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BUTLER NATIONAL CORPORATION ANNOUNCES THIRD QUARTER FISCAL YEAR 2022 FINANCIAL RESULTS AND CONFERENCE CALL

BUTLER NATIONAL CORPORATION ANNOUNCES THIRD QUARTER FISCAL YEAR 2022 FINANCIAL RESULTS AND CONFERENCE CALL

巴特勒国家公司宣布2022财年第三季度财务业绩和电话会议
PR Newswire ·  2022/03/15 12:40


- Revenue increased 24%, Net Income of $2.7 million -  


-收入增长24%,净收入为$270万-

OLATHE, Kan., March 15, 2022 /PRNewswire/ -- Butler National Corporation (OTCQB: BUKS), a leader in the growing global market for aircraft modification, maintenance, repair and overhaul (MRO) and a recognized provider of gaming management services, announces its financial results for the third quarter fiscal 2022 ended January 31, 2022.  In conjunction with the release, the Company has scheduled a conference call Thursday, March 17, 2022 at 9:00 AM Central Daylight Time.

堪萨斯州奥拉西2022年3月15日/美通社/--Butler National Corporation(OTCQB:BUKS)是不断增长的全球飞机改装、维护、修理和大修(MRO)市场的领先者和公认的游戏管理服务提供商,该公司公布了截至2022年1月31日的2022财年第三季度财务业绩。在发布的同时,该公司还安排了一次电话会议2022年3月17日(星期四)中部夏令时上午9:00。

What: Butler National Corporation Third Quarter Fiscal 2022 Financial Results Conference Call

When: Thursday, March 17, 2022 - 9:00 AM Central Daylight Time

How: Live via phone by dialing 877-358-7305. Code: Butler National Corporation.  Participants to the conference call should call in at least 5 minutes prior to the start time.

什么:巴特勒国家公司2022财年第三季度财务业绩电话会议

何时:2022年3月17日(星期四)-中部夏令时上午9:00

方法:拨打877-358-7305进行电话直播。代码:巴特勒国家公司。电话会议的参与者应在开始时间前至少5分钟打电话。

Clark Stewart, President & CEO, Butler National Corp., will be leading the call and discussing results of the third quarter, the status of new and existing orders, gaming activities and an outlook on the balance of fiscal 2022.

Butler National Corp.总裁兼首席执行官克拉克·斯图尔特将主持电话会议,讨论第三季度的业绩、新订单和现有订单的状况、博彩活动以及对2022财年平衡的展望。

Historical selected financial data related to all operations:



















Quarter Ended January 31



Nine Months Ended January 31




(In thousands)



(In thousands)




2022



2021



2022



2021


Revenue


$

18,132



$

14,612



$

55,369



$

43,572


Operating Income (Loss)


$

4,402



$

1,868



$

13,167



$

3,683


Net Income (Loss)


$

2,684



$

503



$

8,740



$

809


Total Assets


$

98,076



$

99,026



$

98,076



$

99,026


Long-term obligations


$

46,201



$

44,222



$

46,201



$

44,222


Stockholders' Equity


$

38,415



$

39,048



$

38,415



$

39,048


Weighted Average Shares - Diluted



75,343




74,033




75,358




74,183


Earnings (Loss) Per Share


$

0.04



$

0.01



$

0.12



$

0.01


New Product Research and Development Cost


$

656



$

808



$

1,852



$

2,552


与所有操作相关的历史选定财务数据:



















截至1月31日的季度



截至1月31日的9个月




(单位:千)



(单位:千)




2022



2021



2022



2021


收入


$

18,132



$

14,612



$

55,369



$

43,572


营业收入(亏损)


$

4,402



$

1,868



$

13,167



$

3,683


净收益(亏损)


$

2,684



$

503



$

8,740



$

809


总资产


$

98,076



$

99,026



$

98,076



$

99,026


长期债务


$

46,201



$

44,222



$

46,201



$

44,222


股东权益


$

38,415



$

39,048



$

38,415



$

39,048


加权平均股份--稀释



75,343




74,033




75,358




74,183


每股收益(亏损)


$

0.04



$

0.01



$

0.12



$

0.01


新产品研发成本


$

656



$

808



$

1,852



$

2,552


Management Comments

管理意见

"The quarter-ended January 31, 2022, continued a strong fiscal year 2022. Both the Professional Services and Aerospace Products segments experienced significant revenue increases. Revenue increased 24% to $18.1 million in the three months ended January 31, 2022, as compared to $14.6 million in the three months ended January 31, 2021. The increase in revenue reflects an increase of 30% in Aerospace Products revenue and an increase of 19% in Professional Services revenue. We continue to focus on growth in international markets, solutions for regulatory mandates and the development of new supplemental type certificates ("STCs"). This includes significant global efforts.

