
賣方廣告
|
| | | | 2,821,354 | | | | | | 798,622 | | |
總收入
|
| | | | 12,477,519 | | | | | | 6,271,107 | | |
收入成本 | | | | | | | | | | | | | |
買方廣告
|
| | | | 4,864,234 | | | | | | 3,720,594 | | |
賣方廣告
|
| | | | 2,440,975 | | | | | | 816,083 | | |
收入總成本
|
| | | | 7,305,209 | | | | | | 4,536,677 | | |
毛利
|
| | | | 5,172,310 | | | | | | 1,734,430 | | |
運營費用 | | | | | | | | | | | | | |
薪酬、税收和福利
|
| | | | 3,334,060 | | | | | | 1,613,692 | | |
一般和行政
|
| | | | 1,848,407 | | | | | | 993,206 | | |
收購交易成本
|
| | | | 834,407 | | | | | | − | | |
總運營費用
|
| | | | 6,016,874 | | | | | | 2,606,898 | | |
運營虧損
|
| | | | (844,564) | | | | | | (872,468) | | |
其他(費用)收入 | | | | | | | | | | | | | |
其他收入
|
| | | | 134,776 | | | | | | 5,851 | | |
薪資保護計劃貸款的赦免
|
| | | | 277,100 | | | | | | − | | |
重估和結算賣方票據和溢價負債的收益
|
| | | | 401,677 | | | | | | 79,091 | | |
利息支出
|
| | | | (865,055) | | | | | | (57,105) | | |
其他(費用)收入合計
|
| | | | (51,502) | | | | | | 27,837 | | |
税費
|
| | | | (12,124) | | | | | | (39,137) | | |
淨虧損
|
| | | $ | (908,190) | | | | | $ | (883,768) | | |
每公用單位淨損失: | | | | | | | | | | | | | |
基本和稀釋
|
| | | $ | (30.32) | | | | | $ | (30.96) | | |
未完成的加權平均公用單位: | | | | | | | | | | | | | |
基本和稀釋
|
| | | | 29,954 | | | | | | 28,545 | | |
| | |
常用部件
|
| |
應收賬款
來自 成員 |
| |
累計
股權(赤字) |
| |
成員‘
股權(赤字) |
| ||||||||||||||||||
| | |
個單位
|
| |
金額
|
| ||||||||||||||||||||||||
餘額,2019年1月1日
|
| | | | 28,545 | | | | | $ | 200 | | | | | $ | (58,500) | | | | | $ | 5,515 | | | | | $ | (52,785) | | |
向會員預付款
|
| | | | − | | | | | | − | | | | | | (312,289) | | | | | | − | | | | | | (312,289) | | |
分發給成員
|
| | | | − | | | | | | − | | | | | | − | | | | | | (22,000) | | | | | | (22,000) | | |
淨虧損
|
| | | | − | | | | | | − | | | | | | − | | | | | | (883,768) | | | | | | (883,768) | | |
Balance,2019年12月31日
|
| | | | 28,545 | | | | | | 200 | | | | | | (370,789) | | | | | | (900,253) | | | | | | (1,270,842) | | |
會員收據
|
| | | | − | | | | | | − | | | | | | 370,789 | | | | | | − | | | | | | 370,789 | | |
分發給會員
|
| | | | − | | | | | | − | | | | | | − | | | | | | (117,508) | | | | | | (117,508) | | |
為收購Orange 142,LLC而發行的股份
|
| | | | 5,637 | | | | | | 4,294,041 | | | | | | − | | | | | | − | | | | | | 4,294,041 | | |
淨虧損
|
| | | | | | | | | | | | | | | | | | | | | | (908,190) | | | | | | (908,190) | | |
平衡,2020年12月31日
|
| | | | 34,182 | | | | | $ | 4,294,241 | | | | | $ | − | | | | | $ | (1,925,951) | | | | | $ | 2,368,290 | | |
| | |
12月31日
|
| |||||||||
| | |
2020
|
| |
2019
|
| ||||||
運營活動提供的現金流(使用): | | | | | | | | | | | | | |
淨虧損
|
| | | $ | (908,190) | | | | | $ | (883,768) | | |
將淨虧損與經營活動提供的淨現金(使用)進行調節的調整:
|
| | | | | | | | | | | | |
遞延融資成本攤銷
|
| | | | 84,629 | | | | | | − | | |
無形資產攤銷
|
| | | | 488,454 | | | | | | − | | |
薪資保護計劃貸款的赦免
|
| | | | (277,100) | | | | | | − | | |
實物支付利息
|
| | | | 97,243 | | | | | | − | | |
重新評估和結算收益負債的收益
|
| | | | (401,677) | | | | | | (79,091) | | |
壞賬支出
|
| | | | 8,086 | | | | | | 109,777 | | |
經營性資產和負債變動:
|
| | | | | | | | | | | | |
應收賬款
|
| | | | 737,554 | | | | | | 390,986 | | |
預付費用和其他流動資產
|
| | | | (7,093) | | | | | | 965 | | |
應付賬款
|
| | | | (516,690) | | | | | | 352,210 | | |
應計負債
|
| | | | 540,033 | | | | | | 280,375 | | |
遞延收入
|
| | | | (490,577) | | | | | | 38,789 | | |
關聯方應付
|
| | | | 70,801 | | | | | | − | | |
經營活動提供的現金淨額(用於)
|
| | | | (574,527) | | | | | | 210,243 | | |
投資活動中使用的現金流: | | | | | | | | | | | | | |
收購Orange 142支付的現金,扣除收購現金後
|
| | | | (10,985,849) | | | | | | − | | |
投資活動中使用的淨現金
|
| | | | (10,985,849) | | | | | | − | | |
融資活動提供的現金流: | | | | | | | | | | | | | |
應付票據收益
|
| | | | 12,825,000 | | | | | | (200,082) | | |
訴訟和解付款
|
| | | | (210,000) | | | | | | − | | |
信貸額度收益
|
| | | | 1,083,051 | | | | | | 1,040,000 | | |
信用額度付款
|
| | | | (1,403,000) | | | | | | (313,000) | | |
遞延融資成本的支付
|
| | | | (677,032) | | | | | | — | | |
薪資保護計劃貸款收益
|
| | | | 287,100 | | | | | | — | | |
經濟傷害災難貸款收益
|
