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Professional Diversity Network, Inc. Announces Financial Results for the Quarter Ended March 31, 2024

Professional Diversity Network, Inc. Announces Financial Results for the Quarter Ended March 31, 2024

专业多元化网络公司公布截至2024年3月31日的季度财务业绩

Professional Diversity Network, Inc. Announces Financial Results for the Quarter Ended March 31, 2024

专业多元化网络公司公布截至2024年3月31日的季度财务业绩

May 15, 2024

2024年5月15日

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CHICAGO, May 15, 2024 (GLOBE NEWSWIRE) -- Professional Diversity Network, Inc. (NASDAQ:IPDN), ("IPDN" or the "Company"), a global developer and operator of online and in-person networks that provides access to networking, training, educational and employment opportunities for diverse individuals, today announced its financial results for the quarter ended March 31, 2024.

芝加哥,2024年5月15日(GLOBE NEWSWIRE)——专业多元化网络公司(纳斯达克股票代码:IPDN)(“IPDN” 或 “公司”)是一家为不同个人提供网络、培训、教育和就业机会的在线和面对面网络的全球开发商和运营商,今天公布了截至2024年3月31日的季度财务业绩。

"Our first quarter showed a mixed bag within our revenue streams. Demand for direct enterprise sales was light at the beginning of the quarter, however we recorded the best quarterly renewal percentage in the Company's history. We continue to focus on strategic targeting of industries and business that we feel are in need of our services. RemoteMore was behind budget for the quarter as demand was slow in the period, but is in conversation with numerous potential clients. We are catiously optimistic that we can deliver on some of these discussions," said Adam He, CEO of Professional Diversity Network. "Our NAPW network was bordering being cash flow positive for the first time, with non-cash items such as amortization pushing them into a slight loss position for the quarter, far less than any other recent quarterly period."

“我们的第一季度的收入来源好坏参半。本季度初,对企业直接销售的需求不大,但是我们创下了公司历史上最好的季度续订百分比。我们将继续专注于对我们认为需要我们服务的行业和业务进行战略定位。由于需求缓慢,RemoteMore落后于本季度的预算,但正在与众多潜在客户进行对话。我们对能够完成其中一些讨论持谨慎乐观态度。” 专业多元化网络首席执行官亚当·何说。“我们的NAPW网络首次接近现金流正值,摊销等非现金项目使其在本季度陷入小幅亏损状态,远低于最近任何其他季度。”

First Quarter Financial Highlights:

第一季度财务摘要:

Total consolidated revenues for the three months ended March 31, 2024 decreased $228,000, or 11.7% percent, as compared to the same period in the prior year.
On March 31, 2024, cash balances were approximately 97,000 as compared to $628,000 on December 31, 2023. Working capital deficit from continuing operations on March 31, 2024, was approximately $1,753,000 as compared to $1,107,000 on December 31, 2023.
截至2024年3月31日的三个月,合并总收入与去年同期相比下降了228,000美元,下降了11.7%。
2024 年 3 月 31 日,现金余额约为 97,000 美元,而 2023 年 12 月 31 日为 628,000 美元。2024年3月31日,持续经营业务的营运资金赤字约为17.53万美元,而2023年12月31日为1,107,000美元。


Financial Results for the Three Months Ended March 31, 2024


截至2024年3月31日的三个月的财务业绩

Revenues

收入

Total revenues for the three months ended March 31, 2024 decreased approximately $228,000, or 12% percent, to approximately $1,727,000 from approximately $1,955,000 during the same period in the prior year. The decrease was predominantly attributable to a reduction in demand for contracted software development as compared to the same period in the prior year.

截至2024年3月31日的三个月,总收入从去年同期的约195.5万美元下降了约22.8万美元,下降了12%,至约17.27万美元。减少的主要原因是与去年同期相比,对合同软件开发的需求减少。

During the three months ended March 31, 2024, our PDN Network generated approximately $1,115,000 in comparable revenues compared to approximately $1,128,000 in revenues during the three months ended March 31, 2023, a decrease of approximately $13,000 or 1.2 percent.

在截至2024年3月31日的三个月中,我们的PDN网络产生了约11.15万美元的可比收入,而截至2023年3月31日的三个月的收入约为1,128,000美元,下降了约13,000美元,下降了1.2%。

During the three months ended March 31, 2024, NAPW Network revenues were approximately $127,000, compared to revenues of approximately $129,000 during the same period in the prior year, a decrease of approximately $2,000 or 1.2 percent.

在截至2024年3月31日的三个月中,NAPW网络的收入约为12.7万美元,而去年同期的收入约为12.9万美元,下降了约2,000美元,下降了1.2%。

During the three months ended March 31, 2024, RemoteMore revenue was approximately $485,000, compared to revenues of approximately $698,000 during the same period in the prior year, a decrease of approximately $213,000, or 30.5 percent.

