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Cielo Reports 2022 Annual Financial Results

Cielo Reports 2022 Annual Financial Results

Cielo报告2022年年度财务业绩
Accesswire ·  2022/08/25 19:50

CALGARY, AB / ACCESSWIRE / August 25, 2022 / Cielo Waste Solutions Corp. (TSXV:CMC)(OTCQB:CWSFF) ("Cielo" or the "Company"), a waste-to-fuel environmental technology company, today reports financial results for the three months and year ended April 30, 2022. All amounts in this news release are in Canadian dollars unless otherwise indicated.

卡尔加里,AB/ACCESSWIRE/2022年8月25日Cielo Waste Solutions Corp.(TSXV:CMC)(OTCQB:CWSFF)(“Cielo”“公司”),一家将废物转化为燃料的环境技术公司,今天公布了截至2022年4月30日的三个月和年度的财务业绩。除非另有说明,本新闻稿中的所有金额均以加元表示。

FINANCIAL HIGHLHIGHTS

金融高峰期

  • Total assets increased by $8.3 million as of April 30, 2022 compared to April 30, 2021, mainly due to the increase in property, plant and equipment related to the asset purchase in Fort Saskatchewan, Alberta for $13.0 million; the construction activities at the Aldersyde Facility and the R&D Facility; the addition of an intangible asset of $2.0 million for the intellectual property (the "IP") purchase from 1888711 Alberta Inc. ("1888 Inc"), partially offset by the decrease in cash related to asset purchases, continued research and development activities and general and administrative expenditures.
  • Total liabilities decreased by $0.7 million as of April 30, 2022 compared to April 30, 2021 due to the exercise of liability classified warrants; the conversion of convertible debentures; the repayment of deferred revenue amounts related to the prepaid oil sale; and the decrease in accounts payable and accrued liabilities due to lower spending towards the year-end on the Aldersyde Facility compared to the same period in prior year, partially offset by the increases in long-term loans with the Second Mortgage Loan.
  • Total non-current liabilities increased by $15.4 million as of April 30, 2022 compared to April 30, 2021 due to the reclass of deferred fees related to the Renewable U MOU from current to non-current; the increase in lease liabilities related to the Calgary office lease; and the increase in long-term loans with the Second Mortgage Loan, partially offset by the reclassification of the royalty payable to current liabilities; conversion of convertible debentures.
  • The net loss for the Company for the fourth quarter of 2022 was $2.2 million, a decrease of $31.7 million from $33.9 million for the quarter ended April 30, 2021. The net loss for the Company in the current year was $14.4 million, a decrease of $25.3 million from $39.7 million for the year ended April 30, 2021. The decrease in net loss is primarily due to decreased financing costs and the fair value change of warrant liability offset by increases in general and administrative expenditures, research and development expenditures and share-based compensation.
  • As compared to a working capital deficiency of approximately $0.6 million at April 30, 2021, the Company had working capital of approximately $1.2 million as at April 30, 2022, owing primarily to the decrease in current liabilities, as described above.
  • 截至2022年4月30日,总资产比2021年4月30日增加了830万美元,主要原因是与资产购买有关的物业、厂房和设备增加了1300万美元;阿尔德赛德设施和研发设施的建设活动;从1888公司购买知识产权增加了200万美元的无形资产;但与资产购买、持续研发活动以及一般和行政支出有关的现金减少部分抵消了这一增加。
  • 截至2022年4月30日,总负债比2021年4月30日减少了70万美元,这是由于行使了债务分类认股权证;可转换债券的转换;与预付石油销售有关的递延收入的偿还;以及由于年底Aldersyde贷款的支出与上年同期相比减少,应付账款和应计负债减少,但被第二笔抵押贷款的长期贷款增加部分抵消。
  • 截至2022年4月30日,非流动负债总额比2021年4月30日增加1540万美元,这是因为与可再生U谅解备忘录相关的递延费用从流动重新分类为非流动;与卡尔加里写字楼租赁相关的租赁负债增加;以及第二抵押贷款的长期贷款增加,但被应付特许权使用费重新分类为流动负债、转换可转换债券部分抵消。
  • 该公司2022年第四季度的净亏损为220万美元,比截至2021年4月30日的季度的3390万美元减少了3170万美元。该公司本年度的净亏损为1,440万美元,比截至2021年4月30日的年度的3,970万美元减少2,530万美元。净亏损的减少主要是由于融资成本下降以及认股权证负债的公允价值变化被一般和行政支出、研究和开发支出以及基于股份的薪酬增加所抵消。
  • 与2021年4月30日的营运资金缺口约60万美元相比,公司截至2022年4月30日的营运资金约为120万美元,主要原因是流动负债减少,如上所述。

The Company also completed certain financial transactions during the year, including a private placement of convertible debentures for gross proceeds of $4.0 million and two mortgage loans, as well as a public offering of units subsequent to the year end for gross proceeds of $9.775 million. For details on these financing transactions, review the Company's annual audited financial statements and corresponding management's discussion and analysis for the years ended April 30, 2022 and 2021, available for viewing on the Company's profile on .