| | | | 150,000 | | | | | | — | | |
會員(預付款)收據
|
| | | | 370,789 | | | | | | (312,289) | | |
賣方票據和應付收入的付款
|
| | | | (18,318) | | | | | | (149,628) | | |
分發給成員
|
| | | | (117,508) | | | | | | (22,000) | | |
融資活動提供的現金淨額
|
| | | | 12,290,082 | | | | | | 43,001 | | |
現金和現金等價物淨增長
|
| | | | 729,706 | | | | | | 253,244 | | |
年初現金和現金等價物
|
| | | | 882,292 | | | | | | 629,048 | | |
現金及現金等值物,年底
|
| | | $ | 1,611,998 | | | | | $ | 882,292 | | |
非現金投資和融資: | | | | | | | | | | | | | |
發行會員單位作為購買對價(注3)
|
| | | $ | 14,207,981 | | | | | $ | − | | |
現金流信息補充披露: | | | | | | | | | | | | | |
繳税現金
|
| | | $ | 12,124 | | | | | $ | 39,137 | | |
支付利息的現金
|
| | | $ | 620,474 | | | | | $ | 31,735 | | |
子公司
|
| |
當前%
所有權 |
| |
廣告
解決方案 |
| |
成立日期
|
| |
日期:
收購 |
| ||||||
擠成一團的LLC
|
| | | | 100% | | | | | | 買方 | | | |
2012年11月13日
|
| |
2018年6月21日
|
|
巨人傳媒有限責任公司
|
| | | | 100% | | | | | | 賣方 | | | |
2017年9月8日
|
| |
2018年6月21日
|
|
Orange142,LLC
|
| | | | 100% | | | | | | 買方 | | | |
2013年3月6日
|
| |
2020年9月30日
|
|
| | |
12月31日
|
| |||||||||
|
2020
|
| |
2019
|
| ||||||||
客户A
|
| | | | 40.4% | | | | | | 0.0% | | |
客户B
|
| | | | 18.4% | | | | | | 8.3% | | |
客户C
|
| | | | 7.4% | | | | | | 13.8% | | |
客户D
|
| | | | 0.0% | | | | | | 22.1% | | |
客户E
|
| | | | 0.0% | | | | | | 20.3% | | |
客户F
|
| | | | 0.0% | | | | | | 10.0% | | |
| | |
12月31日
|
| |||||||||
|
2020
|
| |
2019
|
| ||||||||
客户B
|
| | | | 14.0% | | | | | | 3.5% | | |
客户E
|
| | | | 11.2% | | | | | | 28.4% | | |
客户G
|
| | | | 9.5% | | | | | | 0.0% | | |
客户C
|
| | | | 7.1% | | | | | | 9.5% | | |
客户F
|
| | | | 2.9% | | | | | | 12.4% | | |
客户D
|
| | | | 0.6% | | | | | | 9.3% | | |
| | |
客户列表
|
| |
商標和
商號 |
| |
競業禁止
協議 |
| |
合計
|
| ||||||||||||
收購日的公允價值
|
| | | $ | 13,028,320 | | | | | $ | 3,501,200 | | | | | $ | 1,504,330 | | | | | $ | 18,033,850 | | |
累計攤銷
|
| | | | (325,708) | | | | | | (87,530) | | | | | | (75,217) | | | | | | (488,455) | | |
無形資產,截至2020年12月31日的淨額
|
| | | $ | 12,702,612 | | | | | $ | 3,413,670 | | | | | $ | 1,429,114 | | | | | $ | 17,545,396 | | |
預計壽命(年)
|
| | | | 10 | | | | | | 10 | | | | | | 5 | | | | |||||
加權-2020年12月31日的平均剩餘壽命(年)
|
| | | | 9.75 | | | | | | 9.75 | | | | | | 4.75 | | | | | | | | |
| | |
合計
|
| |||
2021
|
| | | $ | 1,953,818 | | |
2022
|
| | | | 1,953,818 | | |
2023
|
| | | | 1,953,818 | | |
2024
|
| | | | 1,953,818 | | |
2025
|
| | | | 1,878,602 | | |
之後
|
| | | | 7,851,522 | | |
合計
|
| | | $ | 17,545,396 | | |
|
支付給賣家的現金
|
| | | $ | 12,000,000 | | |
|
會員單位發放
|
| | | | 4,294,041 | | |
|
可強制贖回的單位
|
| | | | 9,913,940 | | |
|
總購買對價
|
| | | $ | 26,207,981 | | |
| 收購資產的公允價值: | | | | | | | |
|
現金和現金等價物
|
| | | $ | 1,014,151 | | |
|
應收賬款
|
| | | | 4,590,945 | | |
|
預付費用和其他流動資產
|
| | | | 148,717 | | |
|
其他資產
|
| | | | 9,618 | | |
|
無形資產
|
| | | | 18,033,850 | | |
|
商譽
|
| | | | 4,095,700 | | |
|
收購的總資產
|
| | | | 27,892,981 | | |
| 所承擔負債的公允價值: | | | | | | | |
|
應付賬款
|
| | | $ | 683,521 | | |
|
應計負債
|
| | | | 244,165 | | |
|
遞延收入
|
| | | | 757,314 | | |
|
承擔的總負債
|
| | | | 1,685,000 | | |
|
淨資產公允價值總額
|
| | | $ | 26,207,981 | | |
| | |
截至2013年12月31日的年度
|
| |||||||||
|
2020
|
| |
2019
|
| ||||||||
收入 - 形式合計
|
| | | $ | 30,415,600 | | | | | $ | 23,226,165 | | |
淨收益(虧損) - 預計合計
|
| | | $ | 3,783,883 | | | | | $ | (1,140,754) | | |
| | |
截至2013年12月31日的年度
|
| |||||||||
|
2020
|
| |
2019
|
| ||||||||
收入
|
| | | $ | 12,477,519 | | | | | $ | 6,271,107 | | |
添加:收入,橙色142
|
| | | | 17,938,081 | | | | | | 16,955,058 | | |
收入 - 形式合計
|
| | | $ | 30,415,600 | | | | | $ | 23,226,165 | | |
| | |
12月31日
|
| |||||||||
|
2020
|
| |
2019
|
| ||||||||
應計薪酬和福利
|
| | | $ | 482,436 | | | | | $ | 80,294 | | |
應計訴訟費
|
| | | | 501,078 | | | | | | 501,078 | | |
應計費用
|
| | | | 317,401 | | | | | | — | | |
應計利息
|
| | | | 91,605 | | | | | | 26,952 | | |
應計負債總額
|
| | | $ | 1,392,520 | | | | | $ | 608,324 | | |
| | |
12月31日
|
| |||||||||
|
2020
|
| |
2019
|
| ||||||||
利息支出 - 東西岸
|
| | | $ | 9,391 | | | | | $ | — | | |
