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Champions Oncology Reports Record Quarterly Revenue of $13.7 Million

Champions Oncology Reports Record Quarterly Revenue of $13.7 Million

冠军肿瘤学报告创纪录的季度收入为1370万美元
Accesswire ·  2022/09/08 16:05

HACKENSACK, NJ / ACCESSWIRE / September 8, 2022 / Champions Oncology, Inc. (NASDAQ:CSBR), a leading global technology-enabled biotech that is transforming drug discovery through innovative AI-driven pharmaco-pheno-multiomic integration, today announced its financial results for its first quarter of fiscal 2023, ended July 31, 2022.

新泽西州哈肯萨克/ACCESSWIRE/2022年9月8日/冠军肿瘤公司(纳斯达克代码:CSBR)是一家全球领先的技术驱动的生物技术公司,正在通过创新的人工智能驱动的药物-现象-多组学集成来改变药物发现。该公司今天公布了截至2022年7月31日的2023财年第一季度的财务业绩。

First Quarter and Recent Highlights:

第一季度和最近的亮点:

  • Record quarterly revenue of $13.7 million, an increase of 22% year over year
  • Adjusted EBITDA of $450,000
  • Record quarterly bookings
  • Series of antibody hits established in Alloy Therapeutics partnership
  • 创纪录的季度收入为1370万美元,同比增长22%
  • 调整后的EBITDA为450,000美元
  • 创纪录的季度预订量
  • 在合金治疗合作伙伴关系中建立了一系列抗体命中

Ronnie Morris, CEO of Champions, commented, "We continued to deliver on our long-term vision in the first quarter by growing our service business while investing in transformative opportunities. Our bookings reached a quarterly record high and we achieved an important milestone in our target discovery program."

冠军酒店的首席执行官罗尼·莫里斯表示:“第一季度,我们继续实现我们的长期愿景,在投资于变革性机会的同时,扩大了我们的服务业务。我们的预订量达到了季度最高纪录,我们的目标发现计划取得了一个重要的里程碑。”

David Miller, CFO of Champions, added, "We began our first quarter of fiscal 2023 with another quarterly revenue record reaching $13.7 million, representing 22% year over year growth. Our adjusted EBITDA, which excludes stock-based compensation and depreciation expenses, was $450,000 and we anticipate EBITDA expansion over the course of the year."

冠军的首席财务官大卫·米勒补充道:“2023财年第一季度伊始,我们的季度营收再创新高,达到1370万美元,同比增长22%。我们调整后的EBITDA(不包括基于股票的薪酬和折旧费用)为45万美元,我们预计今年EBITDA将扩大。”

First Fiscal Quarter Financial Results

第一财季财务业绩

Total revenue for the first quarter of fiscal 2023, was a record $13.7 million, an increase of 22.1%, compared to $11.3 million for the same period last year. The increase in revenue was due to continued demand for our services, leading to larger pharmacology studies in both our in-vivo and ex-vivo platforms. Total costs and operating expenses for the first quarter of fiscal 2023 were $14.0 million compared to $11.4 million for the first quarter of fiscal 2022, an increase of $2.6 million or 22.8%.

2023财年第一季度的总收入达到创纪录的1370万美元,增长22.1%,而去年同期为1130万美元。收入的增加是由于对我们服务的持续需求,导致我们的体内和体外平台进行了更大规模的药理学研究。2023财年第一季度的总成本和运营费用为1,400万美元,而2022财年第一季度为1,140万美元,增加了260万美元,增幅为22.8%。

For the first quarter of fiscal 2023, Champions reported a loss from operations of $284,000, including $206,000 in stock-based compensation and $528,000 in depreciation and amortization expenses, compared to a loss from operations of $175,000, inclusive of $280,000 in stock-based compensation and $317,000 in depreciation and amortization expenses, in the first quarter of fiscal 2021. Excluding stock-based compensation, depreciation and amortization expenses, Champions reported adjusted EBITDA for the quarter of $450,000 compared to $422,000 in the prior year period.