在截至2024年3月31日的三个月中,RemoteMore的收入约为48.5万美元,而去年同期的收入约为69.8万美元,下降了约21.3万美元,下降了30.5%。

Costs and Expenses

成本和开支

Cost of revenues during the three months ended March 31, 2024 was approximately $653,000, a decrease of approximately $422,000, or 39.2 percent, from approximately $1,075,000 during the same period of the prior year. The decrease was predominantly due to the aforementioned reduction in demand of contracted software development costs related to RemoteMore and reduced expenditures related to third-party services.

截至2024年3月31日的三个月,收入成本约为65.3万美元,较去年同期的约107.5万美元下降了约42.2万美元,下降了39.2%。下降的主要原因是上述与RemoteMore相关的合同软件开发成本的需求减少以及与第三方服务相关的支出减少。

Sales and marketing expense during the three months ended March 31, 2024 was approximately $830,000, an increase of approximately $8,000, or 1.0 percent, from $822,000 during the same period in the prior year.

截至2024年3月31日的三个月中,销售和营销费用约为83万美元,较去年同期的82.2万美元增加了约8,000美元,增长了1.0%。

General and administrative expenses during the three months ended March 31, 2024 decreased by approximately $58,000, or 5.5 percent, to approximately $995,000, as compared to approximately $1,053,000 the same period in the prior year.

截至2024年3月31日的三个月中,一般和管理费用下降了约58,000美元,下降了5.5%,至约99.5万美元,而去年同期约为1,053,000美元。

Net Loss from Continuing Operations

持续经营业务的净亏损

As the result of the factors discussed above, during the three months ended March 31, 2024, we incurred a net loss from continuing operations of approximately $803,000, a decrease in the net loss of approximately $325000, compared to a net loss of approximately $1,128,000 during the three months ended March 31, 2023.

根据上述因素,在截至2024年3月31日的三个月中,我们的持续经营业务净亏损约为80.3万美元,净亏损减少了约32.5万美元,而截至2023年3月31日的三个月净亏损约为112.8万美元。

Summary of the Quarter's Financial Information

本季度财务信息摘要

Amounts in following tables are in thousands except for per share amounts and outstanding shares.

下表中的金额以千计,每股金额和已发行股份除外。

Summary of Financial Position

财务状况摘要

March 31, December 31,
2024 2023
Current Assets:
Cash and cash equivalents $ 97 $ 628
Other current assets 1,720 1,740
Total current assets $ 1,817 $ 2,368
Long-term assets 3,860 3,959
Total Assets $ 5,677 $ 6,327
Total current liabilities $ 3,570 $ 3,475
Total long-term liabilities 261 283
Total liabilities $ 3,831 $ 3,758
Total stockholders' equity 2,341 3,048
Total stockholders' equity – noncontrolling interests (495) (480)
Total liabilities and stockholders' equity $ 5,677 $ 6,327
3月31日 12月31日
2024 2023
流动资产:
现金和现金等价物 $ 97 $ 628
其他流动资产 1,720 1,740
流动资产总额 $ 1,817 $ 2,368
长期资产 3,860 3,959
总资产 $ 5,677 $ 6,327
流动负债总额 $ 3,570 $ 3,475
长期负债总额 261 283
负债总额 $ 3,831 $ 3,758
股东权益总额 2,341 3,048
股东权益总额——非控股权益 (495) (480)
负债和股东权益总额 $ 5,677 $ 6,327


Summary of Financial Operations


财务运营摘要

Three Months Ended
March 31, Change Change
2024 2023 (Dollars) (Percent)
Revenues:
Membership fees and related services $ 127 $ 129 $ (2) (1.2)%
Recruitment services 1,104 1,103 1 0.1%
Contracted software development 485 698 (213) (30.5)%
Consumer advertising and marketing solutions 11 25 (14) (56.3)%
Total revenues $ 1,727 $ 1,955 $ (228) (11.7)%
Cost and expenses:
Cost of revenues $ 653 $ 1,075 $ (422) (39.2)%
Sales and marketing 830 822 8 1.0%
General and administrative 995 1,053 (58) (5.5)%
Depreciation and amortization 52 133 (81) (61.3)%
Total pre-tax cost and expenses: $ 2,530 $ 3,083 $ (553) (17.9)%
Consolidated net loss from continuing operations, net of tax $ (803) $ (1,128) $ 325 (28.8)%
Basic and diluted loss per share:
Continuing operations $ (0.07) $ (0.11)
Weighted average outstanding shares used in computing net loss per common share:
Basic and diluted 11,481,178 10,016,603
三个月已结束
3月31日 改变 改变
2024 2023 (美元) (百分比)
收入:
会员费和相关服务 $ 127 $ 129 $ (2) (1.2)%
招聘服务 1,104 1,103 1 0.1%
签约软件开发 485 698 (213) (30.5)%
消费者广告和营销解决方案 11 25 (14) (56.3)%
总收入 $ 1,727 $ 1,955 $ (228) (11.7)%
成本和支出:
收入成本 $ 653 $ 1,075 $ (422) (39.2)%
销售和营销 830 822 8 1.0%
一般和行政 995 1,053 (58) (5.5)%
折旧和摊销 52 133 (81) (61.3)%
税前成本和支出总额: $ 2,530 $ 3,083 $ (553) (17.9)%
持续经营业务的合并净亏损,扣除税款 $ (803) $ (1,128) $ 325 (28.8)%
每股基本亏损和摊薄后亏损:
持续运营 $ (0.07) $ (0.11)
用于计算每股普通股净亏损的加权平均已发行股份:
基本款和稀释版 11,481,178 10,016,603