利息支出 - 第一公民銀行
|
| | | | 19,158 | | | | | | 4,544 | | |
遞延融資成本攤銷
|
| | | | 12,944 | | | | | | — | | |
遞延融資成本的利息支出和攤銷總額
|
| | | $ | 41,493 | | | | | $ | 4,544 | | |
| | |
12月31日
|
| |||||||||
|
2020
|
| |
2019
|
| ||||||||
利息支出
|
| | | $ | 518,622 | | | | | $ | — | | |
遞延融資成本攤銷
|
| | | | 71,685 | | | | | | — | | |
遞延融資成本的利息支出和攤銷總額
|
| | | $ | 590,307 | | | | | $ | — | | |
|
2021
|
| | | $ | 1,206,750 | | |
|
2022
|
| | | | 4,677,123 | | |
|
2023
|
| | | | 7,455,421 | | |
|
2024
|
| | | | — | | |
|
2025
|
| | | | 473 | | |
|
之後
|
| | | | 149,527 | | |
|
合計
|
| | | | 13,489,294 | | |
|
當前部分較少
|
| | | | (1,206.750) | | |
|
遞延融資成本減少
|
| | | | (501,796) | | |
|
長期債務,淨額
|
| | | $ | 11,780,748 | | |
|
2021
|
| | | $ | 143,211 | | |
|
2022
|
| | | | 121,651 | | |
|
2023
|
| | | | 90,138 | | |
| | | | | $ | 355,000 | | |
| | |
截至2013年12月31日的年度
|
| |||||||||
|
2020
|
| |
2019
|
| ||||||||
會員應佔單位淨虧損
|
| | | $ | (908,190) | | | | | $ | (883,768) | | |
年初未完成的單位數量
|
| | | | 28,545 | | | | | | 28,545 | | |
年內發行的加權平均單位數
|
| | | | 1,409 | | | | | | — | | |
年底未償還的基本單位和稀釋單位數量
|
| | | | 29,954 | | | | | | 28,545 | | |
基本和稀釋後的單位淨虧損
|
| | | $ | (30.32) | | | | | $ | (30.96) | | |
| | |
截至2013年12月31日的年度
|
| |||||||||
|
2020
|
| |
2019
|
| ||||||||
買方廣告
|
| | | $ | 9,656,165 | | | | | $ | 5,472,485 | | |
賣方廣告
|
| | | | 2,821,354 | | | | | | 798,622 | | |
總收入
|
| | | $ | 12,477,519 | | | | | $ | 6,271,107 | | |
| | |
截至2013年12月31日的年度
|
| |||||||||
|
2020
|
| |
2019
|
| ||||||||
買方廣告
|
| | | $ | 1,171,324 | | | | | $ | 108,978 | | |
賣方廣告
|
| | | | 29,633 | | | | | | (497,276) | | |
公司辦公費用
|
| | | | (2,045,521) | | | | | | (484,170) | | |
合併營業虧損
|
| | | $ | (844,564) | | | | | $ | (872,468) | | |
| | |
12月31日
|
| |||||||||
|
2020
|
| |
2019
|
| ||||||||
買方廣告
|
| | | $ | 27,622,180 | | | | | $ | 1,962,895 | | |
賣方廣告
|
| | | | 2,641,325 | | | | | | 1,484,711 | | |
公司辦公室
|
| | | | 431,970 | | | | | | 775,728 | | |
總資產
|
| | | $ | 30,695,475 | | | | | $ | 4,223,334 | | |
| | |
第
頁
|
| |||
Direct Digital Holdings LLC未經審計的合併財務報表 | | | | | | | |
截至2021年9月30日和2020年12月31日的合併資產負債表
|
| | | | F-34 | | |
截至2021年9月30日止九個月的合併經營報表和
2020 |
| | | | F-35 | | |
截至2021年9月30日和2020年9月30日的9個月會員權益變動綜合報表
|
| | | | F-36 | | |
截至2021年9月30日止九個月的合併現金流量表和
2020 |
| | | | F-37 | | |
合併財務報表附註
|
| | | | F-38 | | |
| | |
9月30日
2021 (未經審計) |
| |
12月31日
2020 (已審核) |
| | ||||||||
資產 | | | | | | | | | | | | | | | ||
當前資產
|
| | | | | | | | | | | | | | ||
現金和現金等價物
|
| | | $ | 2,603,152 | | | | | $ | 1,611,998 | | | | ||
應收賬款淨額
|
| | | | 3,903,809 | | | | | | 4,679,376 | | | | ||
預付費用和其他流動資產
|
| | | | 727,075 | | | | | | 223,344 | | | | ||
流動資產總額
|
| | | | 7,234,036 | | | | | | 6,514,718 | | | | ||
商譽
|
| | | | 6,519,636 | | | | | | 6,519,636 | | | | ||
無形資產淨值
|
| | | | 16,080,032 | | | | | | 17,545,396 | | | | ||
遞延融資成本,淨額
|
| | | | 51,775 | | | | | | 90,607 | | | | ||
其他長期資產
|
| | | | 12,948 | | | | | | 25,118 | | | | ||
總資產
|
| | | $ | 29,898,427 | | | | | $ | 30,695,475 | | | | ||
負債和會員權益 | | | | | | | | | | | | | | | ||
流動負債: | | | | | | | | | | | | | | | ||
應付賬款
|
| | | $ | 3,110,281 | | | | | $ | 3,263,326 | | | | ||
應計負債
|
| | | | 1,510,563 | | | | | | 1,392,520 | | | | ||
應付票據本期部分
|
| | | | 2,611,685 | | | | | | 1,206,750 | | | | ||
遞延收入
|
| | | | 684,303 | | | | | | 308,682 | | | | ||
關聯方應付款(注7)
|
| | | | 69,837 | | | | | | 70,801 | | | | | |
應付賣家票據
|
| | | | — | | | | | | 315,509 | | | | ||
賣方應付收入
|
| | | | — | | | | | | 74,909 | | | | ||
流動負債總額
|
| | | | 7,986,669 | | | | | | 6,632,497 | | | | ||
應付票據,扣除短期部分以及截至2021年9月30日和2020年12月31日的遞延融資成本分別為286,741美元和501,796美元
|
| | | | 9,086,328 | | | | | | 11,213,697 | | | | ||
可強制贖回的非參股優先股
|
| | | | 9,913,940 | | | | | | 9,913,940 | | | | ||
授信額度
|
| | | | 407,051 | | | | | | 407,051 | | | | ||
支付寶保障計劃貸款
|
| | | | 287,143 | | | | | | 10,000 | | | | ||
經濟傷害災難貸款
|
| | | | 150,000 | | | | | | 150,000 | | | | ||
