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Technical Communications Corporation Reports Results for the Fiscal Quarter Ended December 25, 2021

Technical Communications Corporation Reports Results for the Fiscal Quarter Ended December 25, 2021

技术通信公司报告截至2021年12月25日的财季业绩
GlobeNewswire ·  2022/02/04 16:36

CONCORD, Mass., Feb. 04, 2022 (GLOBE NEWSWIRE) -- Technical Communications Corporation (OTCQB: TCCO) today announced its results for the fiscal quarter ended December 25, 2021. For the quarter ended December 25, 2021, the Company reported a net loss of $(613,000), or $(0.33) per share, on revenue of $423,000, compared to a net loss of $(342,000), or $(0.19) per share, on revenue of $167,000 for the quarter ended December 26, 2020.

亚洲网马萨诸塞州康科德2月4日电技术通信公司(场外交易市场代码:TCCO)今天公布了截至2021年12月25日的会计季度业绩。在截至2021年12月25日的季度,该公司报告净亏损613,000美元,或每股亏损0.33美元,营收为423,000美元;而截至2020年12月26日的季度,净亏损(342,000美元),或每股亏损(0.19美元),营收为167,000美元。

Carl H. Guild Jr., President and CEO of Technical Communications Corporation, commented, "As TCC has reported previously, the international COVID impact has significantly delayed progress in capturing several new business opportunities we have had in process. Notwithstanding, we are now beginning to see, in certain program areas, a resumption of the communications and field testing necessary to complete the procurement processes. We expect that this recovery trend will continue and positively affect other program opportunities and allow us to begin recovery in the near future."

技术通信公司总裁兼首席执行官卡尔·H·吉尔德(Carl H.Guild Jr.)评论说:“正如TCC以前报告的那样,国际COVID的影响大大推迟了我们在捕捉几个正在进行的新业务机会方面的进展。尽管如此,我们现在开始看到,在某些项目领域,完成采购过程所需的通信和实地测试正在恢复。我们预计,这种复苏趋势将继续下去,并对其他项目机会产生积极影响,使我们能够在不久的将来开始复苏。”

About Technical Communications Corporation

关于技术通信公司

For over 50 years, TCC has specialized in superior-grade secure communications systems and customized solutions, supporting our CipherONE® best-in-class criteria, to protect highly sensitive voice, data and video transmitted over a wide range of networks. Government entities, military agencies and corporate enterprises in over 115 countries have selected TCC's proven security to protect their communications. Learn more: .

50多年来,TCC一直专注于高级安全通信系统和定制解决方案,支持我们的CipherONE®同类最佳标准,以保护通过各种网络传输的高度敏感的语音、数据和视频。115多个国家的政府实体、军事机构和企业选择了TCC久经考验的安全性来保护他们的通信。了解更多信息:。

Statements made in this press release or as may otherwise be incorporated by reference herein that are not purely historical constitute "forward-looking statements" within the meaning of the Private Securities Litigation Reform Act of 1995. Forward-looking statements include but are not limited to statements regarding anticipated operating results, future earnings, and the ability to achieve growth and profitability. Such forward-looking statements involve known and unknown risks, uncertainties and other factors, including but not limited to the impact of the COVID-19 pandemic (including on customers) and governmental responses thereto; the effect of domestic and foreign political unrest; domestic and foreign government policies and economic conditions; changes in export laws or regulations; changes in technology; the ability to hire, retain and motivate technical, management and sales personnel; the risks associated with the technical feasibility and market acceptance of new products; changes in telecommunications protocols; the effects of changing costs, exchange rates and interest rates; and the Company's ability to secure adequate capital resources. Such risks, uncertainties and other factors could cause the actual results, performance or achievements of the Company, or industry results, to be materially different from any future results, performance or achievements expressed or implied by such forward-looking statements. For a more detailed discussion of the risks facing the Company, see the Company's filings with the Securities and Exchange Commission, including its Annual Report on Form 10-K for the fiscal year ended September 25, 2021 and the "Risk Factors" section included therein.

