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SusGlobal Energy Corp. Reports Third Quarter 2022 Financial Results

SusGlobal Energy Corp. Reports Third Quarter 2022 Financial Results

SusGlobal Energy Corp.公布2022年第三季度财务业绩
newsfile ·  2022/11/15 11:05

Toronto, Ontario--(Newsfile Corp. - November 15, 2022) -  SusGlobal Energy Corp. (OTCQB: SNRG) ("SusGlobal") or (the "Company"), the developer of SusGro, a revolutionary pathogen-free organic liquid fertilizer and LEADERS IN THE CIRCULAR ECONOMY®, today announced financial results for the third quarter ended September 30, 2022 and provided an update on its operational progress.

安大略省多伦多-(Newsfile Corp.-2022年11月15日)-SusGlobal Energy Corp.(OTCQB:SNRG)(“SusGlobal“)或(”公司“),SusGro的开发者,革命性的无菌有机液体肥料和循环经济领域的领导者®今天公布了截至2022年9月30日的第三季度财务业绩,并提供了运营进展的最新情况。

Recent Highlights

最近的亮点

  • On June 28, 2022, the Company received Building Permit No. 21 165172 00 I3 from the City of Hamilton Building Division and on July 5th the Company announced that its wholly owned subsidiary, SusGlobal Energy Hamilton Ltd., continues the development of its 51,535 square foot facility on 3.26 acres located at 520 Nash Road North, in Hamilton, Ontario, which includes an Environmental Compliance Approval ("ECA") to process up to 65,884 metric tonnes per annum of organic waste. Completion of the second facility is slated for 2023, subject to the Company's effective registration statement, successful offering of securities of the Company and completion of a US$15,000,000 underwriting. The facility has the potential to generate an annual revenue run rate of US$101,595,000 (CA$135,000,000), based on 12,000 metric tonnes of organic waste processing or 18.5% of the ECA capacity.
  • 2022年6月28日,公司从汉密尔顿市建筑事业部获得建筑许可证编号21 165172 00 I3,并于7月5日这是该公司宣布,其全资子公司SusGlobal Energy Hamilton Ltd.继续开发其占地51,535平方英尺的设施,该设施位于安大略省汉密尔顿纳什路北520号,占地3.26英亩,其中包括环境合规批准(非洲经委会“)每年处理多达65,884公吨有机废物。第二个设施预计于2023年竣工,取决于本公司的有效注册声明、成功发行本公司的证券以及完成15,000,000美元的承销。 基于12,000公吨有机废物处理能力或ECA产能的18.5%,该设施有潜力产生101,595,000美元(加元135,000,000加元)的年收入运行率。
  • On July 11, 2022, the Company announced that its wholly-owned subsidiary, SusGlobal Energy Belleville Ltd., completed a Verified Emission Reductions and Removals ("VERRs") report as part of the carbon credit development process for the Anew SusGlobal Belleville Composting Offset Project (the "Project"). This report has been submitted to the GHG CleanProjects® Registry, a business unit of the Standards Division of the Canadian Standards Association ("CSA"). This Project is part of the Offset Development and Marketing Agreement (the "Agreement") with Anew Canada ULC (formerly known as Blue Source Canada ULC) ("Anew Canada") for developed and marketed greenhouse gas ("GHG") offset credits from the Company's 49-acre Organic & Non-Hazardous Waste Processing & Composting Facility in Belleville, Ontario. The Agreement allows SusGlobal to monetize and realize benefits from voluntary emission reduction activities.
  • 2022年7月11日,本公司宣布其全资子公司SusGlobal Energy Belleville Ltd.完成了经核实的减排和清除量(“VERR“)作为新的SusGlobal Belleville堆肥抵消项目碳信用发展进程的一部分的报告(”项目)。本报告已提交给温室气体清洁项目®注册处,该注册处是加拿大标准协会标准部的一个业务部门(环孢素A“)。本项目是抵销开发和营销协议(”协议“)与新加拿大ULC(前身为Blue Source Canada ULC)(”新加拿大“)开发和销售的温室气体(”温室气体“)抵消该公司位于安大略省贝尔维尔占地49英亩的有机和非危险废物处理和堆肥设施的信用额度。该协议使SusGlobal能够从自愿减排活动中获利并实现收益。
  • On September 21, 2022, the Company announced that its wholly owned subsidiary, SusGlobal Energy Belleville Ltd., generated its first Verified Emission Reductions and Removals ("VERRs") and sold its first carbon credits as part of the Anew™ SusGlobal Belleville Composting Offset Project in Ontario (the "Project"). The Project generated approximately 105,000 VERRS (generated from 2017 through 2021) with an approximate market value of between US$3.76 (CA$5.00) and US$7.52 (CA$10.00) per VERR. The Project report was submitted to the GHG CleanProjects® Registry, a business unit of the Standards Division of the Canadian Standards Association ("CSA"). The Project is part of the Offset Development and Marketing Agreement with Anew Canada ULC (formerly known as Blue Source Canada ULC) ("Anew Canada") for developed and marketed greenhouse gas ("GHG") offset credits from the Company's 49-acre Organic & Non-Hazardous Waste Processing & Composting Facility in Belleville, Ontario.
  • 2022年9月21日, 该公司宣布,其全资子公司SusGlobal Energy Belleville Ltd.产生了其首个经过验证的减排和清除量(“VERR“),并作为安大略省新的™SusGlobal Belleville堆肥补偿项目的一部分出售了第一批碳信用额度(The”项目“)。该项目产生了大约105,000个®(从2017年到2021年产生),大约每个VERR的市场价值在3.76美元(加元5.00加元)到7.52美元(加元10.00加元)之间。项目报告提交给了温室气体清洁项目VERR注册,这是加拿大标准协会标准部的一个业务部门(”环孢素A“)。该项目是与一家新的加拿大ULC(前身为Blue Source Canada ULC)签订的抵销开发和营销协议的一部分(”新加拿大“)开发和销售的温室气体(”温室气体“)抵消该公司位于安大略省贝尔维尔占地49英亩的有机和非危险废物处理和堆肥设施的信用额度。

