share_log

BT Brands, Inc. Reports Results for the Third Quarter Ending October 2, 2022

BT Brands, Inc. Reports Results for the Third Quarter Ending October 2, 2022

BT 品牌公司公佈截至 2022 年 10 月 2 日的第三季度業績
Accesswire ·  2022/11/15 08:50

WEST FARGO, ND / ACCESSWIRE / November 15, 2022 / West Fargo, North Dakota (NASDAQ:BTBD)(NASDAQ:BTBDW), operator of Burger Time, Keegan's Seafood Grille, Pie in the Sky Coffee and Bakery and Village Bier Garten, today reported financial results for the fiscal third quarter ended October 2, 2022.

新澤西州西法戈/2022年11月15日美國北達科他州西法戈(納斯達克股票代碼:BTBD)(納斯達克代碼:BTBDW)今天公佈了截至2022年10月2日的第三財季財務業績。該公司經營漢堡時間、基根海鮮燒烤、天上的派咖啡和麪包房以及比爾花園村。

Key highlights of the Company's financial results include:

該公司財務業績的主要亮點包括:

  • Revenue for the third quarter of 2022 increased 76.4% to $4.0 million from $2.3 in fiscal 2021. The increase during the period resulted from sales from the recently acquired businesses that contributed $1.9 million in revenue.
  • Recently acquired restaurants contributed $1.9 million in revenue during the quarter
  • The Company ended the quarter with $7.2 million in cash
  • Same Store Sales for company-owned Burger Time restaurants decreased by 14.0% for the quarter compared to the prior year's quarter. Staffing challenges also adversely impacted Burger Time, resulting in limited hours and isolated daily store closures during the quarter
  • Income from operations for the 39 weeks declined to $8,991 from $358,743 in the year-earlier period
  • The year-to-date net loss was $224,531 compared to the net income of $583,267 a year ago
  • 2022年第三季度營收增長76.4%,從2021財年的230萬美元增至400萬美元。這一期間的增長來自最近收購的業務的銷售,這些業務貢獻了190萬美元的收入。
  • 最近收購的餐廳在本季度貢獻了190萬美元的收入
  • 該公司本季度末的現金為720萬美元
  • 與去年同期相比,該季度公司擁有的Burger Time餐廳的同店銷售額下降了14.0%。人員配備的挑戰也對漢堡包的時間產生了不利影響,導致該季度的工作時間有限,每天單獨關閉門店
  • 前39周的運營收入從去年同期的358,743美元下降到8,991美元
  • 今年迄今的淨虧損為224,531美元,而去年同期的淨收益為583,267美元

Gary Copperud, the Company's Chief Executive Officer, said, "Our results this quarter reflect continued growth in revenue as a result of our recent acquisitions offsetting a decline in revenues at Burger Time. We also incurred higher-than-expected costs related to transitioning the acquired businesses. Results reflect an unrealized loss on investments of $155,220 and a loss on the equity in Bagger Dave's of $135,813. The Company faced inflationary pressures on costs and increased challenges in recruiting and retaining employees. I'm excited about all three of our recent restaurant acquisitions, which we expect will meet our target returns and contribute to a doubling of sales for fiscal 2022 compared to 2021."

公司首席執行官加里·科珀魯德説:“我們本季度的業績反映了我們最近的收購帶來的收入的持續增長,抵消了漢堡時間收入的下降。我們還產生了高於預期的與收購業務轉型相關的成本。結果顯示,投資未實現虧損155,220美元,Bagger Dave‘s股權虧損135,813美元。該公司在招聘和留住員工方面面臨着通脹壓力和更大的挑戰。我對我們最近收購的所有三家餐廳都感到興奮,我們預計這將達到我們的目標回報,併為2022財年的銷售額比2021年翻一番做出貢獻。

Fiscal 2022 Outlook: Because of the uncertain nature of the performance of recent acquisitions and the evolving character of our Company and because of continuing uncertainty surrounding public health concerns and the aftermath, impacts of supply chain constraints, and the current inflationary environment, the Company is not, at this point, providing a financial forecast for fiscal 2022.

