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SusGlobal Energy Corp. Reports First Quarter 2023 Financial Results

SusGlobal Energy Corp. Reports First Quarter 2023 Financial Results

SusGlobal Energy Corp. 公布2023年第一
newsfile ·  2023/05/17 08:30

Toronto, Ontario--(Newsfile Corp. - May 17, 2023) - SusGlobal Energy Corp. (OTCQB: SNRG) ("SusGlobal") or (the "Company"), an environmental, agricultural, industrial biotechnology and renewables company, today announced financial results for the first quarter ended March 31, 2023 and provided an update on its operational progress.

安大略省多伦多--(Newsfile Corp. ——2023 年 5 月 17 日)— SusGlobal Energy Corp.(OTCQB:SNRG)susGlo“) 或 (the”公司“)是一家环境、农业、工业生物技术和可再生能源公司,今天公布了截至2023年3月31日的第一季度财务业绩,并提供了其运营进展的最新情况。

Recent Highlights

近期亮点

  • On February 22, 2023, the Company announced the appointment of Bruce Rintoul to the Company's Board of Directors (the "Board"). Rintoul also serves on the Board's Corporate Governance and Nominating Committee and the Compensation Committee. Previously, Rintoul served as Senior Vice President of Operations at Veolia North America and previously held senior executive positions with environmental and industrial corporations such as Philip Services Corporation, The Churchill Corporation, RSC Equipment Rental, CEDA International Corporation, and Strike Energy Services. Rintoul also previously served on the Board of Directors for CEDA International Corporation in addition to his CEO and President responsibilities. As Senior VP of Operations at Veolia, he led the transformation of U.S. and Canadian energy generation, water/wastewater management, hazardous waste, and environmental service businesses through structural changes, business process improvements, and data management system implementations. The resulting operational and financial performance improvement subsequently facilitated the divestment of several Veolia businesses in North America.
  • 2023 年 2 月 22 日,公司宣布任命布鲁斯·林图尔为公司董事会成员(“)。Rintoul 还担任董事会公司治理和提名委员会以及薪酬委员会的成员。此前,Rintoul曾在北美威立雅担任运营高级副总裁,此前曾在菲利普服务公司、丘吉尔公司、RSC设备租赁、CEDA国际公司和Strike Energy Services等环境和工业公司担任高级管理职务。除了担任首席执行官和总裁外,Rintoul还曾在CEDA International Corporation的董事会任职。作为 Veolia 的运营高级副总裁,他通过结构变革、业务流程改进和数据管理系统的实施,领导了美国和加拿大的能源发电、水/废水管理、危险废物和环境服务业务的转型。随后,由此产生的运营和财务业绩改善促进了威立雅在北美的几家业务的撤资。
  • As previously disclosed, Pace Savings & Credit Union Limited ("Pace") had lent money to the Company and its subsidiaries (collectively, with the Company, referred to as the "Borrowers"). As of March 28, 2023, the Borrowers owed Alterna Savings and Credit Union Limited ("Alterna"), as assignee of that debt, $3,812,765 (CAD$5,195,274), including accrued interest of approximately $387,000 (CAD$527,000). On April 3, 2023, the Company announced that, on March 28th, the Company entered into an escrow agreement, dated March 28, 2023, (the "Escrow Agreement") with a third-party escrow agent (the "Escrow Agent") to facilitate the discharge in full of its indebtedness to Alterna. Pursuant to the Escrow Agreement, the Company deposited into escrow $917,364 (CAD$1,250,000) and signed counterparts of a mutual release agreement and indemnity agreement. On release to Alterna of the letter of credit No. 78 dated May 20, 2020, in the sum of $203,163.53 (CAD$276,830.63) the escrow will be released. Alterna has deposited into escrow an authorization empowering the Company to discharge all security and registrations relating to the debt on its behalf, such that Alterna will no longer have any registered security interests in relation to the Company. When the escrowed property is released, the Company will no longer have any indebtedness to Alterna (or Pace).
  • 正如先前披露的那样,佩斯储蓄和信用合作社有限公司 (”步伐“) 曾向公司及其子公司(统称为 “公司”)借款借款人“)。截至2023年3月28日,借款人欠Alterna Savings and Credit Union有限公司 (”Alterna“),作为该债务的受让人,为3,812,765美元(合5,195,274加元),包括约38.7万美元(52.7万加元)的应计利息。2023年4月3日,公司宣布,公司于3月28日签订了日期为2023年3月28日的托管协议,(托管协议“) 与第三方托管代理(”托管代理“)为全部清偿其欠Alterna的债务提供便利。根据托管协议,公司将917,364美元(合1,250,000加元)存入托管账户,并签署了共同解除协议和赔偿协议的对应文件。在向Alterna发放日期为2020年5月20日的第78号信用证后,总额为203,163.53美元(合276,830.63加元),托管将被解除。Alterna已将授权存入托管账户,授权公司代表其解除与债务有关的所有担保和登记,这样,Alterna将不再拥有与公司有关的任何注册担保权益。托管财产发放后,公司将不再欠Alterna(或Pace)的任何债务。
  • On April 25, 2023, the Company announced that its wholly owned subsidiary, SusGlobal Energy Belleville Ltd. ("SusGlobal Belleville") generated approximately 9,500 additional Verified Emission Reductions and Removals ("VERRs") and sold a further 3,000 carbon credits as part of the Anew SusGlobal Belleville Composting Offset Project in Ontario (the "Project"). The Project has generated approximately 114,500 VERRS (generated from 2017 through 2022).
    The Project and report are listed on the GHG CleanProjects Registry, a business unit of the Standards Division of the Canadian Standards Association ("CSA") 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 Project was developed by Anew Climate, LLC formerly known as Blue Source Canada ULC) ("Anew").
  • 2023 年 4 月 25 日 该公司宣布,其全资子公司SusGlobal Energy Belleville Ltd. (”susGlobal Belle“) 额外产生了大约 9,500 个经核实的排减量和清除量 (”verRS“)并作为安大略省Anew susGlobal Belleville堆肥抵消项目的一部分,又出售了3,000个碳信用额度(”项目“)。该项目已经生成了大约 114,500 个 VERRS(从 2017 年到 2022 年生成)。
    该项目和报告列在加拿大标准协会标准部的一个业务部门 GHG CleanProjects 注册表中(”CSA“) 用于已开发和销售的温室气体 (”GHG“)抵消了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贷。该项目由 Anew Climate, LLC 开发,前身为加拿大蓝源 (ULC) (”重新“)。