Revenue for the third quarter of 2022, in the amount of $164,376, increased by $54,233 or approximately 49.2 % over the revenue for the second quarter of 2022 in the amount of $110,143. Revenue decreased by $40,420 or approximately 20% during the third quarter of 2022 to $164,376 compared to the third quarter of 2021 in the amount of $204,796, from decreased business as a result of changes in the customer base from the Company's organic waste processing and composting facility.

2022年第三季度的收入为164,376美元,比2022年第二季度的110,143美元增加了54,233美元,增幅约为49.2%。与2021年第三季度相比,2022年第三季度的收入减少了40,420美元,降幅约为20%,至164,376美元,总额为204,796美元,这是由于公司的有机废物处理和堆肥设施的客户群发生变化导致业务减少所致。

In addition, included in third quarter of 2022 and noted under note 15, other expenses, in the interim condensed consolidated financial statements, is other revenue of $132,826 (CA$170,333) from the sale of VEERS generated during the years 2017 and 2018.

此外,包括在2022年第三季度并在附注15下注明的中期简明合并财务报表中的其他费用是销售2017和2018年期间产生的转向的其他收入132,826美元(170,333加元)。

"We continue to process municipal organic waste streams, diverting them from landfills, while producing regenerative products and monetizing carbon credits as part of our Circular Economy model. We have confidence in a revenue ramp up this year," said Marc Hazout, Executive Chairman, President and CEO of SusGlobal Energy Corp. "Our goal is to have our second facility commence the commercialization of our proprietary organic liquid fertilizer in order to increase revenue and cash flow, maximizing shareholder value with an objective to up-list to a major exchange."