2022財年展望:由於最近收購的業績的不確定性和我們公司不斷髮展的特點,以及圍繞公共健康問題及其後果、供應鏈限制的影響和當前通脹環境的持續不確定性,公司目前不提供2022財年的財務預測。

About BT Brands Inc.: BT Brands, Inc. (Nasdaq: BTBD BTBDW) BT Brands owns and operates twelve restaurants, including eight Burger Time restaurants in the North Central region of the United States, a Dairy Queen fast-food franchised location in suburban Minneapolis, Minnesota. The Company owns Keegan's Seafood Grille, a dine-in restaurant near Clearwater, Florida, and Pie In The Sky Coffee and Bakery, a casual dining coffee shop and bakery located in Woods Hole, Massachusetts. Our Burger Time restaurants feature a variety of burgers and other affordable foods, sides, and soft drinks. Keegan's Seafood Grille has operated in Indian Rocks Beach, Florida, for more than thirty-five years and offers a variety of traditional fresh seafood items for lunch and dinner. The menu at Keegan's includes beer and wine. Pie In The Sky features an array of fresh baked goods, freshly made sandwiches, and our locally roasted coffee. Our revenues are derived from food and beverages at our restaurants; retail goods such as apparel, private-labeled "Keegan's Hot Sauce," and other souvenir items account for an insignificant portion of our income. Following the end of the quarter, we acquired the Village Bier Garten located in Cocoa, Florida.

關於BT Brands Inc.:BT Brands,Inc.(納斯達克代碼:BTBD BTBDW)BT Brands擁有並經營12家餐廳,其中包括美國中北部地區的8家Burger Time餐廳,以及明尼蘇達州明尼阿波利斯市郊區的Dary Queen快餐專營店。該公司擁有位於佛羅裏達州克利爾沃特附近的Keegan‘s Seafood Grille餐廳和位於馬薩諸塞州伍茲霍爾的Pie in the Sky Coffee and Bakery,這是一家休閒就餐咖啡店和麪包店。我們的漢堡時間餐廳提供各種漢堡和其他實惠的食物、配菜和軟飲料。Keegan‘s Seafood Grille在佛羅裏達州的印第安巖海灘經營了35年多,午餐和晚餐提供各種傳統的新鮮海鮮。Keegan‘s的菜單包括啤酒和葡萄酒。天空中的餡餅提供一系列新鮮烘焙的食物、新鮮製作的三明治和我們當地烘焙的咖啡。我們的收入來自餐廳的食品和飲料;服裝、私人品牌的“基根辣醬”和其他紀念品等零售商品在我們收入中只佔很小的一部分。本季度結束後,我們收購了位於佛羅裏達州可可的比爾村花園。

Forward-Looking Statements Disclaimer: This press release contains forward-looking statements within the meaning of federal securities laws. The words "intend," "may," "believe," "will," "should," "anticipate," "expect," "seek," and similar expressions are intended to identify forward-looking statements. These statements involve known and unknown risks, which may cause the Company's actual results to differ materially from results expressed or implied by the forward-looking statements. Such risks and uncertainties include, among other things, the market price of the Company's stock prevailing from time to time, the nature of other investment opportunities presented to the Company'sCompany's financial performance, and its cash flows from operations, general economic conditions, which could adversely affect the Company's results of operations and cash flows. These risks also include such factors as the disruption to our business from public health issues, including the coronavirus pandemic and its impact on our operations, which may vary depending on the duration and extent of the effects of governmental actions and customer behavior in response, the impact and duration of staffing constraints at our restaurants, the impact of supply chain constraints and the current inflationary environment, the uncertain nature of current restaurant development plans and the ability to implement those plans and integrate new restaurants, delays in developing and opening new restaurants because of weather, local permitting or other reasons, increased competition, cost increases or shortages in raw food products, and other matters discussed under the Risk Factors section of BT Brands Annual Report on Form 10-K for the fiscal year ended March 17, 2022, filed with the SEC, and other filings with the SEC. BT Brands disclaims any obligation or duty to update or modify these forward-looking statements.