總負債
|
| | | | 27,831,131 | | | | | | 28,327,185 | | | | ||
承諾和連續性(注8) | | | | | | | | | | | | | | | ||
成員股權 | | | | | | | | | | | | | | | ||
單位,2021年9月30日和12月31日已授權1,000,000個單位,
2020年;截至2021年9月30日,已發行和未償還的單位為34,182個和 2020年12月31日 |
| | | | 4,294,241 | | | | | | 4,294,241 | | | | ||
累計虧損
|
| | | | (2,226,945) | | | | | | (1,925,951) | | | | ||
會員權益合計
|
| | | | 2,067,296 | | | | | | 2,368,290 | | | | ||
總負債和成員權益
|
| | | $ | 29,898,427 | | | | | $ | 30,695,475 | | | |
| | |
截至的9個月
9月30日 |
| |||||||||
| | |
2021
(未經審計) |
| |
2020
(未經審計) |
| ||||||
收入 | | | | | | | | | | | | | |
買方廣告
|
| | | $ | 19,975,235 | | | | | $ | 4,377,708 | | |
賣方廣告
|
| | | | 5,261,135 | | | | | | 1,498,300 | | |
總收入
|
| | | | 25,236,370 | | | | | | 5,876,008 | | |
收入成本
|
| | | | | | | | | | | | |
買方廣告
|
| | | | 7,480,727 | | | | | | 2,836,035 | | |
賣方廣告
|
| | | | 4,348,756 | | | | | | 1,350,083 | | |
收入總成本
|
| | | | 11,829,483 | | | | | | 4,186,118 | | |
毛利
|
| | | | 13,406,887 | | | | | | 1,689,890 | | |
運營費用 | | | | | | | | | | | | | |
薪酬、税收和福利
|
| | | | 6,131,930 | | | | | | 1,324,196 | | |
一般和行政
|
| | | | 4,214,229 | | | | | | 600,543 | | |
收購交易成本
|
| | | | — | | | | | | 650,000 | | |
總運營費用
|
| | | | 10,346,159 | | | | | | 2,574,739 | | |
運營收入(虧損)
|
| | | | 3,060,728 | | | | | | (884,849) | | |
其他(費用)收入 | | | | | | | | | | | | | |
其他收入
|
| | | | 19,186 | | | | | | 134,761 | | |
薪資保護計劃貸款的赦免
|
| | | | 10,000 | | | | | | — | | |
賣方重新估價和結算的收益
票據和收益責任 |
| | | | 21,232 | | | | | | 401,677 | | |
利息支出
|
| | | | (2,432,567) | | | | | | (19,925) | | |
其他(費用)收入合計
|
| | | | (2,382,149) | | | | | | 516,513 | | |
税費
|
| | | | (54,878) | | | | | | (12,154) | | |
淨收益(虧損)
|
| | | $ | 623,701 | | | | | $ | (380,490) | | |
單位淨利潤(損失): | | | | | | | | | | | | | |
基本和稀釋
|
| | | $ | 18.25 | | | | | $ | (13.32) | | |
未完成的加權平均公用單位: | | | | | | | | | | | | | |
基本和稀釋
|
| | | | 34,182 | | | | | | 28,566 | | |
| | |
公共單位
|
| | | | | | | | | | | | | | ||||||||||||||
| | |
個共享
|
| |
金額
|
| |
應收賬款
來自 成員 |
| |
累計
股權 |
| |
會員權益
|
| |||||||||||||||
餘額,2019年12月31日(已審計)
|
| | | | 28,545 | | | | | $ | 200 | | | | | $ | (370,789) | | | | | $ | (900,253) | | | | | $ | (1,270,842) | | |
會員收據
|
| | | | — | | | | | | — | | | | | | 370,789 | | | | | | — | | | | | | 370,789 | | |
分發給會員
|
| | | | | | | | | | | | | | | | | | | | | | (116,958) | | | | | | (116,958) | | |
為收購
而發行的股份
Orange142,LLC |
| | | | 5,637 | | | | | | 4,294,041 | | | | | | — | | | | | | — | | | | | | 4,294,041 | | |
淨虧損
|
| | |
|
—
|
| | | |
|
—
|
| | | | | — | | | | | | (380,490) | | | | | | (380,490) | | |
餘額,2020年9月30日(未經審計)
|
| | | | 34,182 | | | | | $ | 4,294,241 | | | | | $ | — | | | | | $ | (1,397,701) | | | | | $ | 2,896,540 | | |
| | |
常用部件
|
| | | | | | | | | | | | | | | | | | | |||||||||
| | |
個共享
|
| |
金額
|
| |
應收賬款
來自 成員 |
| |
累計
股權 |
| |
會員權益
|
| |||||||||||||||
餘額,2019年12月31日(已審計)
|
| | | | 28,545 | | | | | $ | 200 | | | | | $ | (370,789) | | | | | $ | (900,253) | | | | | $ | (1,270,842) | | |
會員收據
|
| | | | — | | | | | | — | | | | | | 370,789 | | | | | | — | | | | | | 370,789 | | |
分發給會員
|
| | | | | | | | | | | | | | | | | | | | | | (117,508) | | | | | | (117,508) | | |
為收購
而發行的股份
Orange142,LLC |
| | | | 5,637 | | | | | | 4,294,041 | | | | | | — | | | | | | — | | | | | | 4,294,041 | | |
淨虧損
|
| | |
|
—
|
| | | |
|
—
|
| | | | | — | | | | | | (908,190) | | | | | | (908,190) | | |
餘額,2020年12月31日(已審計)
|
| | | | 34,182 | | | | | | 4,294,241 | | | | | | — | | | | | | (1,925,951) | | | | | | 2,368,290 | | |
分發給會員
|
| | | | — | | | | | | — | | | | | | — | | | | | | (924,695) | | | | | | (924,695) | | |
淨收入
|
| | | | — | | | | | | — | | | | | | — | | | | | | 623,701 | | | | | | 623,701 | | |
餘額,2021年9月30日(未經審計)
|
| | | | 34,182 | | | | | $ | 4,294,241 | | | | | $ | — | | | | | $ | (2,226,945) | | | | | $ | 2,067,296 | | |
| | |
截至的9個月
9月30日 |
| |||||||||
| | |
2021
(未經審計) |
| |
2020