苏斯全球能源公司执行主席兼首席执行官马克·哈扎特表示:“我们继续处理城市有机废物流,将它们从垃圾填埋场转移出去,同时生产再生产品,并将碳信用货币化,作为我们循环经济模式的一部分。我们对今年的收入增长充满信心。”苏斯全球能源公司执行主席兼首席执行官总裁表示。我们的目标是让我们的第二家工厂开始将我们专有的有机液体肥料商业化,以增加收入和现金流,最大化股东价值,目标是在一家主要交易所上市。“

Unaudited 2022 Third Quarter Financial Results

未经审计的2022年第三季度财务业绩

For the third quarter ended September 30, 2022, SusGlobal recorded:

在截至2022年9月30日的第三季度,SusGlobal记录如下:

  • Revenue of $164,376.
  • Cost of sales of $495,742.
  • Operating expenses of $1,800,821, comprised primarily of $659,050 of stock-based compensation, $378,510 of foreign exchange, $208,537 of interest expense, $190,653 of professional fees, $175,288 of total management compensation including stock-based compensation of $60,113 and $188,783 of other operating expenses.
  • Net loss of $3,696,980, or $0.04 loss per share- basic and diluted.
  • Included in the other expenses for the period was a charge of $1,447,619 on the revaluation of the convertible promissory notes.
  • Adjusted EBITDA (a non-GAAP financial measure) loss of $1,180,853.
  • $10,833,317 in total assets and $17,231,103 in total current liabilities at the end of the third quarter.
  • 收入为164,376美元。
  • 销售成本495,742美元。
  • 业务费用1 800 821美元,主要包括659 050美元的股票薪酬、378 510美元的外汇、208 537美元的利息支出、190 653美元的专业费用、175 288美元的管理薪酬总额,包括60 113美元的股票薪酬和188 783美元的其他业务费用。
  • 净亏损3,696,980美元,或每股亏损0.04美元-基本和稀释后。
  • 该期间的其他费用中包括可转换本票重估费用1 447 619美元。
  • 调整后的EBITDA(非公认会计准则财务指标)亏损1,180,853美元。
  • 第三季度末资产总额为10 833 317美元,流动负债总额为17 231 103美元。

About SusGlobal Energy Corp.

关于SusGlobal Energy Corp.

SusGlobal Energy Corp., the developer of SusGro™, an award winning and revolutionary pathogen free organic liquid fertilizer, is an industrial, environmental and agricultural biotechnology company focused on acquiring, developing, and monetizing a portfolio of proprietary technologies in the waste to energy and regenerative product applications globally. It is management's objective to grow SusGlobal into a significant sustainable waste to energy and regenerative products provider and a trusted brand for the fertilizer, soil and aquaculture market, as LEADERS IN THE CIRCULAR ECONOMY®. For more information, please visit the Company's website at: .

SusGro™是一种获奖的革命性无病原体有机液体肥料,其开发商SusGro Global Energy Corp.是一家工业、环境和农业生物技术公司,专注于在全球范围内收购、开发废物转化能源和可再生产品应用领域的一系列专利技术,并将其货币化。管理层的目标是将苏斯环球发展成为重要的可持续废物能源和再生产品供应商,以及化肥、土壤和水产养殖市场值得信赖的品牌,成为循环经济®的领导者。欲了解更多信息,请访问公司网站:。

In accordance with SEC Regulation G, the non-GAAP measurements in this press release have been reconciled to the nearest GAAP measurement, which can be viewed under the heading "Interim Condensed Consolidated Reconciliation of Non-GAAP Information" in the financial table included in this press release.