年内,本公司亦完成若干财务交易,包括私募可转换债券及两笔按揭贷款,所得款项总额为400万美元,以及于年底后公开发售单位,所得款项总额为977.5万美元。有关这些融资交易的详情,请查阅公司截至2022年4月30日和2021年4月30日的年度经审计财务报表和相应的管理层讨论和分析,可在上的公司简介中查看。

SELECTED FINANCIAL INFORMATION

精选财务信息

(Thousands of dollars,
except per share amounts)
Three months ended
April 30,
Year ended
April 30,
2022 2021 2022 2021
Total revenue
- - - 4
Financing costs
295 3,163 1,516 5,053
General and administrative
1,462 1,010 6,616 2,624
Research and development
899 951 5,467 2,053
Net loss
(2,197) (33,884) (14,445) (39,709)
Net loss per share - basic & diluted
(0.00) (0.10) (0.02) (0.11)
(数千美元,
除每股金额外)
截至三个月
4月30日,
截至的年度
4月30日,
2022 2021 2022 2021
总收入
- - - 4
融资成本
295 3,163 1,516 5,053
一般和行政
1,462 1,010 6,616 2,624
研发
899 951 5,467 2,053
净亏损
(2,197) (33,884) (14,445) (39,709)
每股净亏损--基本及摊薄
(0.00) (0.10) (0.02) (0.11)

CONFERENCE CALL

电话会议

Cielo will host a conference call on August 30, 2022 at 9 a.m. MT (11:00 a.m. ET) during which Cielo's Interim CEO Ryan Jackson and Interim CFO Jasdeep Dhaliwal will discuss fiscal Q4 and annual 2022 financial results, followed by a question-and-answer session. A live audio webcast of this call will be available by entering the following URL into your web browser:

Cielo将于2022年8月30日上午9点主持电话会议。MT(上午11:00)在此期间,Cielo的临时首席执行官瑞安·杰克逊和临时首席财务官贾斯迪普·达利瓦尔将讨论第四财季和2022年年度财务业绩,随后将进行问答环节。在您的Web浏览器中输入以下URL,即可收看本次通话的实时音频网络直播:

Conference Call Details:

电话会议详细信息:

Date: August 30, 2022 Time: 9:00 a.m. MT / 11:00 a.m. ET
Dial In: North America: 1-888-664-6392
Dial In: Toronto Local / International: 416-764-8659

日期:2022年8月30日时间:上午9:00MT/上午11:00外星人
拨入:北美:1-888-664-6392
拨入:多伦多本地/国际:416-764-8659

Replay: North America: 1-888-390-0541
Replay: Toronto Local/International: 416-764-8677
Replay Passcode: 969117 #

重播:北美:1-888-390-0541
重播:多伦多本地/国际:416-764-8677
重播密码:969117#

The conference call replay will be available until September 6, 2022.

电话会议重播将持续到2022年9月6日。

For further information please contact:

欲了解更多信息,请联系:

Ryan Jackson, Interim CEO
Phone: (403) 348-2972

瑞安·杰克逊临时首席执行官
电话:(403) 348-2972

Cielo Investor Relations
Email: investors@cielows.com

Cielo投资者关系
电子邮件:Investors@cielows.com

ABOUT CIELO

关于Cielo

Cielo Waste Solutions Corp. was incorporated under the Business Corporations Act (British Columbia) on February 2, 2011. Cielo is a publicly traded company with its shares listed to trade on the TSX Venture Exchange ("TSXV") under the symbol "CMC," on the Frankfurt Exchange ("DAX") under the symbol "C36", as well as on the OTC Venture Market ("OTCQB"), under the symbol "CWSFF." The Company's strategic intent is to become a leading waste-to-fuel company. The Company intends to use economically sustainable technology while minimizing the environmental impact. Cielo has a patented process that can convert waste feedstocks, including organic material and wood derivative waste, to fuel. Having demonstrated its ability to produce diesel and naphtha from waste, Cielo's business model is to construct additional processing facilities. Cielo's objective is to generate value by converting waste to fuel, while fueling the sustainable energy transition.