截至2022年1月31日的季度,继续强劲的2022财年。专业服务和航空航天产品部门的收入都有显著增长。收入增长了24%,达到1810万美元在截至2022年1月31日的三个月内,1,460万美元在截至2021年1月31日的三个月里。收入的增长反映了航空航天产品收入的增长30%和专业服务收入的增长19%。我们继续专注于国际市场的增长、监管任务的解决方案以及新的补充类型证书(STC)的开发。这包括重大的全球努力。

Third quarter fiscal 2022 net income was $2.7 million compared to a net income of $503,000 in the third quarter fiscal 2021. Third quarter fiscal 2022 operating margin was 24% compared to 13% in third quarter fiscal 2021. We continue to work to improve efficiencies in our implementation, operational processes, and controlling general and administrative expenses.

2022财年第三季度净收入为270万美元,而2021财年第三季度净收入为50.3万美元。2022财年第三季度营业利润率为24%,而2021财年第三季度为13%。我们继续努力提高我们的实施、业务流程以及控制一般和行政费用的效率。

During the three months ending January 31, 2022, we invested approximately $656,000 in projects focused on the development and acquisition of new products. We feel this expenditure for design and development engineering, testing, and certification of new products is required to grow Aerospace Products and help stabilize our long-term revenue and enhance our profits.

在截至2022年1月31日的三个月内,我们投资了大约$6565,000个专注于新产品开发和采购的项目。我们认为,这笔用于新产品的设计和开发工程、测试和认证的支出是发展航空航天产品、帮助稳定我们的长期收入和提高我们的利润所必需的。

We are excited about the future. Management and all employees are focused on the development of new products, execution of our numerous business development opportunities as well as increasing revenue while managing costs. We believe we are positioned for the future as we focus on serving the needs of our customers and enhancing shareholder value," commented Clark D. Stewart, President of the Company.

我们对未来感到兴奋。管理层和所有员工都专注于新产品的开发,执行我们众多的业务发展机会,以及在管理成本的同时增加收入。公司总裁克拉克·D·斯图尔特表示:“我们相信,当我们专注于满足客户需求和提高股东价值时,我们已经为未来做好了准备。”

Business Segment Highlights

业务细分市场亮点

Professional Services:

专业服务:

Revenue increased 19% for the three months ended January 31, 2022 to $9.4 million compared to $7.9 million in the three months ended January 31, 2021. Costs increased 9% in the three months ended January 31, 2022 to $3.8 million compared to $3.5 million for the three months ended January 31, 2021. Costs were 40% of segment total revenues in the three months ended January 31, 2022, as compared to 44% of segment total revenues in the three months ended January 31, 2021. Expenses increased 26% in the three months ended January 31, 2022 to $3.4 million compared to $2.7 million in the three months ended January 31, 2021. Expenses were 36% of segment total revenues in the three months ended January 31, 2022, as compared to 34% of segment total revenues in the three months ended January 31, 2021. There was an operating income of $2.2 million in the three months ended January 31, 2022 compared to an operating income of $1.7 million in the three months ended January 31, 2021.