在2023财年第一季度,冠军企业报告运营亏损28.4,000美元,包括基于股票的薪酬20.6,000美元和折旧和摊销费用528,000美元,而2021财年第一季度的运营亏损为175,000美元,包括基于股票的薪酬280,000美元和折旧和摊销费用317,000美元。不包括基于股票的薪酬、折旧和摊销费用,冠军公司报告本季度调整后的EBITDA为45万美元,而去年同期为42.2万美元。

Cost of oncology solutions was $7.1 million for the three-months ended July 31, 2022, an increase of $1.7 million, or 30.7% compared to $5.4 million for the three-months ended July 31, 2021. The increase in cost of sales was primarily from compensation, mice and lab supply expenses for pharmacology studies and an increase in compensation expense for our SaaS platform. For the three- months ended July 31, 2022, gross margin was 49% compared to 52% for the three-months ended July 31, 2021. The lower margin resulted from an increase in study related expenses in advance of the revenue recognition and from SaaS expenses that were capitalized in the prior year period.

截至2022年7月31日的三个月,肿瘤学解决方案的成本为710万美元,比截至2021年7月31日的三个月的540万美元增加了170万美元,增幅为30.7%。销售成本的增加主要来自药理研究的补偿、小鼠和实验室用品费用以及我们SaaS平台的补偿费用的增加。截至2022年7月31日的三个月,毛利率为49%,而截至2021年7月31日的三个月毛利率为52%。利润率较低的原因是收入确认前与学习相关的费用增加,以及上一年期间资本化的SaaS费用。

Research and development expense for the three-months ended July 31, 2022 was $2.9 million, an increase of $583,000 or 25.3%, compared to $2.3 million for the three-months ended July 31, 2021. The increase was primarily from compensation and lab supply expenses related to the investment in our therapeutic discovery platform. Sales and marketing expense for the three-months ended July 31, 2022 was $1.7 million, an increase of $118,000, or 7.5%, compared to $1.6 million for the three-months ended July 31, 2021. The increase was primarily due to compensation expense. General and administrative expense for the three-months ended July 31, 2022 was $2.4 million, an increase of $244,000, or 11.3%, compared to $2.2 million for the three-months ended July 31, 2021. The increase was primarily due to depreciation and amortization expenses and IT related costs to support the growth of the business.

截至2022年7月31日的三个月的研发费用为290万美元,增加了58.3万美元,增幅为25.3%,而截至2021年7月31日的三个月的研发费用为230万美元。这一增长主要来自与我们的治疗发现平台投资相关的补偿和实验室供应费用。截至2022年7月31日的三个月的销售和营销费用为170万美元,比截至2021年7月31日的三个月的160万美元增加了11.8万美元,增幅7.5%。增加的主要原因是补偿费用。截至2022年7月31日的三个月的一般和行政费用为240万美元,比截至2021年7月31日的三个月的220万美元增加了24.4万美元,增幅11.3%。增加的主要原因是折旧和摊销费用以及支持业务增长的IT相关成本。

Net cash used in operating activities was $195,000 for the three-months ended July 31, 2022. The cash utilized in operating activities was primarily due to a reduction in our accounts payable and accrued liability balances during the ordinary course of business. Net cash used in investing activities was $754,000 and primarily for the purchase of lab and computer equipment.

截至2022年7月31日的三个月,经营活动中使用的净现金为19.5万美元。在经营活动中使用的现金主要是由于我们在正常业务过程中减少了应付账款和应计负债余额。用于投资活动的现金净额为754,000美元,主要用于购买实验室和计算机设备。

The Company ended the quarter with a strong cash position of $8.1 million. The Company has no debt.

该公司在本季度结束时拥有810万美元的强大现金状况。该公司没有债务。

Conference Call Information:

电话会议信息:

The Company will host a conference call today at 4:30 p.m. EDT (1:30 p.m. PDT) to discuss its first quarter financial results. To participate in the call, please call 888-506-0062 (Domestic) or 973-528-0011 (International) and enter the access code 618777, or provide the verbal reference "Champions Oncology".