Revenue increased by 14% during the first quarter of 2023 to $164,687 compared to the first quarter of 2022 in the amount of $144,470, from increased business primarily from an existing customer in the Company's organic waste processing and composting facility, revenue from the sale of carbon credits offset by a reduction in business from the Company's garbage collection operation, which was terminated during the fourth quarter of 2022.

与2022年第一季度相比,2023年第一季度收入增长了14%,达到164,687美元,总额为144,470美元,主要来自公司有机废物处理和堆肥设施的现有客户,出售碳信用额度的收入被公司垃圾收集业务的减少所抵消,该业务于2022年第四季度终止。

"We continue to process municipal organic waste streams, diverting them from landfills, while producing regenerative products and monetizing carbon offset 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 increase landholdings at our second facility and 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."

“作为循环经济模式的一部分,我们将继续处理城市有机废物流,将其从垃圾填埋场转移出去,同时生产可再生产品并将碳抵消额度货币化。我们对今年的收入增长充满信心,” SusGlobal Energy Corp. 执行董事长、总裁兼首席执行官马克·哈佐特说,“我们的目标是增加第二个工厂的土地持有量,开始将专有有机液体肥料商业化,以增加收入和现金流,最大限度地提高股东价值,目标是在大型交易所上市。”

Unaudited 2023 First Quarter Financial Results

未经审计的 2023 年第一季度财务业绩

For the first quarter ended March 31, 2023, SusGlobal recorded:

在截至2023年3月31日的第一季度中,SusGlobal记录了:

  • Revenue of $164,687.
  • Cost of sales of $181,321.
  • Operating expenses of $1,031,351 comprised primarily of $391,891 of total stock-based compensation, $219,675 of interest expenses, $116,688 of professional fees and $116,456 of management compensation-fees.
  • Net loss of $1,035,172, or $0.01 loss per share-basic and diluted.
  • Included in the other income (expense) for the period was a charge of $20,513 for the loss on conversion of convertible promissory note and income of $33,326 on the revaluation of the convertible promissory notes.
  • Adjusted EBITDA (a non-GAAP financial measure) loss of $308,917.
  • $10,808,965 in total assets and $23,597,279 in total current liabilities at the end of the first quarter.
  • 收入为164,687美元。
  • 销售成本为181,321美元。
  • 1,031,351美元的运营费用主要包括391,891美元的股票薪酬总额、219,675美元的利息支出、116,688美元的专业费用和116,456美元的管理薪酬费。
  • 净亏损为1,035,172美元,即基本和摊薄后每股亏损0.01美元。
  • 该期间的其他收入(支出)中包括兑换可转换本票损失20 513美元的费用和可转换本票重新估值的收入33 326美元。
  • 调整后的息税折旧摊销前利润(非公认会计准则财务指标)亏损为308,917美元。
  • 截至第一季度末,总资产为10,808,965美元,流动负债总额为23,597,279美元。

About SusGlobal Energy Corp.

关于 susGlobal En

SusGlobal Energy Corp., the developer of SusGro, an award winning and revolutionary pathogen free organic liquid fertilizer, is an environmental, agricultural, industrial biotechnology and renewables 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: .

SusGlobal Energy Corp. 是屡获殊荣的革命性无病原体有机液体肥料SusGro的开发商,是一家环境、农业、工业生物技术和可再生能源公司,专注于收购、开发全球废物转能源和再生产品应用领域的专有技术组合并从中获利。管理层的目标是将SusGlobal发展成为重要的可持续废物转化能源和再生产品提供商,成为化肥、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,请访问公司的网站:。

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法规G,本新闻稿中的非公认会计准则衡量标准已与最接近的GAAP衡量标准进行了核对,可以在本新闻稿所含财务表中 “非公认会计准则信息的临时简明合并对账” 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。前瞻性陈述不是历史事实,通常但并非总是以 “期望”、“计划”、“预期”、“相信”、“打算”、“估计”、“项目”、“目标”、“潜力”、“目标”、“目标”、“前景” 和类似表达方式来识别,或者说事件或条件 “将”、“会”、“可能”、“可能”,” “可能” 或 “应该” 出现。公司提醒投资者,公司的任何前瞻性陈述不能保证未来的业绩或业绩,由于各种因素,包括但不限于缺乏足够的财务资源;市场状况、货币和股票的变化;公司获得活动所需的任何必要许可、批准、同意或授权的能力;公司生产能源的能力,沼气、堆肥或成功或从其财产中提取有机肥料,以继续其预期的增长,或者完全能够实施公司向美国证券交易委员会提交的文件中描述的业务战略和其他风险因素,该文件可在www.sec.gov上查看。

- Financial Tables Follow -

-财务表关注-

SusGlobal Energy Corp.
Interim Condensed Consolidated Balance Sheets
As at March 31, 2023 and December 31, 2022
(Expressed in United States Dollars)
(unaudited)

美国环球能源公司
中期简明合并资产负债表
截至2023年3月31日和2022年12月31日
(以美元表示)
(未经审计)