截至2022年1月31日的三个月,收入增长19%,达到$9440万美元,截至三个月为790万美元2021年1月31日。在截至2022年1月31日的三个月中,成本增长了9%,达到380万美元,而截至2022年1月31日的三个月的成本为350万美元2021年1月31日。在截至2022年1月31日的三个月里,成本占部门总收入的40%,而在截至三个月的三个月里,成本占部门总收入的44%2021年1月31日。在截至2022年1月31日的三个月中,支出增长了26%,达到340万美元,而截至2021年1月31日的三个月为270万美元。在截至三个月的三个月中,支出占部门总收入的36%2022年1月31日相比之下,在截至2021年1月31日的三个月里,这一比例为34%。在截至的三个月中,公司的营业收入为220万美元。2022年1月31日相比之下,截至2021年1月31日的三个月的营业收入为170万美元。

Aerospace Products:

航空航天产品:

Revenue increased 30% to $8.7 million in the three months ended January 31, 2022, compared to $6.7 million in the three months ended January 31, 2021. The increase in revenue was due to an increase of $1.2 million in the special mission electronic business and an increase in aircraft modification business of $922,000. Costs increased by 11% in the three months ended January 31, 2022 to $5.2 million compared to $4.7 million for the three months ended January 31, 2021. Costs were 60% of segment total revenue in the three months ended January 31, 2022, as compared to 70% of segment total revenue in the three months ended January 31, 2021. Expenses decreased 30% in the three months ended January 31, 2022 to $1.3 million compared to $1.9 million in the three months ended January 31, 2021. Expenses were 15% of segment total revenue in the three months ended January 31, 2022, as compared to 28% of segment total revenue in the three months ended January 31, 2021. There was an operating income from Aerospace Products of $2.2 million in the three months ended January 31, 2022 compared to an operating income of  $144,000 in the three months ended January 31, 2021.

在截至2022年1月31日的三个月中,收入增长了30%,达到870万美元,而截至2022年1月31日的三个月,收入为670万美元2021年1月31日。收入增加的原因是特派团电子业务增加了120万美元,飞机改装业务增加了922000美元。在截至的三个月中,成本增加了11%2022年1月31日至520万美元,而截至2021年1月31日的三个月为470万美元。在截至三个月的季度中,成本占部门总收入的60%2022年1月31日相比之下,在截至2021年1月31日的三个月里,这一比例占该部门总收入的70%。在截至的三个月中,费用下降了30%2022年1月31日至130万美元,而截至2021年1月31日的三个月为190万美元。在截至三个月的季度中,支出占部门总收入的15%2022年1月31日相比之下,在截至2021年1月31日的三个月里,这一比例为28%。在截至三个月的三个月中,航空航天产品的营业收入为220万美元2022年1月31日相比之下,截至2021年1月31日的三个月的营业收入为14.4万美元。

Costs related to Professional Services and Aerospace Products include the cost of engineering, labor, materials, equipment utilization, control systems, security and occupancy. Expenses related to Professional Services and Aerospace Products include marketing and advertising, employee benefits, depreciation and amortization, and general, administrative and other expenses.

与专业服务和航空航天产品有关的成本包括工程、劳动力、材料、设备使用、控制系统、安全和占用成本。与专业服务和航空航天产品有关的费用包括营销和广告、员工福利、折旧和摊销,以及一般、行政和其他费用。

Backlog:

积压:

As of January 31, 2022, our backlog totaled approximately $18.5 million. The backlog includes firm, pending, and contract orders, which may not be completed within the next fiscal year. This is standard for the industry in which modifications services and related contracts may take several months or years to complete. Such actions force backlog as additional customers request modifications but must wait for other projects to be completed. There can be no assurance that all orders will be completed or that some may ever commence.

截至2022年1月31日,我们的积压订单总数约为1,850万美元。积压的订单包括确定的、待定的和合同订单,这些订单可能无法在下一财年内完成。这是修改服务和相关合同可能需要几个月或几年才能完成的行业的标准。这样的行动迫使积压,因为更多的客户要求修改,但必须等待其他项目完成。不能保证所有订单都会完成,也不能保证有些订单可能会开始。

Our Business:
Butler National Corporation operates in the Aerospace and Services business segments. The Aerospace Products segment includes the manufacture, sale and service of electronic equipment and systems and technologies to enhance and support products related to aircraft. Additionally, we also operate several Federal Aviation Administration (the "FAA") Repair Stations. Butler National companies, Avcon Industries, Inc., Butler National Tempe, and Butler Avionics, in Aerospace Products concentrate on Learjet, Beechcraft King Air, Cessna turbine engine, Cessna multi-engine piston and Dassault Falcon 20 aircraft. Specifically, the design, distribution and support for products for older aircraft, or "Classic" aircraft are areas of focus for companies in Aerospace Products. Services include temporary employee services, gaming services and administrative management services.