前瞻性聲明免責聲明:本新聞稿包含符合聯邦證券法的前瞻性陳述。“打算”、“可能”、“相信”、“將”、“應該”、“預期”、“期望”、“尋求”以及類似的表達方式旨在識別前瞻性陳述。這些陳述涉及已知和未知的風險,可能導致公司的實際結果與前瞻性陳述中明示或暗示的結果大不相同。這些風險和不確定因素包括但不限於公司股票的市場價格、公司的其他投資機會的性質、公司的財務業績、運營的現金流、總體經濟狀況,這些都可能對公司的運營結果和現金流產生不利影響。這些風險還包括公共衞生問題對我們業務的幹擾,包括冠狀病毒大流行及其對我們運營的影響,這些因素可能會有所不同,具體取決於政府行動和客户行為應對的影響的持續時間和程度,我們餐廳人員限制的影響和持續時間,供應鏈限制和當前通脹環境的影響,當前餐廳發展計劃和實施這些計劃和整合新餐廳的能力的不確定性,由於天氣、當地許可或其他原因而延誤開發和開業新餐廳,競爭加劇,生食品成本增加或短缺,以及在提交給美國證券交易委員會的截至2022年3月17日的財年10-K表格中的風險因素部分討論的其他事項,以及提交給美國證券交易委員會的其他文件中討論的其他事項。BT Brands不承擔更新或修改這些前瞻性陳述的任何義務或義務。

FINANCIAL TABLES FOLLOW:

財務表格如下:

BT BRANDS, INC. AND SUBSIDIARIES
CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS
(Unaudited)

英國電信品牌公司及附屬公司
簡明合併業務報表
(未經審計)

39 Weeks Ended
October 2, 2022
39 Weeks Ended
October 3, 2021
13 Weeks Ended
October 2, 2022
13 Weeks Ended
October 3, 2021
SALES
$ 9,621,996 $ 6,604,554 $ 4,023,920 $ 2,280,999
COSTS AND EXPENSES
Restaurant operating expenses
Food and paper costs
3,637,814 2,580,224 1,604,858 944,171
Labor costs
3,122,867 1,794,499 1,336,039 607,780
Occupancy costs
803,792 436,196 367,872 132,542
Other operating expenses
577,035 355,024 248,383 102,943
Depreciation and amortization expenses
351,084 173,799 168,855 60,405
General and administrative expenses
1,035,639 295,397 288,921 74,415
Total costs and expenses
9,528,231 5,635,139 4,014,929 1,922,256
Income (loss) from operations
93,765 969,415 8,991 358,743
UNREALIZED LOSS ON MARKETABLE SECURITIES
(155,220 ) - (74,982 ) -
INTEREST AND OTHER INCOME
55,836 - 46,364 -
INTEREST EXPENSE
(88,099 ) (161,148 ) (33,638 ) (32,916 )
EQUITY IN NET LOSS OF AFFILIATE
(135,813 ) - (121,641 ) -
INCOME (LOSS) BEFORE TAXES
(229,531 ) 808,267 (174,906 ) 325,827
INCOME TAX (EXPENSE) BENEFIT
5,000 (225,000 ) - (90,000 )
NET INCOME (LOSS)
$ (224,531 ) $ 583,267 $ (174,906 ) $ 235,827
NET INCOME (LOSS) PER COMMON SHARE - Basic and Diluted
$ (0.03 ) $ 0.14 $ (0.04 ) $ 0.06
WEIGHTED AVERAGE SHARES USED IN COMPUTING PER COMMON SHARE AMOUNTS - Basic and Diluted
6,459,223 4,047,506 6,461,118 4,047,506
39周結束
2022年10月2日
39周結束
2021年10月3日
13周結束
2022年10月2日
13周結束
2021年10月3日
銷貨
$ 9,621,996 $ 6,604,554 $ 4,023,920 $ 2,280,999
成本和開支
餐廳經營費用
食品和紙張成本
3,637,814 2,580,224 1,604,858 944,171
人工成本
3,122,867 1,794,499 1,336,039 607,780
入住費
803,792 436,196 367,872 132,542
其他運營費用
577,035 355,024 248,383 102,943
折舊及攤銷費用
351,084 173,799 168,855 60,405
一般和行政費用
1,035,639 295,397 288,921 74,415
總成本和費用
9,528,231 5,635,139 4,014,929 1,922,256
營業收入(虧損)
93,765 969,415 8,991 358,743
有價證券未實現虧損
(155,220 ) - (74,982 ) -
利息和其他收入
55,836 - 46,364 -
利息支出
(88,099 ) (161,148 ) (33,638 ) (32,916 )
關聯公司淨虧損中的權益
(135,813 ) - (121,641 ) -
税前收益(虧損)
(229,531 ) 808,267 (174,906 ) 325,827
所得税(費用)福利
5,000 (225,000 ) - (90,000 )
淨收益(虧損)
$ (224,531 ) $ 583,267 $ (174,906 ) $ 235,827
普通股每股淨收益(虧損)--基本收益和稀釋後收益
$ (0.03 ) $ 0.14 $ (0.04 ) $ 0.06
用於計算每股普通股金額的加權平均股份-基本和稀釋
6,459,223 4,047,506 6,461,118 4,047,506