Summary of Cash Flows from Continuing Operations


来自持续经营业务的现金流汇总

Three Months Ended March 31,
Cash (used in) provided by continuing operations 2024 2023
Operating activities $ (543) $ (394)
Investing activities (83) (548)
Financing activities 95 700
Net increase in cash and cash equivalents from continuing operations $ (531) $ (242)
截至3月31日的三个月
持续经营业务提供的(用于)现金 2024 2023
经营活动 $ (543) $ (394)
投资活动 (83) (548)
筹资活动 95 700
来自持续经营业务的现金及现金等价物的净增加 $ (531) $ (242)


Professional Diversity Network, Inc. and Subsidiaries


专业多元化网络公司和子公司

Non-GAAP (Adjusted) Financial Measures

非公认会计准则(调整后)财务指标

We believe Adjusted EBITDA provides a meaningful representation of our operating performance that provides useful information to investors regarding our financial condition and results of operations. Adjusted EBITDA is commonly used by financial analysts and others to measure operating performance. Furthermore, management believes that this non-GAAP financial measure may provide investors with additional meaningful comparisons between current results and results of prior periods as they are expected to be reflective of our core ongoing business. However, while we consider Adjusted EBITDA to be an important measure of operating performance, Adjusted EBITDA and other non-GAAP financial measures have limitations, and investors should not consider them in isolation or as a substitute for analysis of our results as reported under GAAP. Further, Adjusted EBITDA, as we define it, may not be comparable to EBITDA, or similarly titled measures, as defined by other companies.

我们认为,调整后的息税折旧摊销前利润有意义地代表了我们的经营业绩,为投资者提供了有关我们的财务状况和经营业绩的有用信息。调整后的息税折旧摊销前利润通常被财务分析师和其他人用来衡量经营业绩。此外,管理层认为,这种非公认会计准则财务指标可以为投资者提供当前业绩与前期业绩之间更多有意义的比较,因为它们有望反映我们的核心持续业务。但是,尽管我们认为调整后的息税折旧摊销前利润是衡量经营业绩的重要指标,但调整后的息税折旧摊销前利润和其他非公认会计准则财务指标存在局限性,投资者不应孤立地考虑它们,也不应将其作为对我们根据公认会计原则报告的业绩分析的替代品。此外,根据我们的定义,调整后的息税折旧摊销前利润可能无法与其他公司定义的息税折旧摊销前利润或类似标题的指标相提并论。

The following non-GAAP financial information in the tables that follow are reconciled to comparable information presented using GAAP, derived by adjusting amounts determined in accordance with GAAP for certain items presented in the accompanying selected operating statement data.

下表中的以下非公认会计准则财务信息与使用公认会计原则列报的可比信息进行了对账,后者是根据公认会计原则对随附的选定运营报表数据中列报的某些项目的金额进行调整后得出的。

The adjustments for the three months ended March 31, 2024 relate to stock-based compensation, loss attributable to noncontrolling interest, depreciation and amortization, interest and other income and income tax expense (benefit).

截至2024年3月31日的三个月的调整涉及股票薪酬、归属于非控股权益的亏损、折旧和摊销、利息以及其他所得税和所得税支出(收益)。

The adjustments for the three months ended March 31, 2023 relate to stock-based compensation, loss attributable to noncontrolling interest, depreciation and amortization, interest and other income and income tax expense (benefit).