(未經審計) |
| ||||||
運營活動提供的(用於)現金流: | | | | | | | | | | | | | |
淨收益(虧損)
|
| | | $ | 623,701 | | | | | $ | (380,490) | | |
將淨收益(虧損)與(使用的)提供的淨現金進行調整
在)經營活動: |
| | | | | | | | | | | | |
遞延融資成本攤銷
|
| | | | 253,887 | | | | | | — | | |
無形資產攤銷
|
| | | | 1,465,364 | | | | | | — | | |
薪資保護計劃貸款的赦免
|
| | | | (10,000) | | | | | | — | | |
實物支付利息
|
| | | | 269,260 | | | | | | — | | |
重新評估和結算收益負債的收益
|
| | | | (21,232) | | | | | | (401,677) | | |
壞賬支出
|
| | | | 67,541 | | | | | | 8,086 | | |
經營性資產和負債變動:
|
| | | | | | | | | | | | |
應收賬款
|
| | | | 708,025 | | | | | | (342,221) | | |
預付費用和其他流動資產
|
| | | | (491,560) | | | | | | 17,298 | | |
應付賬款
|
| | | | (153,045) | | | | | | (424,001) | | |
應計負債
|
| | | | 118,043 | | | | | | 257,908 | | |
遞延收入
|
| | | | 375,621 | | | | | | 242,162 | | |
關聯方應付
|
| | | | (964) | | | | | | 70,801 | | |
經營活動提供(使用)的現金淨額
|
| | | | 3,204,641 | | | | | | (952,134) | | |
投資活動中使用的現金流: | | | | | | | | | | | | | |
收購Orange 142支付的現金,扣除收購現金後
|
| | | | — | | | | | | (10,985,849) | | |
投資活動中使用的淨現金
|
| | | | — | | | | | | (10,985,849) | | |
融資活動提供的現金流(使用): | | | | | | | | | | | | | |
應付票據收益
|
| | | | — | | | | | | 12,825,000 | | |
應付票據付款
|
| | | | (1,206,750) | | | | | | — | | |
訴訟和解付款
|
| | | | — | | | | | | (210,000) | | |
信貸額度收益
|
| | | | — | | | | | | 430,051 | | |
遞延融資成本的支付
|
| | | | — | | | | | | (527,032) | | |
薪資保護計劃貸款收益
|
| | | | 287,143 | | | | | | 287,100 | | |
經濟傷害災難貸款收益
|
| | | | — | | | | | | 150,000 | | |
會員收據
|
| | | | — | | | | | | 370,789 | | |
賣方票據和應付收入的付款
|
| | | | (369,185) | | | | | | (18,318) | | |
分發給成員
|
| | | | (924,695) | | | | | | (116,958) | | |
融資活動提供的現金淨額(用於)
|
| | | | (2,213,487) | | | | | | 13,190,632 | | |
現金和現金等價物淨增長
|
| | | | 991,154 | | | | | | 1,252,649 | | |
現金及現金等值物,期末
|
| | | | 1,611,998 | | | | | | 882,292 | | |
現金及現金等值物,期末
|
| | | $ | 2,603,152 | | | | | $ | 2,134,941 | | |
非現金投資和融資:
|
| | | | | | | | | | | | |
發行會員單位作為購買對價(注3)
|
| | | $ | — | | | | | $ | 14,592,689 | | |
現金流信息補充披露: | | | | | | | | | | | | | |
繳税現金
|
| | | $ | 14,878 | | | | | $ | 12,154 | | |
支付利息的現金
|
| | | $ | 3,111,628 | | | | | $ | 51,133 | | |
子公司
|
| |
當前%
所有權 |
| |
廣告
解決方案 |
| |
成立日期
|
| |
日期:
收購 |
|
擠成一團的LLC
|
| |
100%
|
| |
買方
|
| |
2012年11月13日
|
| |
2018年6月21日
|
|
巨人傳媒有限責任公司
|
| |
100%
|
| |
賣方
|
| |
2017年9月8日
|
| |
2018年6月21日
|
|
Orange142,LLC | | |
100%
|
| |
買方
|
| |
2013年3月6日
|
| |
2020年9月30日
|
|
| | |
9月30日
2021 |
| |
12月31日
2020 |
| ||||||
客户A
|
| | | | 49.9% | | | | | | 7.4% | | |
客户B
|
| | | | 6.0% | | | | | | 40.4% | | |
客户C
|
| | | | 5.3% | | | | | | 18.4% | | |
| | |
截至的9個月
9月30日 |
| |||||||||
| | |
2021
|
| |
2020
|
| ||||||
客户E
|
| | | | 16.8% | | | | | | 0.0% | | |
客户A
|
| | | | 16.7% | | | | | | 9.1% | | |
客户D
|
| | | | 15.4% | | | | | | 0.0% | | |
客户C
|
| | | | 3.0% | | | | | | 15.2% | | |
客户F
|
| | | | 0.0% | | | | | | 35.6% | | |
客户G
|
| | | | 2.8% | | | | | | 12.4% | | |
| | |
客户列表
|
| |
商標和
商號 |
| |
競業禁止
協議 |
| |
合計
|
| ||||||||||||
收購日的公允價值
|
| | | $ | 13,028,320 | | | | | $ | 3,501,200 | | | | | $ | 1,504,330 | | | | | $ | 18,033,850 | | |
累計攤銷
|
| | | | (1,302,832) | | | | | | (350,120) | | | | | | (300,866) | | | | | | (1,953,818) | | |
無形資產,截至2021年9月30日的淨值
|
| | | $ | 11,725,488 | | | | | $ | 3,151,080 | | | | | $ | 1,203,464 | | | | | $ | 16,080,032 | | |
預計壽命(年)
|
| | | | 10 | | | | | | 10 | | | | | | 5 | | | | | | | | |
2021年9月30日加權平均剩餘壽命(年)
|
| | | | 9.0 | | | | | | 9.0 | | | | | | 4.0 | | | | | | | | |
| | |
合計
|
| |||
2021
|
| | | $ | 488,454 | | |
2022
|
| | | | 1,953,818 | | |
2023
|
| | | | 1,953,818 | | |
2024
|
| | | | 1,953,818 | | |
2025
|
| | | | 1,878,602 | | |
之後
|
| | | | 7,851,522 | | |
合計
|
| | | $ | 16,080,032 | | |
|
支付給賣家的現金
|
| | | $ | 12,000,000 | | |
|
會員單位發放
|
| | | | 4,294,041 | | |
|
可強制贖回的單位
|
| | | | 9,913,940 | | |
|
總購買考量
|
| | | $ | 26,207,981 | | |
| 收購資產的公允價值: | | | |||||
|
現金和現金等價物
|
| | | $ | 1,014,151 | | |
|
應收賬款
|