BT BRANDS, INC. AND SUBSIDIARIES
CONSOLIDATED BALANCE SHEETS

英國電信品牌公司及附屬公司
合併資產負債表

October 2, 2022
(Unaudited) January 2, 2022
ASSETS
CURRENT ASSETS
Cash
$ 7,165,704 $ 12,385,632
Marketable securities
653,399 -
Receivables
57,603 72,251
Inventory
150,814 79,510
Prepaid expenses and other current assets
50,375 27,186
Total current assets
8,077,895 12,564,579
PROPERTY, EQUIPMENT AND LEASEHOLD IMPROVEMENTS, NET
3,541,493 1,592,338
OPERATING LEASES RIGHT-OF-USE ASSETS
1,562,672 -
INVESTMENTS
1,428,187 75,000
GOODWILL
488,431 -
INTANGIBLE ASSETS
545,500 -
OTHER ASSETS, net
280,412 273,810
Total assets
$ 15,924,591 $ 14,505,727
LIABILITIES AND SHAREHOLDERS' EQUITY
CURRENT LIABILITIES
Accounts payable
$ 354,486 $ 291,973
Current maturities of long-term debt
169,504 169,908
Current operating lease obligations
217,744 -
Accrued expenses
490,627 254,341
Income taxes payable
8,000 209,088
Total current liabilities
1,240,361 925,310
LONG-TERM DEBT, LESS CURRENT PORTION
2,698,030 2,833,064
NONCURRENT LEASE OBLIGATIONS
1,353,702 -
DEFERRED INCOME TAXES
51,510 119,000
Total liabilities
$ 5,343,603 $ 3,877,374
SHAREHOLDERS' EQUITY :
Preferred stock, $.001 par value, 2,000,000 shares authorized, no shares outstanding at October 2, 2022 and January 2, 2022
- -
Common stock, $.002 par value, 50,000,000 authorized, 6,461,118 shares issued and outstanding at October 2, 2022 and 6,447,506 issued and outstanding at January 2, 2022
12,922 12,895
Additional paid-in capital
11,392,835 11,215,696
Accumulated deficit
(824,769 ) (600,238 )
Total shareholders' equity
10,580,988 10,628,353
Total liabilities and shareholders' equity
$ 15,924,591 $ 14,505,727
2022年10月2日
(未經審計) 2022年1月2日
資產
流動資產
現金
$ 7,165,704 $ 12,385,632
有價證券
653,399 -
應收賬款
57,603 72,251
庫存
150,814 79,510
預付費用和其他流動資產
50,375 27,186
流動資產總額
8,077,895 12,564,579
財產、設備和租賃改進,淨額
3,541,493 1,592,338
經營性租賃使用權資產
1,562,672 -
投資
1,428,187 75,000
商譽
488,431 -
無形資產
545,500 -
其他資產,淨額
280,412 273,810
總資產
$ 15,924,591 $ 14,505,727
負債和股東權益
流動負債
應付帳款
$ 354,486 $ 291,973
長期債務當期到期日
169,504 169,908
當期經營租賃債務
217,744 -
應計費用
490,627 254,341
應付所得税
8,000 209,088
流動負債總額
1,240,361 925,310
長期債務,減少流動部分
2,698,030 2,833,064
非流動租賃債務
1,353,702 -
遞延所得税
51,510 119,000
總負債
$ 5,343,603 $ 3,877,374
股東權益:
優先股,面值為.001美元,授權股份為2,000,000股,2022年10月2日和2022年1月2日無流通股
- -
普通股,面值0.002美元,授權5,000,000股,2022年10月2日已發行並已發行6,461,118股,2022年1月2日已發行並已發行6,447,506股
12,922 12,895
額外實收資本
11,392,835 11,215,696
累計赤字
(824,769 ) (600,238 )
股東權益總額
10,580,988 10,628,353
總負債和股東權益
$ 15,924,591 $ 14,505,727


