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Champions Oncology Reports Quarterly Revenue of $12.9 Million

Champions Oncology Reports Quarterly Revenue of $12.9 Million

冠軍腫瘤學公司報告季度收入為1290萬美元
Accesswire ·  2022/07/21 16:05

Record Annual Revenue of $49.1 Million

創紀錄的年收入4910萬美元

HACKENSACK, NJ / ACCESSWIRE / July 21, 2022 / Champions Oncology, Inc. (NASDAQ:CSBR), a leading global technology-enabled biotech that is transforming drug discovery through innovative AI-driven pharmaco-pheno-multiomic integration, today announced its financial results for the year and fourth fiscal quarter ended April 30, 2022.

新澤西州哈肯薩克/ACCESSWIRE/2022年7月21日/冠軍腫瘤公司(納斯達克代碼:CSBR)是一家領先的全球技術驅動的生物技術公司,正在通過創新的人工智能驅動的藥物-現象-多組學集成改變藥物發現。該公司今天公佈了截至2022年4月30日的年度和第四財季的財務業績。

Fourth Quarter and Fiscal Year 2022 Financial and Recent Business Highlights:

第四季度和2022財年財務和最近的業務亮點:

  • Fourth quarter revenue increased 22% to $12.9 million
  • Record annual revenue of $49.1 million, an increase of 20% year-over-year
  • Achieved high end of revenue guidance of 20%
  • Gross margin improved to 52% for fiscal year 2022
  • Adjusted EBITDA of $3.1 million for fiscal year 2022
  • 第四季度收入增長22%,達到1290萬美元
  • 創紀錄的年收入4910萬美元,同比增長20%
  • 實現了20%的高端收入指引
  • 2022財年毛利率提高至52%
  • 2022財年調整後的EBITDA為310萬美元

Ronnie Morris, CEO of Champions, commented, "Fiscal year 2022 was an outstanding year for Champions as we successfully expanded our business lines while continuing to develop and implement our longer term strategies. Our ex-vivo business was especially promising as we saw rising demand for those services. Our computational discovery tools continue to evolve and this upcoming year will focus on moving these programs into preclinical development."

冠軍公司首席執行官羅尼·莫里斯評論説:“2022財年對於冠軍公司來説是傑出的一年,因為我們成功地擴展了我們的業務線,同時繼續開發和實施我們的長期戰略。我們的體外業務特別有前景,因為我們看到對這些服務的需求不斷上升。我們的計算髮現工具繼續發展,即將到來的一年將專注於將這些程序轉移到臨牀前開發中。”

David Miller, CFO of Champions added, "We realized another year of financial milestones, reaching a record $49.1 million in revenue and delivering 20% top line growth, in line with the high end of revenue guidance. Our pipeline of opportunities remains robust and with the expansion of our platforms, we are well positioned to deliver strong financial results in fiscal year 2023. We're projecting another year of top line revenue growth in the 20% range."

冠軍的首席財務官大衞·米勒補充道:“我們實現了又一年的財務里程碑,收入達到創紀錄的4,910萬美元,營收增長20%,與營收指引的高端一致。我們的機會渠道依然強勁,隨着我們平臺的擴大,我們處於有利地位,將在2023財年實現強勁的財務業績。我們預計營收將再增長20%。”

Fourth Fiscal Quarter Financial Results

第四財季財務業績

Total revenue for the fourth quarter of fiscal 2022 was $12.9 million, an increase of 22%, compared to $10.6 million for the same period last year. The increase in revenue was continued demand and larger study sizes for our pharmacology studies, including in-vivo and ex-vivo services. Total costs and operating expenses for the fourth quarter of fiscal 2022 were $13.2 million compared to $11.0 million for the fourth quarter of fiscal 2021, an increase of $2.2 million or 20%.

2022財年第四季度總收入為1290萬美元,增長22%,而去年同期為1060萬美元。收入的增加是因為對我們的藥理學研究的持續需求和更大的研究規模,包括體內和體外服務。2022財年第四季度的總成本和運營費用為1,320萬美元,而2021財年第四季度為1,100萬美元,增長了220萬美元或20%。

For the fourth quarter of fiscal 2022, Champions reported a loss from operations of $311,000, which includes $188,000 in stock-based compensation and $568,000 in depreciation and amortization compared to a loss from operations of $456,000, inclusive of $161,000 in stock-based compensation and $302,000 in depreciation and amortization in the fourth quarter of fiscal 2021.Excluding stock-based compensation, depreciation and amortization expenses, Champions reported adjusted EBITDA for the quarter of $445,000, compared to $7,000 in the prior year period.