March 31,
December 31,


2023

2022
ASSETS





Current Assets





Cash $ 5,920
$ 42,900
Funds held in trust
923,625

-
Trade receivables
81,469

69,193
Government remittances receivable
20,503

6,983
Inventory
60,959

58,695
Prepaid expenses and deposits
710,540

580,852
Total Current Assets
1,803,016

758,623
Long-lived Assets, net
9,005,949

9,107,152
Long-Term Assets
9,005,949

9,107,152
Total Assets $ 10,808,965
$ 9,865,775
LIABILITIES AND STOCKHOLDERS' DEFICIENCY



Current Liabilities



Accounts payable $ 3,685,170
$ 3,475,691
Government remittances payable
394,508

371,587
Accrued liabilities
1,906,094

1,781,258
Current portion of long-term debt
9.907,386

8,816,931
Current portion of obligations under capital lease
60,710

57,275
Convertible promissory notes
7,563,466

7,796,433
Loans payable to related parties
79,945

40,000
Total Current Liabilities
23,597,279

22,339,175
Long-term debt
42,948

52,495
Obligations under capital lease
47,008

64,483
Total Long-term Liabilities
89,956

116,978
Total Liabilities
23,687,235

22,456,153
Stockholders' Deficiency



Preferred stock, $.0001 par value, 10,000,000 authorized, none issued and outstanding Common stock, $.0001 par value, 150,000,000 authorized, 118,618,245 (2022- 113,438,832) shares issued and outstanding
11,866

11,348
Additional paid-in capital
18,058,914

17,152,018
Shares to be issued
60,100

213,600
Accumulated deficit
(31,380,369 )
(30,345,197 )
Accumulated other comprehensive loss
371,219

377,853
Stockholders' deficiency
(12,878,270 )
(12,590,378 )
Total Liabilities and Stockholders' Deficiency $ 10,808,965
$ 9,865,775


3月31日
十二月三十一日


2023

2022
资产





流动资产





现金 $ 5,920
$ 42,900
信托资金
923,625

-
贸易应收账款
81,469

69,193
应收政府汇款
20,503

6,983
库存
60,959

58695
预付费用和押金
710,540

580,852
流动资产总额
1,803,016

758,623
长期资产,净值
9,005,949

9,107,152
长期资产
9,005,949

9,107,152
总资产 $ 10,808,965
$ 9,865,775
负债和股东缺陷



流动负债



应付账款 $ 3,685,170
$ 3,475,691
应付政府汇款
394,508

371,587
应计负债
1,906,094

1,781,258
长期债务的当前部分
9.907,386

8,816,931
资本租赁项下债务的当期部分
60,710

57,275
可转换本票
7,563,466

7,796,433
应付给关联方的贷款
79,945

40,0000
流动负债总额
23,597,279

22,339,175
长期债务
42,948

52,495
资本租赁下的债务
47,008

64,483
长期负债总额
89,956

116,978
负债总额
23,687,235

22,456,153
股东缺陷



优先股,面值0.0001美元,已授权1,000,000股,无已发行和流通普通股,面值0.0001美元,已授权150,000,000股,已发行和流通118,618,245股(2022-113,438,832)股
11,866

11348
额外的实收资本
18,058,914

17,152,018
待发行的股票
60,100

213,600
累计赤字
(31,380,369) )
(30,345,197 )
累计其他综合亏损
371,219

377,853
股东缺陷
(12,878,270) )
(12,590,378) )
总负债和股东亏损 $ 10,808,965
$ 9,865,775

SusGlobal Energy Corp.
Interim Condensed Consolidated Statements of Operations and Comprehensive Loss
For the three-month periods ended March 31, 2023 and 2022
(Expressed in United States Dollars)
(unaudited)

美国环球能源公司
中期简明合并运营报表和综合亏损表
在截至2023年3月31日和2022年3月31日的三个月期间
(以美元表示)
(未经审计)

For the three-month periods ended


March 31,
2023


March 31,
2022

Revenue $ 164,687
$ 144,470
Cost of Sales



Opening inventory
58,695

20,582
Depreciation
108,372

116,203
Direct wages and benefits
40,852

52,088
Equipment rental, delivery, fuel and repairs and maintenance
21,424

170,188
Utilities
12,937

38,812
Outside contractors
-

24,568


242,280

422,441
Less: closing inventory
(60,959 )
(16,806 )
Total cost of sales
181,321

405,635
Gross (loss)
(16,634 )
(261,165 )
Operating expenses



Management compensation-stock- based



compensation
57,600

60,113
Management compensation-fees
116,456

118,469
Marketing
10,951

376,488
Professional fees
116,688

261,652
Interest expense
219,675

191,243
Office and administration
52,890

60,577
Rent and occupancy
50,193

50,925
Insurance
13,543

28,838
Filing fees
12,457

54,175
Amortization of financing costs
18,824

33,532
Directors' compensation
15,969

14,809
Stock-based compensation
334,291

130,512
Repairs and maintenance
19,687

2,329
Foreign exchange (income)
(7,873 )
(77,749 )
Total operating expenses
1,031,351

