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Calumet's Mixed Bag Q1: From Loss To Grit, CEO Maps Strategic Spring Surge

Calumet's Mixed Bag Q1: From Loss To Grit, CEO Maps Strategic Spring Surge

Calumet 的第一季度喜忧参半:从亏损到勇气,首席执行官绘制春季战略激增
Benzinga ·  05/10 09:31

Calumet Specialty Products Partners LP (NASDAQ:CLMT) reported a first-quarter fiscal 2024 sales decline of 3% year-over-year to $1.01 billion, beating the consensus of $900.795 million.

Calumet Specialty Products Partners LP(纳斯达克股票代码:CLMT)报告称,2024财年第一季度的销售额同比下降3%,至10.1亿美元,超过了市场预期的9.00795亿美元。

CLMT reported a net loss per unit of $(0.51), a decline from $0.23 YoY, beating the consensus of $(0.57).

CLMT报告称,每单位净亏损为0.51美元,低于0.23美元,超过市场普遍预期的0.57美元。

The gross profit totaled $78.5 million (-18.7% Y/Y), and the margin contracted 151 bps to 7.8%.

毛利总额为7,850万美元(同比下降18.7%),利润率收缩了151个基点至7.8%。

The operating income for the quarter contracted to $36.3 million from $43 million a year ago, and the margin was 3.6%, down from 4.2% YoY.

该季度的营业收入从去年同期的4,300万美元收缩至3630万美元,利润率为3.6%,低于同比4.2%。

Adjusted EBITDA was $21.6 million compared to $77.3 million a year ago, margin contracted to 2.2% from 7.5% a year ago.

调整后的息税折旧摊销前利润为2,160万美元,去年同期为7,730万美元,利润率从去年同期的7.5%收缩至2.2%。

"We're anticipating an exciting and strategically important spring and summer at Calumet as we remain on pace to complete our C-Corp conversion and demonstrate the competitive advantages of Montana Renewables. Further, our DOE loan process and MaxSAF project preparation are progressing well," commented Todd Borgmann, CEO.

“我们预计,Calumet将迎来激动人心且具有战略意义的春季和夏季,因为我们将继续按计划完成C-Corp的转型,展示蒙大拿州可再生能源公司的竞争优势。此外,我们的美国能源部贷款流程和MaxSAF项目准备工作进展顺利。” 首席执行官托德·博格曼评论道。

"We enter the second quarter with solid operating momentum after executing a successful turnaround at our Shreveport facility and sequential monthly financial and operational improvement at Montana Renewables," added Borgmann.

博格曼补充说:“在什里夫波特工厂成功实现周转以及蒙大拿州可再生能源公司的每月财务和运营连续改善之后,我们以稳健的运营势头进入第二季度。”

Montana Renewables achieved positive EBITDA in March, continuing into April. The first quarter was impacted by rising crude prices affecting asphalt margins and the seasonal closure of our Montana asphalt facility, which is now open for the paving season.

蒙大拿州可再生能源在3月份实现了正的息税折旧摊销前利润,一直持续到4月。第一季度受到原油价格上涨影响沥青利润率以及蒙大拿州沥青设施季节性关闭的影响,该设施现已在铺路季节开放。

Net cash used in operating activities for the quarter totaled $(94) million compared to $(26.7) million a year ago.

本季度用于经营活动的净现金总额为9400万美元,而去年同期为2670万美元。

Cash and equivalents stood at $23.9 million at the end of the quarter. Total facility production in the quarter declined by 1.3% Y/Y.

截至本季度末,现金及等价物为2390万美元。该季度的设施总产量同比下降了1.3%。

In March, the company issued and sold $200 million in aggregate principal amount of a new series of the Issuers' 9.25% Senior Secured First Lien Notes due 2029 in a private placement transaction.

3月,该公司通过私募交易发行并出售了发行人于2029年到期的新系列9.25%优先担保第一留置权票据的总本金额为2亿美元。

Price Action: CLMT shares are trading lower by 0.87% at $16.02 premarket at the last check Friday.

价格走势:在周五的最后一次支票中,CLMT股价下跌0.87%,至盘前16.02美元。

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