在2022財年第四季度,冠軍企業報告運營虧損311,000美元,其中包括188,000美元的股票薪酬和568,000美元的折舊和攤銷,而2021財年第四季度的運營虧損為456,000美元,其中包括161,000美元的股票薪酬和302,000美元的折舊和攤銷,冠軍企業報告的調整後的EBITDA為445,000美元,而上一年同期為7,000美元。

Cost of oncology solutions was $6.2 million for the three months ended April 30, 2022, an increase of $568,000, or 10% compared to $5.7 million for the three months ended April 30, 2021. The increase in cost of sales was primarily due to an increase in compensation expense for our SaaS platform. For the three months ended April 30, 2022, gross margin was 52% compared to 46% for the three months ended April 30, 2021. The improvement in gross margin was the direct result of decreasing the Company's reliance on outsourcing and leveraging revenue growth over the fixed cost component of cost of sales.

截至2022年4月30日的三個月,腫瘤學解決方案的成本為620萬美元,比截至2021年4月30日的三個月的570萬美元增加了56.8萬美元,增幅為10%。銷售成本的增加主要是由於我們SaaS平臺的薪酬支出增加。截至2022年4月30日的三個月,毛利率為52%,而截至2021年4月30日的三個月的毛利率為46%。毛利率的提高是公司減少對外包的依賴以及利用銷售成本中固定成本部分的收入增長的直接結果。

Research and development expense was $2.6 million for the three months ended April 30, 2022, an increase of $520,000, or 25%, compared to $2.1 million in the prior year. The increase was primarily due to compensation and lab expenses as we increased investment in our drug discovery program. Sales and marketing expense for the three months ended April 30, 2022 was $1.6 million, remaining relatively flat with an increase of $143,000, or 10%, compared to $1.5 million for the three months ended April 30, 2021. General and administrative expense was $2.8 million for the three months ended April 30, 2022 compared to $1.8 million for the three months ended April 30, 2021, an increase of $936,000, or 51%. The increase was primarily due to an increase in depreciation and amortization expenses of approximately $300,000, write-off of bad debt of $200,000, and an increase in IT expenses, specific to computing costs, of $300,000 to support the overall growth of the organization.

截至2022年4月30日的三個月,研發支出為260萬美元,比上年同期的210萬美元增加了52萬美元,增幅為25%。增加的主要原因是薪酬和實驗室費用,因為我們增加了對藥物發現計劃的投資。截至2022年4月30日的三個月的銷售和營銷支出為160萬美元,與截至2021年4月30日的三個月的150萬美元相比,保持相對持平,增加了14.3萬美元,增幅為10%。截至2022年4月30日的三個月,一般和行政費用為280萬美元,而截至2021年4月30日的三個月為180萬美元,增加了93.6萬美元,增幅為51%。增加的主要原因是折舊和攤銷費用增加了約300 000美元,壞賬核銷了200 000美元,與計算費用有關的信息技術費用增加了300 000美元,以支持本組織的整體增長。

Net cash generated from operating activities for the quarter was approximately $700,000 resulting from operating income excluding stock-based compensation and other non-cash related expenses, and an increase in deferred revenue stemming from our bookings growth. Net cash used in investing activities was $400,000 primarily from investment in additional lab equipment. The Company ended the quarter with a strong cash position of $9.0 million and no debt.

該季度經營活動產生的淨現金約為70萬美元,原因是不包括基於股票的薪酬和其他非現金相關費用的營業收入,以及來自我們預訂量增長的遞延收入的增加。用於投資活動的現金淨額為40萬美元,主要來自對額外實驗室設備的投資。該公司在本季度結束時擁有900萬美元的強大現金狀況,沒有債務。

Year-to-Date Financial Results

年初至今財務業績

Total revenue for fiscal year 2022 was $49.1 million, an increase of 20%, compared to $41.0 million for fiscal year 2021. The increase in revenue was due to the expansion of our platforms, business lines, and demand for our services. Total operating expenses increased 19% to $48.5 million for fiscal year 2022, as compared to $40.7 million for the prior year.