公司将于今天下午4:30主持电话会议。美国东部夏令时(下午1:30德州仪器(PDT:行情)讨论其第一季财报.要参加电话会议,请拨打888-506-0062(国内)或973-528-0011(国际),并输入接入代码618777,或提供口头参考“冠军肿瘤学”。

Full details of the Company's financial results will be available by Monday, September 12, 2022 in the Company's Form 10-Q at .

公司财务业绩的全部细节将在2022年9月12日(星期一)之前在公司的10-Q表格中公布,网址为。

* Non-GAAP Financial Information

*非公认会计准则财务信息

See the attached Reconciliation of GAAP net income (loss) to Non-GAAP net income for an explanation of the amounts excluded to arrive at Non-GAAP net income and related Non-GAAP earnings per share amounts for the three months ended July 31, 2022 and 2021. Non-GAAP financial measures provide investors and management with supplemental measures of operating performance and trends that facilitate comparisons between periods before and after certain items that would not otherwise be apparent on a GAAP basis. Certain unusual or non-recurring items that management does not believe affect the Company's basic operations do not meet the GAAP definition of unusual or non-recurring items. Non-GAAP net income and Non-GAAP earnings per share are not, and should not, be viewed as a substitute for similar GAAP items. Champions defines Non-GAAP dilutive earnings per share amounts as Non-GAAP net earnings divided by the weighted average number of diluted shares outstanding. Champions' definition of Non-GAAP net earnings and Non-GAAP diluted earnings per share may differ from similarly named measures used by other companies.

有关截至2022年7月31日和2021年7月31日的三个月的非GAAP净收入和相关非GAAP每股收益不包括的金额的解释,请参阅所附的GAAP净收入(亏损)与非GAAP净收入的对账。非GAAP财务指标为投资者和管理层提供了经营业绩和趋势的补充指标,便于在某些项目之前和之后进行比较,否则这些项目在GAAP基础上是不明显的。管理层认为不会影响公司基本运营的某些非常或非经常性项目不符合美国公认会计准则对非常或非经常性项目的定义。非GAAP净收入和非GAAP每股收益不是、也不应该被视为类似GAAP项目的替代品。冠军将非GAAP稀释每股收益定义为非GAAP净收益除以加权平均已发行稀释股票数量。冠军对非GAAP净收益和非GAAP稀释每股收益的定义可能与其他公司使用的类似名称的衡量标准不同。

About Champions Oncology, Inc.

冠军肿瘤公司简介

Champions Oncology is a technology-driven research organization that develops innovative therapeutics against cancer targets, offers groundbreaking research software as a service, and provides end-to-end R&D services to biopharma organizations. Champions Oncology is actively engaged in the transformation of drug discovery through a novel approach of pharmaco-pheno-multiomic integration. For more information, please visit .

冠军肿瘤是一家技术驱动的研究组织,开发针对癌症目标的创新疗法,提供突破性的研究软件作为服务,并为生物制药组织提供端到端的研发服务。冠军肿瘤学通过一种新的药物-表观-多组学整合方法积极参与药物发现的转变。欲了解更多信息,请访问。

This press release may contain "forward-looking statements" (within the meaning of the Private Securities Litigation Act of 1995) that inherently involve risk and uncertainties. Champions Oncology generally uses words such as "believe," "may," "could," "will," "intend," "expect," "anticipate," "plan," and similar expressions to identify forward-looking statements. One should not place undue reliance on these forward-looking statements. The Company's actual results could differ materially from those anticipated in the forward-looking statements for many unforeseen factors. See Champions Oncology's Form 10-K for the fiscal year ended April 30, 2022 for a discussion of such risks, uncertainties and other factors. Although the Company believes the expectations reflected in the forward-looking statements are reasonable, they relate only to events as of the date on which the statements are made, and Champions Oncology's future results, levels of activity, performance or achievements may not meet these expectations. The Company does not intend to update any of the forward-looking statements after the date of this press release to conform these statements to actual results or to changes in Champions Oncology's expectations, except as required by law.