| | | | 4,590,945 | | |
|
預付費用和其他流動資產
|
| | | | 148,717 | | |
|
其他資產
|
| | | | 9,618 | | |
|
無形資產
|
| | | | 18,033,850 | | |
|
商譽
|
| | | | 4,095,700 | | |
|
收購的總資產
|
| | | | 27,892,981 | | |
| | | | | | | | |
| 所承擔負債的公允價值: | | | |||||
|
應付賬款
|
| | | $ | 683,521 | | |
|
應計負債
|
| | | | 244,165 | | |
|
遞延收入
|
| | | | 757,314 | | |
|
承擔的總負債
|
| | | | 1,685,000 | | |
|
淨資產公允價值總額
|
| | | $ | 26,207,981 | | |
|
| | |
用於
九個月 已結束 9月30日 2020 |
| |||
收入 - 形式合計
|
| | | $ | 23,814,089 | | |
淨收入 - 形式合併
|
| | | $ | 3,989,949 | | |
| | |
用於
九個月 已結束 9月30日 2020 |
| |||
收入
|
| | | $ | 5,876,008 | | |
添加:收入,橙色142
|
| | | | 17,938,081 | | |
收入 - 形式合計
|
| | | $ | 23,814,089 | | |
| | |
9月30日
2021 |
| |
12月31日
2020 |
| ||||||
應計薪酬和福利
|
| | | $ | 610,166 | | | | | $ | 482,436 | | |
應計訴訟費
|
| | | | 501,078 | | | | | | 501,078 | | |
應計費用
|
| | | | 313,287 | | | | | | 317,401 | | |
應計利息
|
| | | | 86,032 | | | | | | 91,605 | | |
應計負債總額
|
| | | $ | 1,510,563 | | | | | $ | 1,392,520 | | |
| | |
截至的9個月
9月30日 |
| |||||||||
| | |
2021
|
| |
2020
|
| ||||||
利息支出 - 東西岸
|
| | | $ | 28,368 | | | | | $ | — | | |
利息支出 - 第一公民銀行
|
| | | | — | | | | | | 18,297 | | |
遞延融資成本攤銷
|
| | | | 38,832 | | | | | | — | | |
遞延融資成本的利息支出和攤銷總額
|
| | | $ | 67,200 | | | | | $ | 18,297 | | |
| | |
截至的9個月
9月30日 |
| |||||||||
| | |
2021
|
| |
2020
|
| ||||||
利息支出
|
| | | $ | 1,509,752 | | | | | $ | — | | |
遞延融資成本攤銷
|
| | | | 215,055 | | | | | | — | | |
遞延融資成本的利息支出和攤銷總額
|
| | | $ | 1,724,807 | | | | | $ | — | | |
|
2021
|
| | | $ | — | | |
|
2022
|
| | | | 3,062,435 | | |
|
2023
|
| | | | 9,447,981 | | |
|
2024
|
| | | | 74,912 | | |
|
2025
|
| | | | 75,385 | | |
|
之後
|
| | | | 168,235 | | |
|
合計
|
| | | | 12,828,948 | | |
|
當前部分較少
|
| | | | (2,611,685) | | |
|
遞延融資成本減少
|
| | | | (286,741) | | |
|
長期債務,淨額
|
| | | $ | 9,930,522 | | |
|
2021
|
| | | $ | 36,638 | | |
|
2022
|
| | | | 121,651 | | |
|
2023
|
| | | | 90,138 | | |
| | | | | $ | 248,427 | | |
| | |
截至9月30日的9個月
|
| |||||||||
| | |
2021
|
| |
2020
|
| ||||||
會員單位應佔淨收益(虧損)
|
| | | $ | 623,701 | | | | | $ | (380,490) | | |
年初未完成的單位數量
|
| | | | 34,182 | | | | | | 28,545 | | |
年內發行的加權平均單位數
|
| | | | — | | | | | | 21 | | |
年底未償還的基本單位和稀釋單位數量
|
| | | | 34,182 | | | | | | 28,566 | | |
基本和攤薄後的單位淨收益(虧損)
|
| | | $ | 18.25 | | | | | $ | (13.32) | | |
| | |
截至的9個月
9月30日 |
| |||||||||
| | |
2021
|
| |
2020
|
| ||||||
買方廣告
|
| | | $ | 19,975,235 | | | | | $ | 4,377,708 | | |
賣方廣告
|
| | | | 5,261,135 | | | | | | 1,498,300 | | |
總收入
|
| | | $ | 25,236,370 | | | | | $ | 5,876,008 | | |
| | |
截至的9個月
9月30日 |
| |||||||||
| | |
2021
|
| |
2020
|
| ||||||
買方廣告
|
| | | $ | 4,705,408 | | | | | $ | 536,181 | | |
賣方廣告
|
| | | | 277,293 | | | | | | (95,655) | | |
公司辦公室
|
| | | | (1,921,973) | | | | | | (1,325,375) | | |
合併營業收入(虧損)
|
| | | $ | 3,060,728 | | | | | $ | (884,849) | | |
| | |
在
9月30日 2021 |
| |
在
12月31日 2020 |
| ||||||
買方廣告
|
| | | $ | 25,653,242 | | | | | $ | 27,622,180 | | |
賣方廣告
|
| | | | 3,608,434 | | | | | | 2,641,325 | | |
公司辦公室
|
| | | | 636,751 | | | | | | 431,970 | | |
總資產
|
| | | $ | 29,898,427 | | | | | $ | 30,695,475 | | |
| | |
第
頁
|
| |||
I獨立審計師報告
|
| | | | F-57 | | |
F財務報表: | | | | | | | |
截至2019年12月31日和2018年12月31日的資產負債表
|
| | | | F-59 | | |
截至2019年和2018年12月31日止年度的經營報表和股東權益變動
|
| | | | F-60 | | |
截至2019年和2018年12月31日止年度現金流量表
|
| | | | F-61 | | |
N財務報表註釋
|
| | |
|
F-62
|
| |
| | |
2019
|
| |
2018
|
| ||||||
資產
|
| ||||||||||||
流動資產: | | | | | | | | | | | | | |
現金和現金等價物
|
| | | $ | 614,048 | | | | | $ | 897,479 | | |
應收賬款淨額
|
| | | | 3,154,887 | | | | | | 1,636,790 | | |
預付費用和其他流動資產
|
| | | | 250,201 | | | | | | 58,839 | | |
流動資產總額
|
| | | | 4,019,136 | | | | | | 2,593,108 | | |
其他資產
|
| | | | 9,618 | | | | | | 26,483 | | |
總資產
|
| | |
$
|
4,028,754
|
| | | | $ | 2,619,591 | | |
負債和會員權益
|
| ||||||||||||
流動負債: | | | | | | | | | | | | | |
應付賬款
|
| | | $ | 570,226 | | | | | $ | 165,593 | | |
應計負債
|