CONDENSED CONSOLIDATED STATEMENTS OF SHAREHOLDERS' EQUITY


股東權益簡明合併報表

For the 39-week periods-
Common Stock Additional Accumulated
Shares Amount Paid-in Capital (Deficit) Total
Balances, January 2, 2022
6,447,506 $ 12,895 $ 11,215,696 $ (600,238 ) $ 10,628,353
Stock-based compensation
- - 102,300 - 102,300
Shares issued in exercise of warrants
13,612 27 74,839 - 74,866
Net loss
- - - (224,531 ) (224,531 )
Balances, October 2, 2022
6,461,118 $ 12,922 $ 11,392,835 $ (824,769 ) $ 10,580,988

Shares
Common Stock
Amount
Additional
Paid-in Capital
Accumulated
(Deficit)

Total
Balances, January 3, 2021
4,047,502 $ 8,095 $ 497,671 $ (1,208,089 ) $ (702,323 )
Shares issued for fractional holding
4 - # - - -
Net income
- - - 583,267 583,267
Balances, October 3, 2021
4,047,506 $ 8,095 $ 497,671 $ (624,822 ) $ (119,056 )

For the 13-week periods-

Shares
Common Stock
Amount
Additional
Paid-in Capital
Accumulated
(Deficit)

Total
Balances, July 3, 2022
6,461,118 $ 12,922 $ 11,363,935 $ (649,863 ) $ 10,726,994
Stock-based compensation
- - 28,900 - 28,900
Net loss
- - - (174,906 ) (174,906 )
Balances, October 2, 2022
6,461,118 $ 12,922 $ 11,392,835 $ (824,769 ) $ 10,580,988

Shares
Common Stock
Amount
Additional
Paid-in Capital
Accumulated
(Deficit)

Total
Balances, July 4, 2021
4,047,506 $ 8,095 $ 497,671 $ (860,649 ) $ (354,883 )
Net income
- - - 235,827 235,827
Balances, October 3, 2021
4,047,506 $ 8,095 $ 497,671 $ (624,822 ) $ (119,056 )
在39周的期間內-
普通股 其他內容 累計
股票 金額 實收資本 (赤字) 總計
餘額,2022年1月2日
6,447,506 $ 12,895 $ 11,215,696 $ (600,238 ) $ 10,628,353
基於股票的薪酬
- - 102,300 - 102,300
為行使認股權證而發行的股份
13,612 27 74,839 - 74,866
淨虧損
- - - (224,531 ) (224,531 )
餘額,2022年10月2日
6,461,118 $ 12,922 $ 11,392,835 $ (824,769 ) $ 10,580,988

股票
普通股
金額
其他內容
實收資本
累計
(赤字)

總計
餘額,2021年1月3日
4,047,502 $ 8,095 $ 497,671 $ (1,208,089 ) $ (702,323 )
為零星持有而發行的股份
4 - # - - -
淨收入
- - - 583,267 583,267
餘額,2021年10月3日
4,047,506 $ 8,095 $ 497,671 $ (624,822 ) $ (119,056 )

在13周的期間內-

股票
普通股
金額
其他內容
實收資本
累計
(赤字)

總計
餘額,2022年7月3日
6,461,118 $ 12,922 $ 11,363,935 $ (649,863 ) $ 10,726,994
基於股票的薪酬
- - 28,900 - 28,900
淨虧損
- - - (174,906 ) (174,906 )
餘額,2022年10月2日
6,461,118 $ 12,922 $ 11,392,835 $ (824,769 ) $ 10,580,988

股票
普通股
金額
其他內容
實收資本
累計
(赤字)

總計
餘額,2021年7月4日
4,047,506 $ 8,095 $ 497,671 $ (860,649 ) $ (354,883 )
淨收入
- - - 235,827 235,827
餘額,2021年10月3日
4,047,506 $ 8,095 $ 497,671 $ (624,822 ) $ (119,056 )


CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS
(Unaudited)


簡明合併現金流量表
(未經審計)

39 Weeks Ended
October 2, 2022 October 2, 2022
Cash Flows from Operating Activities
Net Income (Loss)
$ (224,531 ) $ 583,267
Adjustments to reconcile net income (loss) to net cash provided by operating activities-
Depreciation and amortization of franchise cost
306,584 173,799
Amortization of intangible assets
44,500 -
Amortization of debt issuance costs included in interest expense
4,050
Deferred taxes
(67,490 ) 58,000
Stock-based compensation
102,300 -
Unrealized loss on marketable securities
155,220 -
Loan forgiveness