本新闻稿中所作的或以其他方式通过引用并入本新闻稿的陈述,并非纯粹历史性的陈述,属于1995年“私人证券诉讼改革法”所指的“前瞻性陈述”。前瞻性陈述包括但不限于有关预期经营业绩、未来收益以及实现增长和盈利能力的陈述。此类前瞻性表述涉及已知和未知的风险、不确定性和其他因素,包括但不限于新冠肺炎疫情(包括对客户)和政府应对措施的影响;国内外政治动荡的影响;国内外政府政策和经济状况的影响;出口法律或法规的变化;技术的变化;招聘、留住和激励技术、管理和销售人员的能力;与新产品的技术可行性和市场接受度相关的风险;电信协议的变化;成本、汇率和利率变化的影响;以及公司这些风险、不确定因素和其他因素可能导致公司的实际结果、业绩或成就,或行业结果,与此类前瞻性陈述明示或暗示的任何未来结果、业绩或成就大不相同。有关该公司面临的风险的更详细讨论,请参阅该公司提交给证券交易委员会的文件,包括截至2021年9月25日的10-K表格年度报告以及其中的“风险因素”部分。

Technical Communications Corporation

技术通信公司

Condensed consolidated statements of operations

简明合并业务报表

  Quarter Ended
    12/25/2021     12/26/2020  
    (Unaudited)     (Unaudited)  
Net revenue $ 423,000   $ 167,000  
Gross profit   67,000     123,000  
S, G & A expense   562,000     545,000  
Product development costs   101,000     392,000  
Operating loss   (596,000 )   (814,000 )
Other income, net   (16,000 )   472,000  
Net loss   (613,000 )   (342,000 )
Net loss per share:    
Basic $ (0.33 ) $ (0.19 )
Diluted $ (0.33 ) $ (0.19 )
截至的季度
12/25/2021 12/26/2020
(未经审计) (未经审计)
净收入 $ 423,000 $ 167,000
毛利 67,000 123,000
S,G&A费用 562,000 545,000
产品开发成本 101,000 392,000
营业亏损 (596,000 ) (814,000 )
其他收入,净额 (16,000 ) 472,000
净损失 (613,000 ) (342,000 )
每股净亏损:
基本信息 $ (0.33 ) $ (0.19 )
稀释 $ (0.33 ) $ (0.19 )

Condensed consolidated balance sheets

压缩合并资产负债表

  12/25/2021 9/25/2021
  (Unaudited) (derived from audited
    Financial statements)
Cash and cash equivalents $ 57,000   $ 298,000
Accounts receivable - trade   127,000     281,000
Inventory   1,127,000     1,157,000
Other current assets   148,000     170,000
Total current assets   1,460,000     1,906,000
Property and equipment, net   3,000     4,000
Right-of-use asset   368,000     407,000
Total assets $ 1,831,000   $ 2,317,000
Current operating lease liability $ 160,000   $ 158,000
Current portion of long-term debt   1,151,000     1,000,000
Accounts payable   182,000     106,000
Customer deposits   4,000     45,000
Accrued expenses and other current liabilities   233,000     265,000
Total current liabilities   1,730,000     1,574,000
Long term operating lease liability   208,000     248,000
Notes payable   149,000     150,000
Total liabilities   2,087,000     1,972,000
Total stockholders' equity (deficit)   (256,000 )   345,000
Total liabilities and stockholders' equity $ 1,831,000   $ 2,317,000
12/25/2021 9/25/2021
(未经审计) (派生自经审计的
财务报表)
现金和现金等价物 $ 57,000 $ 298,000
应收账款-贸易 127,000 281,000
库存 1,127,000 1,157,000
其他流动资产 148,000 170,000
流动资产总额 1,460,000 1,906,000
财产和设备,净值 3,000 4,000
使用权资产 368,000 407,000
总资产 $ 1,831,000 $ 2,317,000
当期经营租赁负债 $ 160,000 $ 158,000
长期债务的当期部分 1,151,000 1,000,000
应付帐款 182,000 106,000
客户存款 4,000 45,000
应计费用和其他流动负债 233,000 265,000
流动负债总额 1,730,000 1,574,000
长期经营租赁负债 208,000 248,000
应付票据 149,000 150,000
总负债 2,087,000 1,972,000
股东权益合计(亏损) (256,000 ) 345,000
总负债和股东权益 $ 1,831,000 $ 2,317,000

Michael P. Malone
Chief Financial Officer
(978) 287-5100

迈克尔·P·马龙
首席财务官
(978) 287-5100


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