| | | | 366,566 | | | | | | 419,127 | | |
遞延收入
|
| | | | 375,794 | | | | | | 845,211 | | |
流動負債總額
|
| | | | 1,312,586 | | | | | | 1,429,931 | | |
總負債
|
| | | | 1,312,586 | | | | | | 1,429,931 | | |
成員股權
|
| | | | 2,716,168 | | | | | | 1,189,660 | | |
總負債和成員權益
|
| | |
$
|
4,028,754
|
| | | | $ | 2,619,591 | | |
| | |
2019
|
| |
2018
|
| ||||||
廣告收入
|
| | | $ | 14,043,423 | | | | | $ | 10,002,965 | | |
營銷收入
|
| | | | 2,911,636 | | | | | | 36,441 | | |
總收入
|
| | | | 16,955,059 | | | | | | 10,039,406 | | |
銷售成本
|
| | | | 5,296,385 | | | | | | 4,125,520 | | |
毛利潤
|
| | | | 11,658,674 | | | | | | 5,913,886 | | |
運營費用: | | | | | | | | | | | | | |
工資相關成本
|
| | | | 4,594,768 | | | | | | 2,495,993 | | |
一般和行政
|
| | | | 1,512,376 | | | | | | 1,229,738 | | |
總運營費用
|
| | | | 6,107,144 | | | | | | 3,725,731 | | |
運營收入
|
| | | | 5,551,530 | | | | | | 2,188,155 | | |
其他收入: | | | | | | | | | | | | | |
利息收入
|
| | | | 240 | | | | | | 241 | | |
出售物業和設備的收益
|
| | | | 11,200 | | | | | | — | | |
其他收入合計
|
| | | | 11,440 | | | | | | 241 | | |
税前收入
|
| | | | 5,562,970 | | | | | | 2,188,396 | | |
税金撥備
|
| | | | (51,638) | | | | | | (28,872) | | |
淨收入
|
| | | $ | 5,511,332 | | | | | $ | 2,159,524 | | |
成員權益,年初
|
| | | $ | 1,189,660 | | | | | $ | 1,319,951 | | |
從USDM LLC轉移的股權
|
| | | | 76,638 | | | | | | — | | |
分配給父母
|
| | | | (4,061,462) | | | | | | (2,289,815) | | |
淨收入
|
| | | | 5,511,332 | | | | | | 2,159,524 | | |
成員權益,年底
|
| | | $ | 2,716,168 | | | | | $ | 1,189,660 | | |
| | |
2019
|
| |
2018
|
| ||||||
經營活動現金流: | | | | | | | | | | | | | |
淨收入
|
| | | $ | 5,511,332 | | | | | $ | 2,159,524 | | |
將淨收益與經營活動提供的現金淨額進行調整:
|
| | | | | | | | | | | | |
出售物業和設備的收益
|
| | | | (11,200) | | | | | | — | | |
經營性資產和負債變動:
|
| | | | | | | | | | | | |
應收賬款
|
| | | | (1,518,097) | | | | | | (790,602) | | |
預付費用和其他資產
|
| | | | (174,497) | | | | | | (14,909) | | |
應付賬款和應計負債
|
| | | | 352,072 | | | | | | (18,010) | | |
遞延收入
|
| | | | (469,417) | | | | | | 444,503 | | |
關聯方應收賬款
|
| | | | — | | | | | | 296,300 | | |
經營活動提供的現金淨額
|
| | | | 3,690,193 | | | | | | 2,076,806 | | |
投資活動的現金流: | | | | | | | | | | | | | |
出售財產和設備的現金收益
|
| | | | 11,200 | | | | | | — | | |
投資活動提供的現金淨額
|
| | | | 11,200 | | | | | | — | | |
融資活動的現金流: | | | | | | | | | | | | | |
分配給父母
|
| | | | (4,061,462) | | | | | | (2,289,815) | | |
從USDM LLC轉移的股權
|
| | | | 76,638 | | | | | | — | | |
用於融資活動的現金淨額
|
| | | | (3,984,824) | | | | | | (2,289,815) | | |
現金和現金等價物淨減少
|
| | | | (283,431) | | | | | | (213,009) | | |
年初現金和現金等價物
|
| | | | 897,479 | | | | | | 1,110,488 | | |
現金和現金等價物,年終
|
| | | $ | 614,048 | | | | | $ | 897,479 | | |
補充信息: | | | | | | | | | | | | | |
繳納所得税的現金
|
| | | $ | 51,638 | | | | | $ | 28,872 | | |
| | |
2019
|
| |
2018
|
| ||||||
應付獎金
|
| | | $ | 59,013 | | | | | $ | 90,576 | | |
其他付費媒體
|
| | | | — | | | | | | 241,222 | | |
其他應計費用
|
| | | | 21,035 | | | | | | 39,913 | | |
客户存款
|
| | | | 113,799 | | | | | | — | | |
應付佣金
|
| | | | 172,719 | | | | | | 47,416 | | |
| | | | $ | 366,566 | | | | | $ | 419,127 | | |
| 截至2012年12月31日的財政年度 | | | |||||
|
2020
|
| | | $ | 78,000 | | |
|
2021
|
| | | | 80,400 | | |
|
合計
|
| | | $ | 158,400 | | |
| | |
第
頁
|
| |||
財務報表 | | | | | | | |
資產負債表 - 2020年9月30日(未經審計)和2019年12月31日(已審計)
|
| | | | F-69 | | |
運營報表
(未經審計) |
| | | | F-70 | | |
股東權益變動表
2020年(未經審計) |
| | | | F-71 | | |
現金流量表
(未經審計) |
| | | | F-72 | | |
財務報表附註
|
| | | | F-73 | | |
| | |
9月30日
2020 |
| |
12月31日
2019 |
| ||||||
| | |
(未經審計)
|
| |
(已審核)
|
| ||||||
資產 | | | | ||||||||||
當前資產 | | | | | | | | | | | | | |
現金和現金等價物
|
| | | $ | 1,014,151 | | | | | $ | 614,048 | | |
應收賬款淨額
|
| | | | 4,590,945 | | | | | | 3,154,887 | | |
預付費用和其他流動資產
|
| | | | 148,717 | | | | | | 250,201 | | |
流動資產總額
|
| | | | 5,753,813 | | | | | | 4,019,136 | | |
其他長期資產
|
| | | | 9,618 | | | | | | 9,618 | | |
總資產
|
| | | $ | 5,763,431 | | | | | $ | 4,028,754 | | |
負債和會員權益 | | | | | | | | | | | | | |
流動負債 | | | | | | | | | | | | | |