(13,750

-

Loss on equity method investment
135,813 -

Changes in operating assets and liabilities, net of acquisitions -

Receivables
14,648 (12,721 )
Inventory
(15,755 ) (8,867 )
Prepaid expenses and other current assets
(23,189 ) (29,195 )
Accounts payable
62,512 148,520
Accrued expenses
204,600 (116,136 )
Income taxes payable
(201,088 ) 79,110
Net cash provided by operating activities
484,504 931,332
CASH FLOWS FROM INVESTING ACTIVITIES
Acquisition of net assets of Keegan's Seafood Grille
(1,150,000 ) -
Acquisition of net assets of Pie In The Sky Coffee and Bakery
(1,159,600 )
Acquisition of net assets of Village Bier Garten
(690,000 ) -
Investment in Bagger Dave's Burger Tavern, Inc.
(1,260,000 ) -
Purchase of property and equipment
(349,739 ) (85,821 )
Investment in related Company
(229,000 ) -
Purchase of marketable securities
(808,619 ) -
Other assets
(6,602 ) -
Net cash used in investing activities
(5,653,560 ) (85,821 )
CASH FLOWS FROM FINANCING ACTIVITIES
Proceeds from long-term debt
- 3,107,100
Principal payment on long-term debt
(125,738 ) (3,113,521 )
Proceeds from exercise of common stock warrants
74,866 -
Payment of debt issuance costs
- (49,699 )
Payment of deferred offering costs
- (31,823 )
Net cash used in financing activities
(50,872 ) (87,943 )
CHANGE IN CASH
(5,219,928 ) 757,568
CASH, BEGINNING OF PERIOD
12,385,632 1,321,244
CASH, END OF PERIOD
$ 7,165,704 $ 2,078,812
39周結束
2022年10月2日 2022年10月2日
經營活動的現金流
淨收益(虧損)
$ (224,531 ) $ 583,267
將淨收益(虧損)調整為經營活動提供的現金淨額-
特許經營成本的折舊和攤銷
306,584 173,799
無形資產攤銷
44,500 -
計入利息支出的債務發行成本攤銷
4,050
遞延税金
(67,490 ) 58,000
基於股票的薪酬
102,300 -
有價證券未實現虧損
155,220 -
貸款寬免

(13,750

-

權益損失法投資
135,813 -

經營性資產和負債的變動,扣除收購-

應收賬款
14,648 (12,721 )
庫存
(15,755 ) (8,867 )
預付費用和其他流動資產
(23,189 ) (29,195 )
應付帳款
62,512 148,520
應計費用
204,600 (116,136 )
應付所得税
(201,088 ) 79,110
經營活動提供的淨現金
484,504 931,332
投資活動產生的現金流
收購Keegan‘s海鮮燒烤店淨資產
(1,150,000 ) -
收購The Sky Coffee and Bakery的Pie in the Sky Coffee and Bakery
(1,159,600 )
收購Village Bier Garten的淨資產
(690,000 ) -
投資於Bagger Dave‘s Burger Tivern,Inc.
(1,260,000 ) -
購置財產和設備
(349,739 ) (85,821 )
對關聯公司的投資
(229,000 ) -
購買有價證券
(808,619 ) -
其他資產
(6,602 ) -
用於投資活動的現金淨額
(5,653,560 ) (85,821 )
融資活動產生的現金流
長期債務收益
- 3,107,100
長期債務的本金支付
(125,738 ) (3,113,521 )
行使普通股認股權證所得款項
74,866 -
支付債務發行成本
- (49,699 )
支付遞延發售費用
- (31,823 )
用於融資活動的現金淨額
(50,872 ) (87,943 )
現金零錢
(5,219,928 ) 757,568
期初現金
12,385,632 1,321,244
期末現金
$ 7,165,704 $ 2,078,812

SOURCE: BT Brands, Inc.

資料來源:英國電信品牌公司


View source version on accesswire.com:
在accesswire.com上查看源代碼版本:

声明:本內容僅用作提供資訊及教育之目的,不構成對任何特定投資或投資策略的推薦或認可。 更多信息
    搶先評論