1,305,913
Net loss from operating activities
(1,047,985 )
(1,567,078 )
Other income (expense)
12,813

(1,296,148 )
Net loss
(1,035,172 )
(2,863,226 )
Other comprehensive (loss)



Foreign exchange (loss)
(6,634 )
(142,524 )
Comprehensive loss $ (1,041,806 ) $ (3,005,750 )
Net loss per share-basic and diluted $ (0.01 ) $ (0.03 )
Weighted average number of common shares outstanding- basic and diluted
117,722,279

95,990,936
在已结束的三个月期间


3月31日
2023


3月31日
2022

收入 $ 164,687
$ 144,470
销售成本



开仓库存
58695

20,582
折旧
108,372

116,203
直接工资和福利
40,852

52,088
设备租赁、交付、燃料以及维修和保养
21,424

170,188
公共事业
12,937

38,812
外部承包商
-

24,568


242,280

422,441
减去:期末库存
(60,959 )
(16,806 )
总销售成本
181,321

405,635
总额(亏损)
(16,634) )
(261,165) )
运营费用



管理层薪酬(基于股票)



补偿
57,600

60,113
管理补偿费
116,456

118,469
市场营销
10,951

376,488
专业费用
116688

261,652
利息支出
219,675

191,243
办公室和行政
52,890

60577
租金和入住率
50,193

50,925
保险
13,543

28,838
申请费
12,457

54,175
融资成本的摊销
18,824

33,532
董事薪酬
15,969

14,809
股票薪酬
334,291

130,512
维修和保养
19,687

2,329
外汇(收入)
(7,873) )
(77,749) )
运营费用总额
1,031,351

1,305,913
经营活动净亏损
(1,047,985) )
(1,567,078 )
其他收入(支出)
12,813

(1,296,148 )
净亏损
(1,035,172 )
(2,863,226 )
其他综合(亏损)



外汇(亏损)
(6,634 )
(142,524) )
综合损失 $ (1,041,806) ) $ (3,005,750 )
每股净亏损——基本亏损和摊薄后亏损 $ (0.01 ) $ (0.03 )
已发行普通股的加权平均数——基本和摊薄
117,722,279

95,990,936

SusGlobal Energy Corp.
Interim Condensed Consolidated Reconciliation of Non-GAAP Information
For the three-month periods ended March 31, 2023 and 2022
(Expressed in United States Dollars)
(Unaudited)

美国环球能源公司
非公认会计准则信息的中期简明合并对账
在截至2023年3月31日和2022年3月31日的三个月期间
(以美元表示)
(未经审计)


For the three-month periods ended

March 31,
2023

March 31,
2022

Net loss (GAAP) $ (1,035,172 ) $ (2,863,226 )
Add the following items:



Interest expense
219,675

191,243
Depreciation and amortization
108,678

116,529
Stock-based compensation
391,891

130,512
Amortization of financing costs
18,824

33,532
Loss on conversion of convertible promissory note
20,513

-
Gain (loss) on revaluation of convertible promissory notes
(33,326 )
1,296,148
Adjusted EBITDA (non-GAAP) $ (308,917 ) $ (1,095,262 )

在已结束的三个月期间

3月31日
2023

3月31日
2022

净亏损 (GAAP) $ (1,035,172 ) $ (2,863,226 )
添加以下项目:



利息支出
219,675

191,243
折旧和摊销
108,678

116,529
股票薪酬
391,891

130,512
融资成本的摊销
18,824

33,532
转换可转换本票的损失
20,513

-
可转换本票重估的收益(亏损)
(33,326 )
1,296,148
调整后的息税折旧摊销前利润(非公认会计准则) $ (308,917) ) $ (1,095,262 )

Contact

联系我们

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

美国环球能源公司
马克·哈佐特,总裁兼首席执行官
(416) 223-8500 或者免费电话:1-866-512-7374
电子邮件:info@susglobalenergy.com

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