我们的业务:
巴特勒国家公司经营航空航天和服务业务部门。航空航天产品部门包括电子设备和系统以及技术的制造、销售和服务,以增强和支持与飞机相关的产品。此外,我们还运营着几个联邦航空管理局(“FAA”)维修站。Butler National Companies,Avcon Industries,Inc.,Butler National Tempe和Butler Avionics在航空航天产品方面专注于LearJet、Beechcraft King Air、Cessna涡轮发动机、Cessna多引擎活塞和达索猎鹰20飞机。具体来说,老式飞机或“经典”飞机的产品设计、分销和支持是航空航天产品公司的重点领域。服务包括临时员工服务、游戏服务和行政管理服务。

Forward-Looking Information:

前瞻性信息:

Statements made in this report, other reports and proxy statements filed with the Securities and Exchange Commission, communications to stockholders, press releases, and oral statements made by representatives of the Company that are not historical in nature, or that state the Company or management intentions, hopes, beliefs, expectations or predictions of the future, may constitute "forward-looking statements" within the meaning of Section 21E of the Securities and Exchange Act of 1934, as amended (the "Exchange Act"). Forward-looking statements can often be identified by the use of forward-looking terminology, such as "could," "should," "will," "intended," "continue," "believe," "may," "expect," "hope," "anticipate," "goal," "forecast," "plan," "guidance" or "estimate" or the negative of these words, variations thereof or similar expressions. Forward-looking statements are not guarantees of future performance or results. They involve risks, uncertainties, and assumptions. It is important to note that any such performance and actual results, financial condition or business, could differ materially from those expressed in such forward-looking statements. Factors that could cause or contribute to such differences include, but are not limited to, those discussed in Item 1A of the Company's Annual Report on Form 10-K, incorporated herein by reference. Risk Factors and elsewhere herein or in other reports filed with the SEC. Other unforeseen factors not identified herein could also have such an effect. We undertake no obligation to update or revise forward-looking statements to reflect changed assumptions, the occurrence of unanticipated events or changes in future operating results, financial condition or business over time.

本报告中所作的陈述、提交给美国证券交易委员会的其他报告和委托书、致股东的通讯、新闻稿以及公司代表所作的口头陈述,或陈述公司或管理层对未来的意图、希望、信念、期望或预测的陈述,可能构成1934年证券交易法(“交易法”)第21E节所指的“前瞻性陈述”。前瞻性陈述通常可以通过使用前瞻性术语来识别,如“可能”、“应该”、“将”、“打算”、“继续”、“相信”、“可能”、“预期”、“希望”、“预期”、“目标”、“预测”、“计划”、“指导”或“估计”或这些词语的否定、变体或类似表达。前瞻性陈述不是对未来业绩或结果的保证。它们涉及风险、不确定性和假设。必须指出的是,任何此类业绩和实际结果、财务状况或业务,都可能与这些前瞻性陈述中所表达的大不相同。可能导致或促成这种差异的因素包括但不限于,在公司年度报告Form 10-K的第1A项中讨论的因素,该报告通过引用并入本文。风险因素和本文其他部分或在提交给美国证券交易委员会的其他报告中。这里没有确定的其他不可预见的因素也可能产生这样的影响。我们没有义务更新或修改前瞻性陈述,以反映随着时间的推移改变的假设、意外事件的发生或未来经营结果、财务状况或业务的变化。

FOR MORE INFORMATION, CONTACT:

David Drewitz, Public Relations
[email protected]

Ph (972) 814-5723

Butler National Corporation Investor Relations

Ph (913) 780-9595

如需更多信息,请联系:

David Drewitz,公共关系[受电子邮件保护]

PH(972)814-5723

巴特勒国家公司投资者关系

PH(913)780-9595

THE WORLDWIDE WEB:
Please review for pictures of our products and details about Butler National Corporation and its subsidiaries.

万维网:
请查看我们产品的图片和有关巴特勒国家公司及其子公司的详细信息。

SOURCE Butler National Corporation

来源:巴特勒国家公司

声明:本内容仅用作提供资讯及教育之目的,不构成对任何特定投资或投资策略的推荐或认可。 更多信息
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