應付賬款
|
| | | $ | 683,521 | | | | | $ | 570,226 | | |
應計負債
|
| | | | 244,165 | | | | | | 366,566 | | |
遞延收入
|
| | | | 757,314 | | | | | | 375,794 | | |
流動負債總額
|
| | | | 1,685,000 | | | | | | 1,312,586 | | |
成員股權
|
| | | | 4,078,431 | | | | | | 2,716,168 | | |
負債總額和成員權益
|
| | | $ | 5,763,431 | | | | | $ | 4,028,754 | | |
| | |
截至的9個月
2020年9月30日 |
| |
截至的9個月
2019年9月30日 |
| | ||||||||
收入 | | | | | | | | | | | | | | | | |
廣告收入
|
| | | $ | 14,887,635 | | | | | $ | 9,443,989 | | | | | |
營銷收入
|
| | | | 3,050,446 | | | | | | 2,161,962 | | | | | |
總收入
|
| | | | 17,938,081 | | | | | | 11,605,951 | | | | | |
收入成本
|
| | | | 5,267,463 | | | | | | 3,750,595 | | | | | |
毛利
|
| | | | 12,670,618 | | | | | | 7,855,356 | | | | | |
運營費用 | | | | | | | | | | | | | | | | |
薪酬、税收和福利
|
| | | | 4,038,610 | | | | | | 3,028,255 | | | | | |
一般和行政
|
| | | | 757,540 | | | | | | 1,128,554 | | | | | |
總運營費用
|
| | | | 4,796,150 | | | | | | 4,156,809 | | | | | |
運營收入
|
| | | | 7,874,468 | | | | | | 3,698,547 | | | | | |
其他收入
|
| | | | 11,900 | | | | | | 11,380 | | | | | |
其他收入合計
|
| | | | 11,900 | | | | | | 11,380 | | | | | |
税費
|
| | | | (48,971) | | | | | | — | | | | | |
淨收入
|
| | | $ | 7,837,397 | | | | | $ | 3,709,927 | | | | | |
| | |
常用部件
|
| |
累計
股權 |
| |
成員‘
股權 |
| |||||||||||||||
|
個共享
|
| |
金額
|
| ||||||||||||||||||||
餘額,2018年12月31日(已審計)
|
| | | | 1,000 | | | | | $ | 10 | | | | | $ | 1,189,648 | | | | | $ | 1,189,658 | | |
USDM LLC的股權轉讓
|
| | | | | | | | | | | | | | | | 76,638 | | | | | | 76,638 | | |
分發給會員
|
| | | | | | | | | | | | | | | | (3,235,600) | | | | | | (3,235,600) | | |
淨收入
|
| | | | | | | | | | | | | | | | 3,709,927 | | | | | | 3,709,927 | | |
餘額,2019年9月30日(未經審計)
|
| | | | 1,000 | | | | | $ | 10 | | | | | $ | 1,740,613 | | | | | $ | 1,740,623 | | |
| | |
常用部件
|
| |
累計
股權 |
| |
成員‘
股權 |
| |||||||||||||||
|
個共享
|
| |
金額
|
| ||||||||||||||||||||
餘額,2018年12月31日(已審計)
|
| | | | 1,000 | | | | | $ | 10 | | | | | $ | 1,189,648 | | | | | $ | 1,189,658 | | |
USDM LLC的股權轉讓
|
| | | | | | | | | | | | | | | | 76,638 | | | | | | 76,638 | | |
分發給會員
|
| | | | | | | | | | | | | | | | (4,061,462) | | | | | | (4,061,462) | | |
淨收入
|
| | | | | | | | | | | | | | | | 5,511,332 | | | | | | 5,511,332 | | |
餘額,2019年12月31日(已審計)
|
| | | | 1,000 | | | | | | 10 | | | | | | 2,716,156 | | | | | | 2,716,166 | | |
分發給會員
|
| | | | | | | | | | | | | | | | (6,475,132) | | | | | | (6,475,132) | | |
淨收入
|
| | | | | | | | | | | | | | | | 7,837,397 | | | | | | 7,837,397 | | |
餘額,2020年9月30日(未經審計)
|
| | | | 1,000 | | | | | $ | 10 | | | | | $ | 4,078,421 | | | | | $ | 4,078,431 | | |
| | |
9月30日
2020 |
| |
9月30日
2019 |
| ||||||
經營活動產生的現金流: | | | | | | | | | | | | | |
淨收入
|
| | | $ | 7,837,397 | | | | | $ | 3,709,927 | | |
將淨虧損與經營活動提供的現金淨額進行調整:
|
| | | | | | | | | | | | |
經營性資產和負債變動:
|
| | | | | | | | | | | | |
應收賬款
|
| | | | (1,436,059) | | | | | | (758,546) | | |
預付費用和其他流動資產
|
| | | | 101,484 | | | | | | (212,319) | | |
其他長期資產
|
| | | | — | | | | | | 16,865 | | |
應付賬款
|
| | | | 113,293 | | | | | | 257,304 | | |
應計負債
|
| | | | (122,400) | | | | | | 111,090 | | |
遞延收入
|
| | | | 381,520 | | | | | | 232,803 | | |
經營活動提供的現金淨額
|
| | | | 6,875,235 | | | | | | 3,357,124 | | |
融資活動提供的現金流(使用): | | | | | | | | | | | | | |
分發給成員
|
| | | | (6,475,132) | | | | | | (3,235,600) | | |
從USDM LLC轉移的股權
|
| | | | — | | | | | | 76,638 | | |
用於融資活動的現金淨額
|
| | | | (6,475,132) | | | | | | (3,158,962) | | |
現金和現金等價物淨增長
|
| | | | 400,103 | | | | | | 198,162 | | |
現金及現金等值物,期末
|
| | | | 614,048 | | | | | | 897,479 | | |
現金及現金等值物,期末
|
| | | $ | 1,014,151 | | | | | $ | 1,095,641 | | |
| | |
9月30日
2020 |
| |
12月31日
2019 |
| ||||||
應計佣金
|
| | | $ | 136,525 | | | | | $ | 172,719 | | |
其他應計費用
|
| | | | 99,835 | | | | | | 21,035 | | |
累積獎金
|
| | | | 6,185 | | | | | | 59,013 | | |
客户存款
|
| | | | 1,620 | | | | | | 113,799 | | |
應計負債總額
|
| | | $ | 244,165 | | | | | $ | 366,566 | | |