根据美国证券交易委员会G规则,本新闻稿中的非公认会计准则计量已与最近的公认会计准则计量进行了核对,可在本新闻稿所包括的财务表格中“非公认会计准则信息的中期精简合并对账”标题下查看。

This news release contains "forward-looking statements" within the meaning of the Private Securities Litigation Reform Act of 1995, including statements regarding the Company's objectives. Forward looking statements are statements that are not historical facts and are generally, but not always, identified by the words "expects," "plans," "anticipates," "believes," "intends," "estimates," "projects," "aims," "potential," "goal," "objective," "prospective," and similar expressions, or that events or conditions "will," "would," "may," "can," "could" or "should" occur. The Company cautions investors that any forward-looking statements by the Company are not guarantees of future results or performance, and that actual results may differ materially from those in forward looking statements as a result of various factors, including, but not limited to, lack of sufficient financial resources; variations in market conditions, currency and our stock; the Company's ability to obtain any necessary permits, approvals, consents or authorizations required for its activities; the Company's ability to produce energy, biogas, compost or organic fertilizer from its properties successfully or profitably, to continue its projected growth, or to be fully able to implement its business strategies and other risk factors described in the Company's filings with the U.S. Securities and Exchange Commission, which may be viewed at www.sec.gov.

本新闻稿包含“1995年私人证券诉讼改革法”所指的“前瞻性陈述”,包括有关公司目标的陈述。前瞻性陈述是指不是历史事实的陈述,通常但并非总是由“预期”、“计划”、“预期”、“相信”、“打算”、“估计”、“项目”、“目标”、“潜在”、“目标”、“目标”、“预期”以及类似的表述,或事件或条件“将”、“将”、“可能”、“可能”、““可能”或“应该”发生。公司提醒投资者,公司的任何前瞻性陈述都不是对未来结果或业绩的保证,实际结果可能会由于各种因素而与前瞻性陈述中的结果大不相同,这些因素包括但不限于缺乏足够的财政资源;市场状况、货币和股票的变化;公司获得其活动所需的任何必要许可、批准、同意或授权的能力;公司成功或有利可图地从其物业生产能源、沼气、堆肥或有机肥料的能力,继续其预期的增长,或完全能够实施公司提交给美国证券交易委员会的文件中描述的业务战略和其他风险因素,这些文件可在www.sec.gov上查看。

- Financial Tables Follow -

-财务表格如下-

SusGlobal Energy Corp.
Interim Condensed Consolidated Balance Sheets
As at September 30, 2022 and December 31, 2021
(Expressed in United States Dollars)
(unaudited)

SusGlobal Energy Corp.
中期简明综合资产负债表
截至2022年9月30日及2021年12月31日
(以美元表示)
(未经审计)



September 30,
December 31,


2022
2021
ASSETS



Current Assets



Cash $ 4,114    $ 36,033
Trade receivables
70,746
59,665
Government remittances receivable
51,174
13,265
Other receivable
140,431
-
Inventory
48,154
20,582
Prepaid expenses and deposits
1,411,489
163,343
Total Current Assets
1,726,108
292,888
Long-lived Assets, net
9,107,209
8,278,833
Long-Term Assets
9,107,209
8,278,833
Total Assets $ 10,833,317
   $ 8,571,721
LIABILITIES AND STOCKHOLDERS' DEFICIENCY



Current Liabilities



Accounts payable $ 3,686,160    $ 1,085,235
Government remittances payable
326,360
262,047
Accrued liabilities
1,609,104
942,241
Current portion of long-term debt
4,901,448
7,765,421
Current portion of obligations under capital lease
60,680
91,047
Convertible promissory notes
6,567,989
3,798,516
Due to related party
79,362
-
Total Current Liabilities
17,231,103
13,944,507
Long-term debt
3,857,055
1,752,271
Obligations under capital lease
78,063
130,086
Deferred tax liability
68,377
73,925
Total Long-term Liabilities
4,003,495
1,956,282
Total Liabilities
21,234,598
15,900,789
Stockholders' Deficiency



Preferred stock, $.0001 par value, 10,000,000 authorized, none issued and outstanding
Common stock, $.0001 par value, 150,000,000 authorized, 107,313,135 (2021- 92,983,547) shares issued and outstanding