2022財年總收入為4910萬美元,增長20%,而2021財年為4100萬美元。收入的增長是由於我們的平臺、業務線和對我們的服務的需求的擴大。2022財年的總運營費用增長了19%,達到4850萬美元,而上一財年為4070萬美元。

For the twelve months ended April 30, 2022, Champions reported net income from operations of $607,000, inclusive of $912,000 in stock-based compensation expense and $1.6 million in depreciation and amortization expenses compared to income from operations of $366,000, inclusive of $598,000 in stock-based compensation expense, and $1.2 million in depreciation and amortization expenses for the prior year. Excluding stock-based compensation, depreciation and amortization, Champions reported adjusted EBITDA of $3.1 million for fiscal year 2022 compared to adjusted EBITDA of $2.1 million in the prior year.

在截至2022年4月30日的12個月中,冠軍公司報告的運營淨收入為607,000美元,包括基於股票的薪酬支出912,000美元和折舊和攤銷支出160萬美元,而上一年的運營收入為366,000美元,包括基於股票的薪酬支出598,000美元和折舊和攤銷支出120萬美元。不包括基於股票的薪酬、折舊和攤銷,冠軍公司報告2022財年調整後的EBITDA為310萬美元,而上一財年調整後的EBITDA為210萬美元。

Cost of oncology solutions was $23.6 million for the twelve months ended April 30, 2022, an increase of $2.2 million or 10%, compared to $21.4 million, for the twelve months ended April 30, 2021. The increase in cost of oncology services was mainly due to an increase in compensation and supply expenses resulting from increased study volume and compensation expenses for our SaaS platform. These increases were offset by a decrease in outsourced lab services. Gross margin was 52% for the twelve months ended April 30, 2022 compared to 48% for the twelve months ended April 30, 2021.The improvement in gross margin was the direct result of decreasing the Company's reliance on outsourcing and leveraging revenue growth over the fixed cost component of cost of sales.

截至2022年4月30日的12個月,腫瘤學解決方案的成本為2360萬美元,比截至2021年4月30日的12個月的2140萬美元增加了220萬美元或10%。腫瘤學服務成本的增加主要是由於我們的SaaS平臺的研究量和補償費用的增加導致補償和供應費用的增加。這些增長被外包實驗室服務的減少所抵消。截至2022年4月30日的12個月的毛利率為52%,而截至2021年4月30日的12個月的毛利率為48%。毛利率的提高是公司減少對外包的依賴以及利用收入增長超過銷售成本的固定成本部分的直接結果。

Research and development expense was $9.4 million for fiscal year 2022, an increase of $2.2 million, or 30%, compared to $7.2 million for the prior year. The increase was mainly due to the investment in therapeutic discovery programs with the increase coming primarily from compensation and lab supply expenses. Sales and marketing expense for fiscal year 2022 was $6.4 million, an increase of $859,000, or 16%, compared to $5.5 million for fiscal year 2021. The increase was primarily due to compensation expense driven by the continued expansion of our business development teams and travel expenses which increased with the easing of Covid restrictions. General and administrative expense was $9.1 million for fiscal year 2022, an increase of $2.6 million, or 40%, compared to $6.5 million for fiscal year 2021. General and administrative expenses were primarily comprised of compensation, insurance, professional fees, IT, and depreciation and amortization expenses. The increase in general and administrative expense was primarily due to increases in non-cash expenses of $900,000, compensation, and IT computing expenses to support the overall growth of the company.

2022財年的研發支出為940萬美元,比上一財年的720萬美元增加了220萬美元,增幅為30%。增加的主要原因是對治療發現計劃的投資,增加的主要來自補償和實驗室供應費用。2022財年的銷售和營銷費用為640萬美元,比2021財年的550萬美元增加了85.9萬美元,增幅為16%。這一增長主要是由於我們業務開發團隊的持續擴張所帶動的薪酬支出以及隨着Covid限制的放寬而增加的差旅支出。2022財年的一般和行政費用為910萬美元,比2021財年的650萬美元增加了260萬美元,增幅為40%。一般和行政費用主要包括薪酬、保險、專業費用、信息技術以及折舊和攤銷費用。一般和行政費用的增加主要是由於為支持公司的整體增長而增加的900,000美元的非現金費用、薪酬和IT計算費用。

Net cash generated from operations was $6.5 million for fiscal year 2022. Cash generated from operations was primarily due to improving cash based operational results as well as an increase in deferred revenue due to strong bookings. Changes in working capital accounts occurred in the ordinary course of business. Net cash used in investing activities was $2.4 million primarily from investment in additional lab equipment and software development costs. The Company ended the year in strong cash position of $9.0 million and has no debt.