本新闻稿可能包含“前瞻性陈述”(符合1995年“私人证券诉讼法案”的含义),这些陈述本身就涉及风险和不确定性。冠军肿瘤学通常使用“相信”、“可能”、“可能”、“将”、“打算”、“预期”、“预期”、“计划”等词语来识别前瞻性陈述。人们不应过度依赖这些前瞻性陈述。由于许多不可预见的因素,该公司的实际结果可能与前瞻性陈述中预期的大不相同。有关此类风险、不确定性和其他因素的讨论,请参阅冠军肿瘤学公司截至2022年4月30日的财政年度的Form 10-K。尽管公司认为前瞻性陈述中反映的预期是合理的,但它们只与陈述发表之日发生的事件有关,冠军肿瘤学公司未来的结果、活动水平、业绩或成就可能达不到这些预期。除法律要求外,公司不打算在本新闻稿发布之日之后更新任何前瞻性陈述,以使这些陈述与实际结果或冠军肿瘤公司预期的变化相一致。

Champions Oncology, Inc.
(Dollars in thousands)

冠军肿瘤学公司
(千美元)

Reconciliation of GAAP to Non-GAAP Net Income (Loss) (Unaudited)

公认会计原则与非公认会计原则净收益(亏损)的对账(未经审计)

Three Months Ended
July 31,
2022 2021
Net loss - GAAP
$ (319 ) $ (172 )
Less:
Stock-based compensation
206 280
Net income (loss) - Non-GAAP
$ (113 ) $ 108
截至三个月
7月31日,
2022 2021
净亏损(简写为GAAP)
$ (319 ) $ (172 )
更少:
基于股票的薪酬
206 280
净收益(亏损)--非公认会计准则
$ (113 ) $ 108

Reconciliation of GAAP EPS to Non-GAAP EPS (Unaudited)

GAAP每股收益与非GAAP每股收益的对账(未经审计)

Three Months Ended
July 31,
2022 2021
EPS - GAAP, basic
$ (0.02 ) $ (0.01 )
Less:
Effect of stock-based compensation on EPS
0.02 0.02
EPS - Non-GAAP, basic
$ - $ 0.01
Three Months Ended
July 31,
2022 2021
EPS - GAAP, diluted
$ (0.02 ) $ (0.01 )
Less:
Effect of stock-based compensation on EPS
0.02 0.02
EPS - Non-GAAP, diluted
$ - $ 0.01
截至三个月
7月31日,
2022 2021
EPS-GAAP,基础版
$ (0.02 ) $ (0.01 )
更少:
股票薪酬对每股收益的影响
0.02 0.02
每股收益-非GAAP,基础版
$ - $ 0.01
截至三个月
7月31日,
2022 2021
每股收益-公认会计原则,稀释
$ (0.02 ) $ (0.01 )
更少:
股票薪酬对每股收益的影响
0.02 0.02
每股收益-非GAAP,稀释
$ - $ 0.01

Unaudited Condensed Consolidated Statements of Operations (unaudited)

未经审计的简明合并业务报表(未经审计)

Three Months Ended
July 31,
2022 2021
Oncology services revenue
$ 13,745 $ 11,253
Cost of oncology services
7,052 5,396
Research and development
2,887 2,304
Sales and marketing
1,692 1,574
General and administrative
2,398 2,154
Loss from operations
(284 ) (175 )
Other income (loss)
(18 ) 17
Loss before provision for income taxes
(302 ) (158 )
Provision for income taxes
17 14
Net loss
$ (319 ) $ (172 )
Net loss per common share outstanding
basic
$ (0.02 ) $ (0.01 )
and diluted
$ (0.02 ) $ (0.01 )
Weighted average common shares outstanding
basic
13,522,433 13,401,929
and diluted
13,522,433 13,401,929
截至三个月
7月31日,
2022 2021
肿瘤学服务收入
$ 13,745 $ 11,253
肿瘤学服务费用
7,052 5,396
研发
2,887 2,304
销售和市场营销
1,692 1,574
一般和行政
2,398 2,154
运营亏损
(284 ) (175 )
其他收入(亏损)
(18 ) 17
扣除所得税准备前的亏损
(302 ) (158 )
所得税拨备
17 14
净亏损
$ (319 ) $ (172 )
每股已发行普通股净亏损
基本信息
$ (0.02 ) $ (0.01 )
和稀释的
$ (0.02 ) $ (0.01 )
加权平均已发行普通股
基本信息
13,522,433 13,401,929
和稀释的
13,522,433 13,401,929