截至2023年3月31日的三个月的调整涉及股票薪酬、归属于非控股权益的亏损、折旧和摊销、利息和其他所得税和所得税支出(收益)。

Three Months Ended March 31,
2024 2023
(in thousands)
Loss from Continuing Operations, net of tax $ (807) $ (1,109)
Stock-based compensation 83 33
Loss attributable to noncontrolling interest 15 52
Depreciation and amortization 52 133
Other (expense) income, net 2 (7)
Income tax expense (benefit) 2 (11)
Adjusted EBITDA $ (653) $ (909)
截至3月31日的三个月
2024 2023
(以千计)
持续经营亏损,扣除税款 $ (807) $ (1,109)
基于股票的薪酬 83 33
归属于非控股权益的损失 15 52
折旧和摊销 52 133
其他(支出)收入,净额 2 (7)
所得税支出(福利) 2 (11)
调整后 EBITDA $ (653) $ (909)


About Professional Diversity Network


关于专业多元化网络

Professional Diversity Network, Inc. (NASDAQ: IPDN) is a global developer and operator of online and in-person networks that provides access to networking, training, educational and employment opportunities for diverse professionals. We operate subsidiaries in the United States including National Association of professional Women (NAPW) and its brand, International Association of Women (IAW), which is one of the largest, most recognized networking organizations of professional women in the country, spanning more than 200 industries and professions. Through an online platform and our relationship recruitment affinity groups, we provide our employer clients a means to identify and acquire diverse talent and assist them with their efforts to comply with the Equal Employment Opportunity Office of Federal Contract Compliance Program. Our mission is to utilize the collective strength of our affiliate companies, members, partners and unique proprietary platform to be the standard in business diversity recruiting, networking and professional development for women, minorities, veterans, LGBTQ+ and disabled persons globally.

Professional Diversity Network, Inc.(纳斯达克股票代码:IPDN)是一家在线和面对面网络的全球开发和运营商,为不同的专业人员提供网络、培训、教育和就业机会。我们在美国设有子公司,包括全国职业女性协会(NAPW)及其品牌国际女性协会(IAW),该协会是美国规模最大、最受认可的职业女性网络组织之一,涵盖200多个行业和专业。通过在线平台和我们的关系招聘兴趣小组,我们为雇主客户提供了一种识别和获取多元化人才的手段,并协助他们努力遵守联邦合同合规计划平等就业机会办公室。我们的使命是利用我们的关联公司、会员、合作伙伴和独特的专有平台的集体力量,成为全球女性、少数民族、退伍军人、LGBTQ+和残疾人的业务多元化招聘、网络和职业发展的标准。

Forward-Looking Statements

前瞻性陈述

This press release contains certain forward-looking statements based on our current expectations, forecasts and assumptions that involve risks and uncertainties. This release does not constitute an offer to sell or a solicitation of offers to buy any securities of any entity. Forward-looking statements in this release are based on information available to us as of the date hereof. Our actual results may differ materially from those stated or implied in such forward-looking statements, due to risks and uncertainties associated with our business, which include the risk factors disclosed in our most recently filed Annual Report on Form 10-K and in our subsequent filings with the Securities and Exchange Commission. Forward-looking statements include statements regarding our expectations, beliefs, intentions or strategies regarding the future and can be identified by forward-looking words such as "anticipate," "believe," "could," "estimate," "expect," "intend," "may," "plan," "should," and "would" or similar words. We assume no obligation to update the information included in this press release, whether as a result of new information, future events or otherwise. Our most recently filed Annual Report on Form 10-K, together with this press release and the financial information contained herein, are available on our website, www.prodivnet.com. Please click on "Investor Relations."

本新闻稿包含基于我们当前的预期、预测和假设的某些前瞻性陈述,这些陈述涉及风险和不确定性。本新闻稿不构成出售要约或征求购买任何实体任何证券的要约。本新闻稿中的前瞻性陈述基于截至本新闻稿发布之日我们获得的信息。由于与我们的业务相关的风险和不确定性,包括我们最近提交的10-K表年度报告以及随后向美国证券交易委员会提交的文件中披露的风险因素,我们的实际业绩可能与此类前瞻性陈述中陈述或暗示的业绩存在重大差异。前瞻性陈述包括有关我们对未来的预期、信念、意图或战略的陈述,可以通过诸如 “预期”、“相信”、“可能”、“估计”、“预期”、“打算”、“可能”、“计划”、“应该” 和 “将” 等前瞻性词语或类似词语来识别。无论是由于新信息、未来事件还是其他原因,我们都没有义务更新本新闻稿中包含的信息。我们最近提交的10-K表年度报告,以及本新闻稿和其中包含的财务信息,可在我们的网站www.prodivnet.com上查阅。请点击 “投资者关系”。

Investor Inquiries:

投资者查询:

investors@ipdnusa.com
+1 (312) 614-0950
Source: Professional Diversity Network, Inc.
Released May 15, 2024

investors@ipdnusa.com
+1 (312) 614-0950
来源:专业多元化网络有限公司
2024 年 5 月 15 日发布


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Source: Professional Diversity Network, Inc.
来源:专业多元化网络有限公司

Released May 15, 2024

2024 年 5 月 15 日发布

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