2022財年,運營產生的淨現金為650萬美元。運營產生的現金主要是由於基於現金的運營業績的改善,以及由於強勁的預訂量而導致的遞延收入增加。營運資金賬户的變動發生在正常業務過程中。用於投資活動的現金淨額為240萬美元,主要來自對額外實驗室設備和軟件開發成本的投資。年末,公司現金狀況強勁,達900萬美元,沒有債務。

Conference Call Information:

電話會議信息:

The Company will host a conference call today at 4:30 p.m. EDT (1:30 p.m. PDT) to discuss its fourth quarter financial results. To participate in the call, please call 888-506-0062 (domestic) or 973-528-0011 (international) ten minutes ahead of the call and enter the access code 908668. A replay of the call will be available by dialing 877-481-4010 (Domestic) or 919-882-2331 (International) and entering passcode: 46134, or by accessing the investors section of the company's website within 72 hours.

公司將於今天下午4:30主持電話會議。美國東部夏令時(下午1:30德州儀器(PDT:行情)討論其第四季財報.如欲參加本次電話會議,請在通話前10分鐘撥打888-506-0062(國內)或973-528-0011(國際),並輸入接入碼908668。會議將通過撥打8774814010(國內)或919822331(國際)並輸入密碼46134或通過在72小時內訪問公司網站的投資者部分來重播。

Full details of the Company's financial results will be available on, or before, Monday July 25, 2022 in the Company's Form 10-K at

公司財務業績的全部細節將於2022年7月25日星期一或之前以公司Form 10-K的形式提供,網址為:

* Non-GAAP Financial Information

*非公認會計準則財務信息

See the attached Reconciliation of GAAP to non-GAAP Net Income (loss) (Unaudited) for an explanation of the amounts excluded to arrive at non-GAAP net income (loss) and related non-GAAP net income per share amounts for the three and twelve months ended April 30, 2022 and 2021. Non-GAAP financial measures provide investors and management with supplemental measures of operating performance and trends that facilitate comparisons between periods before and after certain items that would not otherwise be apparent on a GAAP basis. Certain unusual or non-recurring items that management does not believe affect the Company's basic operations do not meet the GAAP definition of unusual or non-recurring items. Non-GAAP net income (loss) and non-GAAP income (loss) per share are not, and should not be viewed as a substitute for similar GAAP items. Champions' defines non-GAAP dilutive income (loss) per share amounts as non-GAAP net income (loss) divided by the weighted average number of diluted shares outstanding. Champions' definition of non-GAAP net income (loss) and non-GAAP diluted income (loss) per share may differ from similarly named measures used by others.

有關截至2022年4月30日和2021年4月30日的3個月和12個月的非GAAP淨收益(虧損)和相關的非GAAP每股淨收入金額的解釋,請參閲所附的GAAP與非GAAP淨收益(虧損)的對賬(未經審計)。非GAAP財務指標為投資者和管理層提供了經營業績和趨勢的補充指標,便於在某些項目之前和之後進行比較,否則這些項目在GAAP基礎上是不明顯的。管理層認為不會影響公司基本運營的某些非常或非經常性項目不符合美國公認會計準則對非常或非經常性項目的定義。非GAAP淨收益(虧損)和每股非GAAP收益(虧損)不是,也不應被視為類似GAAP項目的替代品。冠軍公司將每股非GAAP稀釋收益(虧損)金額定義為非GAAP淨收益(虧損)除以已發行稀釋股份的加權平均數量。冠軍對非GAAP淨收益(虧損)和非GAAP稀釋每股收益(虧損)的定義可能與其他公司使用的類似名稱的衡量標準不同。

About Champions Oncology, Inc.