10,736
9,302
Additional paid-in capital
16,167,554
11,272,599
Shares to be issued
60,100
59,640
Accumulated deficit
(27,123,524)
(18,334,649)
Accumulated other comprehensive income (loss)
483,853
(335,960)
Stockholders' deficiency
(10,401,281)
(7,329,068)
Total Liabilities and Stockholders' Deficiency $ 10,833,317    $ 8,571,721


9月30日,
十二月三十一日,


2022
2021
资产



流动资产



现金 $ 4,114 $ 36,033
应收贸易账款
70,746
59,665
应收政府汇款
51,174
13,265
其他应收账款
140,431
-
库存
48,154
20,582
预付费用和押金
1,411,489
163,343
流动资产总额
1,726,108
292,888
长期资产,净额
9,107,209
8,278,833
长期资产
9,107,209
8,278,833
总资产 $ 10,833,317
$ 8,571,721
负债与股东缺陷



流动负债



应付帐款 $ 3,686,160 $ 1,085,235
应支付的政府汇款
326,360
262,047
应计负债
1,609,104
942,241
长期债务的当期部分
4,901,448
7,765,421
资本租赁项下债务的本期部分
60,680
91,047
可转换本票
6,567,989
3,798,516
因关联方原因
79,362
-
流动负债总额
17,231,103
13,944,507
长期债务
3,857,055
1,752,271
资本租赁项下的债务
78,063
130,086
递延税项负债
68,377
73,925
长期负债总额
4,003,495
1,956,282
总负债
21,234,598
15,900,789
股东缺位



优先股,面值0.0001美元,授权10,000,000股,未发行和未偿还
普通股,面值0.0001美元,授权150,000,000股,已发行和已发行股份107,313,135股(2021-92,983,547股)

10,736
9,302
额外实收资本
16,167,554
11,272,599
拟发行的股份
60,100
59,640
累计赤字
(27,123,524)
(18,334,649)
累计其他综合收益(亏损)
483,853
(335,960)
股东缺位
(10,401,281)
(7,329,068)
总负债与股东缺位 $ 10,833,317 $ 8,571,721

SusGlobal Energy Corp.
Interim Condensed Consolidated Statements of Operations and Comprehensive Loss
For the three-month periods ended September 30, 2022 and 2021
(Expressed in United States Dollars)
(unaudited)

SusGlobal Energy Corp.
中期简明合并经营报表和全面亏损
截至2022年9月30日和2021年9月30日止的三个月期间
(以美元表示)
(未经审计)



For the three-month periods ended


September 30, 2022
September 30, 2021
Revenue $ 164,376    $ 204,796
Cost of Sales



Opening inventory
19,555
35,983
Depreciation
112,731
116,632
Direct wages and benefits
52,860
74,093
Equipment rental, delivery, fuel and repairs and maintenance
365,975
371,424
Utilities
(7,760)
16,872
Outside contractors
535
39,717


543,896
654,721
Less: closing inventory
(48,154)
(21,506)
Total cost of sales
495,742
633,215
Gross loss
(331,366)
(428,419)
Operating expenses



Management compensation-stock-based



compensation
60,113
54,259
Management compensation-fees
115,175
90,471
Marketing
(250)
30,131
Professional fees
190,653
100,454
Interest expense and default amounts
208,537
222,271
Office and administration
67,377
66,329
Rent and occupancy
54,586
56,148
Insurance
12,867
19,719
Filing fees
9,699
49,131
Amortization of financing costs
27,752
41,177
Directors' compensation
14,366
14,905
Stock-based compensation
659,050
31,946
Repairs and maintenance
2,386
3,688
Foreign exchange loss (income)
378,510
35,569
Total operating expenses
1,800,821
816,198
Net loss from operating activities
(2,132,187)
(1,244,617)
Other expenses
(1,564,793)
(451,805)
Net Loss before income taxes recovery
(3,696,980)
(1,696,422)
Income taxes recovery
-
26,552
Net loss
(3,696,980)
(1,669,870)
Other comprehensive loss