Cielo Waste Solutions Corp.成立于《商业公司法》(不列颠哥伦比亚省)2011年2月2日。Cielo是一家上市公司,其股票在多伦多证券交易所创业板(TSX)挂牌交易。TSXV),在法兰克福证券交易所,交易代码为“CMC”(DAX),以及场外创业板市场(OTCQB该公司的战略意图是成为一家领先的废物转化为燃料的公司。该公司打算使用经济上可持续的技术,同时将对环境的影响降至最低。Cielo拥有一项专利工艺,可以将包括有机材料和木材衍生废物在内的废物原料转化为燃料。Cielo的商业模式证明了其从废物中生产柴油和石脑油的能力,该公司的商业模式是建设更多的加工设施。Cielo的目标是通过将废物转化为燃料来创造价值,同时推动可持续的能源过渡。

CAUTIONARY NOTE REGARDING FORWARD-LOOKING STATEMENTS

有关前瞻性陈述的警示说明

This news release contains certain forward-looking statements and forward-looking information (collectively referred to herein as "forward-looking statements") within the meaning of applicable Canadian securities laws. All statements other than statements of present or historical fact are forward-looking statements. Forward-looking statements are often, but not always, identified by the use of words such as "anticipate", "achieve", "could", "believe", "plan", "intend", "objective", "continuous", "ongoing", "estimate", "outlook", "expect", "may", "will", "project", "should" or similar words, including negatives thereof, suggesting future outcomes.

本新闻稿包含适用于加拿大证券法的某些前瞻性陈述和前瞻性信息(在此统称为“前瞻性陈述”)。除有关当前或历史事实的陈述外,所有陈述均为前瞻性陈述。前瞻性陈述常常但不总是通过使用诸如“预期”、“实现”、“可能”、“相信”、“计划”、“打算”、“目标”、“持续”、“持续”、“估计”、“展望”、“预期”、“可能”、“将”、“项目”、“应该”或类似的词语,包括其否定,来确定未来的结果。

Forward-looking statements are subject to both known and unknown risks, uncertainties and other factors, many of which are beyond the control of the Company, that may cause the actual results, level of activity, performance or achievements of the Company to be materially different from those expressed or implied by such forward looking statements. Cielo is making forward looking statements, with respect to, but not limited to: the conference call, including the date and time, speakers and agenda, and the period of time during which an audio replay will be available.

前瞻性陈述会受到已知和未知的风险、不确定因素和其他因素的影响,其中许多风险、不确定性和其他因素不是公司所能控制的,这些因素可能会导致公司的实际结果、活动水平、业绩或成就与此类前瞻性陈述中明示或暗示的内容大不相同。Cielo发表前瞻性声明,涉及但不限于:电话会议,包括日期和时间、发言者和议程,以及音频回放的时间段。

Investors should continue to review and consider information disseminated through news releases and filed by the Company on SEDAR. Although the Company has attempted to identify important factors that could cause actual results to differ materially from those contained in forward looking statements, there may be other factors that cause results not to be as anticipated, estimated or intended.

投资者应继续审查和考虑通过新闻稿发布的信息,以及公司在SEDAR上提交的信息。尽管公司试图确定可能导致实际结果与前瞻性陈述中包含的结果大不相同的重要因素,但可能还有其他因素导致结果与预期、估计或预期的不同。

Forward-looking statements are not a guarantee of future performance and involve a number of risks and uncertainties, some of which are described herein. Such forward-looking statements necessarily involve known and unknown risks and uncertainties, which may cause the Company's actual performance and results to differ materially from any projections of future performance or results expressed or implied by such forward-looking statements. Any forward-looking statements are made as of the date hereof and, except as required by law, the Company assumes no obligation to publicly update or revise such statements to reflect new information, subsequent or otherwise. Neither the TSXV nor its Regulation Services Provider (as that term is defined in the policies of the TSXV), nor OTCQB nor WKN, have reviewed, and do not accept responsibility for the adequacy or accuracy of, the content of this news release.

前瞻性陈述不是对未来业绩的保证,涉及许多风险和不确定因素,本文对其中一些风险和不确定因素进行了描述。这些前瞻性陈述必然涉及已知和未知的风险和不确定因素,这些风险和不确定性可能导致公司的实际业绩和结果与这些前瞻性陈述明示或暗示的对未来业绩或结果的任何预测大不相同。任何前瞻性陈述都是自本新闻稿发布之日起作出的,除非法律另有要求,否则公司不承担公开更新或修改此类陈述以反映新信息的义务,无论是后续信息还是其他信息。TSXV或其监管服务提供商(该术语在TSXV的政策中定义)、OTCQB或WKN均未审查本新闻稿的内容,且不对其内容的充分性或准确性承担责任。

SOURCE: Cielo Waste Solutions Corp.

资料来源:Cielo Waste Solutions Corp.


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