冠軍腫瘤公司簡介

Champions Oncology is a technology-driven research organization that develops innovative therapeutics against cancer targets, offers groundbreaking research software as a service, and provides end-to-end R&D services to biopharma organizations. Champions Oncology is actively engaged in the transformation of drug discovery through a novel approach of pharmaco-pheno-multiomic integration. For more information, please visit .

冠軍腫瘤是一家技術驅動的研究組織,開發針對癌症目標的創新療法,提供突破性的研究軟件作為服務,併為生物製藥組織提供端到端的研發服務。冠軍腫瘤學通過一種新的藥物-表觀-多組學整合方法積極參與藥物發現的轉變。欲瞭解更多信息,請訪問.

This press release may contain "forward-looking statements" (within the meaning of the Private Securities Litigation Act of 1995) that inherently involve risk and uncertainties. Champions Oncology generally uses words such as "believe," "may," "could," "will," "intend," "expect," "anticipate," "plan," and similar expressions to identify forward-looking statements. One should not place undue reliance on these forward-looking statements. The Company's actual results could differ materially from those anticipated in the forward-looking statements for many unforeseen factors. See Champions Oncology's Form 10-K for the fiscal year ended April 30, 2022 for a discussion of such risks, uncertainties and other factors. Although the Company believes the expectations reflected in the forward-looking statements are reasonable, they relate only to events as of the date on which the statements are made, and Champions Oncology's future results, levels of activity, performance or achievements may not meet these expectations. The Company does not intend to update any of the forward-looking statements after the date of this press release to conform these statements to actual results or to changes in Champions Oncology's expectations, except as required by law.

本新聞稿可能包含“前瞻性陳述”(符合1995年“私人證券訴訟法案”的含義),這些陳述本身就涉及風險和不確定性。冠軍腫瘤學通常使用“相信”、“可能”、“可能”、“將”、“打算”、“預期”、“預期”、“計劃”等詞語來識別前瞻性陳述。人們不應過度依賴這些前瞻性陳述。由於許多不可預見的因素,該公司的實際結果可能與前瞻性陳述中預期的大不相同。有關此類風險、不確定性和其他因素的討論,請參閲冠軍腫瘤學公司截至2022年4月30日的財政年度的Form 10-K。儘管公司認為前瞻性陳述中反映的預期是合理的,但它們只與陳述發表之日發生的事件有關,冠軍腫瘤學公司未來的結果、活動水平、業績或成就可能達不到這些預期。除法律要求外,公司不打算在本新聞稿發佈之日之後更新任何前瞻性陳述,以使這些陳述與實際結果或冠軍腫瘤公司預期的變化相一致。

Champions Oncology, Inc.
(Dollars in thousands)

冠軍腫瘤學公司
(千美元)

Reconciliation of GAAP to Non-GAAP Net Income (Loss) (Unaudited)

公認會計原則與非公認會計原則淨收益(虧損)的對賬(未經審計)

Three Months Ended
April 30,
Twelve Months Ended
April 30,
2022 2021 2022 2021
Net income (loss) - GAAP
$ (344 ) $ (481 ) $ 548 $ 362
Less:
Stock-based compensation
$ 188 $ 161 $ 912 $ 598
Net income (loss) - non-GAAP
$ (156 ) $ (320 ) $ 1,460 $ 960
截至三個月
4月30日,
截至12個月
4月30日,
2022 2021 2022 2021
淨收益(虧損)-GAAP
$ (344 ) $ (481 ) $ 548 $ 362
更少:
基於股票的薪酬
$ 188 $ 161 $ 912 $ 598
淨收益(虧損)--非公認會計準則
$ (156 ) $ (320 ) $ 1,460 $ 960

Reconciliation of GAAP EPS to Non-GAAP EPS - Basic (Unaudited)

GAAP每股收益與非GAAP每股收益的對賬-基本(未經審計)