Condensed Consolidated Balance Sheets

简明综合资产负债表

July 31, 2022 April 30, 2022
(unaudited)
Cash
$ 8,058 $ 9,007
Accounts receivable, net
9,355 9,513
Other current assets
958 1,144
Total current assets
18,371 19,664
Operating lease right-of-use assets, net
7,971 8,230
Property and equipment, net
7,698 7,134
Other long term assets
15 15
Goodwill
335 335
Total assets
$ 34,390 $ 35,378
Accounts payable and accrued liabilities
$ 4,494 $ 5,282
Current portion of operating lease liabilities
1,099 1,054
Other current liabilities
142 72
Deferred revenue
10,885 11,071
Total current liabilities
16,620 17,479
Non-current operating lease liabilities
8,127 8,412
Other Non-current Liability
660 391
Total liabilities
25,407 26,282
Stockholders' equity
8,983 9,096
Total liabilities and stockholders' equity
$ 34,390 $ 35,378
2022年7月31日 2022年4月30日
(未经审计)
现金
$ 8,058 $ 9,007
应收账款净额
9,355 9,513
其他流动资产
958 1,144
流动资产总额
18,371 19,664
经营性租赁使用权资产净额
7,971 8,230
财产和设备,净额
7,698 7,134
其他长期资产
15 15
商誉
335 335
总资产
$ 34,390 $ 35,378
应付账款和应计负债
$ 4,494 $ 5,282
经营租赁负债的当期部分
1,099 1,054
其他流动负债
142 72
递延收入
10,885 11,071
流动负债总额
16,620 17,479
非流动经营租赁负债
8,127 8,412
其他非流动负债
660 391
总负债
25,407 26,282
股东权益
8,983 9,096
总负债和股东权益
$ 34,390 $ 35,378

Unaudited Condensed Consolidated Statements of Cash Flows (unaudited)

未经审计的现金流量表简明合并报表(未经审计)

Three Months Ended
July 31,
2022 2021
Cash flows from operating activities:
Net loss
$ (319 ) $ (172 )
Adjustments to reconcile net loss to net cash provided by (used in) operations:
Stock-based compensation expense
206 280
Operating lease right-of use assets
269 245
Depreciation and amortization expense
528 317
Net gain on disposal of equipment
- (4 )
Allowance for doubtful accounts
- 78
Changes in operating assets and liabilities
(879 ) (528 )
Net cash provided by (used in) operating activities
(195 ) 216
Cash flows from investing activities:
Purchases of property and equipment
(754 ) (907 )
Net cash used in investing activities:
(754 ) (907 )
Cash flows from financing activities:
Proceeds from the exercise of stock options
- 2
Net cash provided by financing activities:
- 2
Net decrease in cash
(949 ) (689 )
Cash at beginning of period
9,007 4,687
Cash at the end of period
$ 8,058 $ 3,998
截至三个月
7月31日,
2022 2021
经营活动的现金流:
净亏损
$ (319 ) $ (172 )
对净亏损与业务提供(用于)现金净额的调整:
基于股票的薪酬费用
206 280
经营性租赁使用权资产
269 245
折旧及摊销费用
528 317
处置设备的净收益
- (4 )
坏账准备
- 78
经营性资产和负债的变动
(879 ) (528 )
经营活动提供(用于)的现金净额
(195 ) 216
投资活动产生的现金流:
购置财产和设备
(754 ) (907 )
用于投资活动的现金净额:
(754 ) (907 )
融资活动的现金流:
行使股票期权所得收益
- 2
融资活动提供的现金净额:
- 2
现金净减少
(949 ) (689 )
期初现金
9,007 4,687
期末现金
$ 8,058 $ 3,998

SOURCE: Champions Oncology, Inc.

资料来源:冠军肿瘤学公司


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