Foreign exchange income
652,484
123,966
Comprehensive loss $ (3,044,496)    $ (1,545,904)
Net loss per share-basic and diluted $ (0.04)    $ (0.02)
Weighted average number of common shares outstanding- basic and diluted
105,189,849
92,969,542


截至以下三个月的期间


2022年9月30日
2021年9月30日
收入 $ 164,376 $ 204,796
销售成本



期初库存
19,555
35,983
折旧
112,731
116,632
直接工资和福利
52,860
74,093
设备租赁、交付、燃料以及维修和保养
365,975
371,424
公用事业
(7,760)
16,872
外部承包商
535
39,717


543,896
654,721
减去:期末库存
(48,154)
(21,506)
销售总成本
495,742
633,215
毛损
(331,366)
(428,419)
运营费用



管理层薪酬--以股票为基础



补偿
60,113
54,259
管理薪酬--费用
115,175
90,471
营销
(250)
30,131
专业费用
190,653
100,454
利息支出和违约金额
208,537
222,271
办公室和行政部门
67,377
66,329
租金和入住率
54,586
56,148
保险
12,867
19,719
申请费
9,699
49,131
融资成本摊销
27,752
41,177
董事薪酬
14,366
14,905
基于股票的薪酬
659,050
31,946
维修和保养
2,386
3,688
汇兑损失(收益)
378,510
35,569
总运营费用
1,800,821
816,198
经营活动净亏损
(2,132,187)
(1,244,617)
其他费用
(1,564,793)
(451,805)
所得税追回前净亏损
(3,696,980)
(1,696,422)
所得税追回
-
26,552
净亏损
(3,696,980)
(1,669,870)
其他综合损失



外汇收入
652,484
123,966
综合损失 $ (3,044,496) $ (1,545,904)
每股净亏损--基本亏损和摊薄亏损 $ (0.04) $ (0.02)
已发行普通股的加权平均数--基本和稀释
105,189,849
92,969,542

SusGlobal Energy Corp.
Interim Condensed Consolidated Reconciliation of Non-GAAP Information
For the three-month periods ended September 30, 2022 and 2021
(Expressed in United States Dollars)
(Unaudited)

SusGlobal Energy Corp.
非公认会计准则信息的中期简明合并对账
截至2022年9月30日和2021年9月30日止的三个月期间
(以美元表示)
(未经审计)


For the three-month periods ended

September 30, 2022 September 30, 2021
Net loss (GAAP) $ (3,696,980)   $ (1,669,870)
Add-back the following items:



Interest expense
208,537
222,271
Depreciation and amortization
113,056
117,030
Stock-based compensation
719,163
31,946
Amortization of financing costs
27,752
41,177
Loss on revaluation of convertible promissory notes
1,447,619
451,805
Adjusted EBITDA (non-GAAP) $ (1,180,853)   $ (832,193)

截至以下三个月的期间

2022年9月30日 2021年9月30日
净亏损(GAAP) $ (3,696,980) $ (1,669,870)
添加回以下项目:



利息支出
208,537
222,271
折旧及摊销
113,056
117,030
基于股票的薪酬
719,163
31,946
融资成本摊销
27,752
41,177
可转换本票重估损失
1,447,619
451,805
调整后的EBITDA(非GAAP) $ (1,180,853) $ (832,193)

Contact

联系方式

SusGlobal Energy Corp.
Marc Hazout, President and CEO
(416) 223-8500 or Toll Free: 1-866-512-7374
Email: info@susglobalenergy.com

SusGlobal Energy Corp.
马克·哈兹奥特、总裁和首席执行官
(416) 223-8500免费电话:1-866-512-7374
电子邮件:info@suslobalenergy.com

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