Three Months Ended
April 30,
Twelve Months Ended
April 30,
2022 2021 2022 2021
EPS - GAAP, basic
$ (0.03 ) $ (0.04 ) $ 0.04 $ 0.03
Less:
Effect of stock-based compensation on EPS
$ 0.01 $ 0.01 $ 0.07 $ 0.05
EPS - non-GAAP, basic
$ (0.02 ) $ (0.03 ) $ 0.11 $ 0.08
截至三個月
4月30日,
截至12個月
4月30日,
2022 2021 2022 2021
EPS-GAAP,基礎版
$ (0.03 ) $ (0.04 ) $ 0.04 $ 0.03
更少:
股票薪酬對每股收益的影響
$ 0.01 $ 0.01 $ 0.07 $ 0.05
每股收益-非GAAP,基礎版
$ (0.02 ) $ (0.03 ) $ 0.11 $ 0.08

Reconciliation of GAAP EPS to Non-GAAP EPS -Diluted (Unaudited)

GAAP每股收益與非GAAP每股收益的對賬--稀釋(未經審計)

Three Months Ended
April 30,
Twelve Months Ended
April 30,
2022 2021 2022 2021
EPS - GAAP, diluted
$ (0.03 ) $ (0.04 ) $ 0.04 $ 0.02
Less:
Effect of stock-based compensation on EPS
$ 0.01 $ 0.01 $ 0.07 $ 0.05
EPS - non-GAAP, diluted
$ (0.02 ) $ (0.03 ) $ 0.11 $ 0.07
截至三個月
4月30日,
截至12個月
4月30日,
2022 2021 2022 2021
每股收益-公認會計原則,稀釋
$ (0.03 ) $ (0.04 ) $ 0.04 $ 0.02
更少:
股票薪酬對每股收益的影響
$ 0.01 $ 0.01 $ 0.07 $ 0.05
每股收益-非GAAP,稀釋
$ (0.02 ) $ (0.03 ) $ 0.11 $ 0.07

Condensed Consolidated Statements of Operations (Unaudited)

簡明合併業務報表(未經審計)

Three Months Ended
April 30,
Twelve Months Ended
April 30,
2022 2021 2022 2021
Oncology services revenue
$ 12,877 $ 10,565 $ 49,109 $ 41,040
Costs and operating expenses:
Cost of oncology services
6,221 5,653 23,632 21,446
Research and development
2,590 2,070 9,374 7,196
Sales and marketing
1,615 1,472 6,379 5,520
General and administrative
2,762 1,826 9,117 6,512
Income (loss) from operations
$ (311 ) $ (456 ) $ 607 $ 366
Other income (expense), net
(35 ) 7 (24 ) 71
Net income (loss) before provision (benefit) for income taxes
$ (346 ) $ (449 ) $ 583 $ 437
Provision (benefit) for income taxes
(2 ) 32 35 75
Net income (loss)
$ (344 ) $ (481 ) $ 548 $ 362
Net income (loss) per common share outstanding
basic
$ (0.03 ) $ (0.04 ) $ 0.04 $ 0.03
and diluted
$ (0.03 ) $ (0.04 ) $ 0.04 $ 0.02
Weighted average common shares outstanding
basic
13,509,151 13,401,461 13,197,170 13,138,995
and diluted
13,509,151 13,401,461 14,159,799 14,573,561
截至三個月
4月30日,
截至12個月
4月30日,
2022 2021 2022 2021
腫瘤學服務收入
$ 12,877 $ 10,565 $ 49,109 $ 41,040
成本和運營費用:
腫瘤學服務費用
6,221 5,653 23,632 21,446
研發
2,590 2,070 9,374 7,196
銷售和市場營銷
1,615 1,472 6,379 5,520
一般和行政
2,762 1,826 9,117 6,512
營業收入(虧損)
$ (311 ) $ (456 ) $ 607 $ 366
其他收入(費用),淨額
(35 ) 7 (24 ) 71
扣除所得税準備(收益)前的淨收益(虧損)
$ (346 ) $ (449 ) $ 583 $ 437
所得税撥備(福利)
(2 ) 32 35 75
淨收益(虧損)
$ (344 ) $ (481 ) $ 548 $ 362
每股已發行普通股淨收益(虧損)
基本信息
$ (0.03 ) $ (0.04 ) $ 0.04 $ 0.03
和稀釋的
$ (0.03 ) $ (0.04 ) $ 0.04 $ 0.02
加權平均已發行普通股
基本信息
13,509,151 13,401,461 13,197,170 13,138,995
和稀釋的
13,509,151 13,401,461 14,159,799 14,573,561

Condensed Consolidated Balance Sheets as of

截至的簡明綜合資產負債表

April 30, 2022 April 30, 2021
Cash
$ 9,007 $ 4,687
Accounts receivable
9,513 6,986
Prepaid expenses and other current assets
1,144 957
Total current assets
19,664 12,630
Property and equipment, net
$ 7,134 $ 6,090
Operating lease right-of-use assets, net
8,230 8,521
Other long term assets
15 15
Goodwill
335 335
Total assets
$ 35,378 $ 27,591
Accounts payable
2,868 1,894
Accrued liabilities
2,414 2,231
Current portion of operating lease liabilities
1,054 818
Other current liability
72 -
Deferred revenue
11,071 6,256
Total current liabilities
17,479 11,199
Non-current portion operating lease liabilities
8,412 8,783
Other non-current liabilities
391 181
Stockholders' equity
9,096 7,428
Total liabilities and stockholders' equity
$ 35,378 $ 27,591
2022年4月30日 2021年4月30日
現金
$ 9,007 $ 4,687
應收賬款
9,513 6,986
預付費用和其他流動資產
1,144 957
流動資產總額
19,664 12,630
財產和設備,淨額
$ 7,134 $ 6,090
經營性租賃使用權資產淨額
8,230 8,521
其他長期資產
15 15
商譽
335 335
總資產
$ 35,378 $ 27,591
應付帳款
2,868 1,894
應計負債
2,414 2,231
經營租賃負債的當期部分
1,054 818
其他流動負債
72 -
遞延收入
11,071 6,256
流動負債總額
17,479 11,199
非流動部分經營租賃負債
8,412 8,783
其他非流動負債
391 181
股東權益
9,096 7,428
總負債和股東權益
$ 35,378 $ 27,591

Condensed Consolidated Statements of Cash Flows (Unaudited)

簡明合併現金流量表(未經審計)

Twelve Months Ended
April 30,
2022 2021
Cash flows from operating activities:
Net income
$ 548 $ 362
Adjustments to reconcile net income to net cash provided by (used in) operating activities:
Stock-based compensation expense
912 598
Depreciation and amortization expense
1,627 1,184
Operating lease right of use assets
786 398
Net gain on disposal of equipment
(4 ) -
Allowance for doubtful accounts
292 49
Gain on termination of operating lease
- (75 )
Changes in operating assets and liabilities
2,336 (4,197 )
Net cash provided by (used in) operating activities
6,497 (1,681 )
Cash flows from investing activities:
Purchases of property and equipment
(2,384 ) (3,281 )
Refund of security deposit
- 112
Net cash used in investing activities
(2,384 ) (3,169 )
Cash flows from financing activities:
Finance lease payments
- (174 )
Proceeds from exercise of options and warrants
207 1,369
Net cash provided by financing activities
207 1,195
Increase/decrease in cash
4,320 (3,655 )
Cash, beginning of period
4,687 8,342
Cash, end of period
$ 9,007 $ 4,687
Non-cash operating activities:
Right-of-use assets obtained in exchange for operating lease liabilities
205 6,121
截至12個月
4月30日,
2022 2021
經營活動的現金流:
淨收入
$ 548 $ 362
將淨收入與經營活動提供(用於)的現金淨額進行調整:
基於股票的薪酬費用
912 598
折舊及攤銷費用
1,627 1,184
經營性租賃使用權資產
786 398
處置設備的淨收益
(4 ) -
壞賬準備
292 49
終止經營租約的收益
- (75 )
經營性資產和負債的變動
2,336 (4,197 )
經營活動提供(用於)的現金淨額
6,497 (1,681 )
投資活動產生的現金流:
購置財產和設備
(2,384 ) (3,281 )
退還保證金
- 112
用於投資活動的現金淨額
(2,384 ) (3,169 )
融資活動的現金流:
融資租賃付款
- (174 )
行使期權及認股權證所得收益
207 1,369
融資活動提供的現金淨額
207 1,195
增加/減少現金
4,320 (3,655 )
期初現金
4,687 8,342
期末現金
$ 9,007 $ 4,687
非現金經營活動:
以經營性租賃負債換取的使用權資產
205 6,121

SOURCE: Champions Oncology, Inc.

資料來源:冠軍腫瘤學公司


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