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Aytu BioPharma Reports Fiscal 2024 First Quarter Financial Results

Aytu BioPharma Reports Fiscal 2024 First Quarter Financial Results

Aytu BioPharma 公佈了 2024 財年第一季度財務業績
Accesswire ·  2023/11/14 16:05

Q1 2024 Adjusted EBITDA of $2.2 million

2024 年第一季度調整後息稅折舊攤銷前利潤爲 220 萬美元

Rx Segment net revenue of $17.8 million and Adjusted EBITDA of $2.4 million in Q1 2024

2024年第一季度,處方分部淨收入爲1,780萬美元,調整後的息稅折舊攤銷前利潤爲240萬美元

Q1 2024 ADHD net revenue up 31% compared to Q1 2023

2024 年第一季度注意力缺陷多動障礙淨收入與 2023 年第一季度相比增長了 31%

$20.0 million cash balance at September 30, 2023

截至2023年9月30日,現金餘額爲2,000萬美元

Company to host conference call today at 4:30pm ET

公司將於美國東部時間今天下午 4:30 主持電話會議

DENVER, CO / ACCESSWIRE / November 14, 2023 / Aytu BioPharma, Inc. (the Company or "Aytu") (NASDAQ:AYTU), a pharmaceutical company focused on commercializing novel therapeutics, today announced financial and operational results for the first quarter of fiscal 2024 ended September 30, 2023.

科羅拉多州丹佛/ACCESSWIRE/2023年11月14日/專注於新型療法商業化的製藥公司Aytu BioPharma, Inc.(以下簡稱 “Aytu”)(納斯達克股票代碼:AYTU)今天公佈了截至2023年9月30日的2024財年第一季度的財務和經營業績。

Q1 2024 Commercial Highlights (3 months ending September 30, 2023)

2024 年第一季度商業亮點(截至 2023 年 9 月 30 日的 3 個月)

  • Total net revenue was $22.1 million, compared to $27.7 million. The change is primarily due to the planned wind down of the Company's Consumer Health segment and the associated decrease in Consumer Health revenue.
  • ADHD products (Adzenys XR-ODT and Cotempla XR-ODT) net revenue increased 31% to $15.1 million, compared to $11.6 million in the year-ago quarter.
  • Net revenue from the Company's Rx segment was $17.8 million compared to $18.7 million in the year-ago quarter.
  • Total quarterly promoted Rx product (ADHD and Pediatric) prescriptions of 138,961, a 13% increase over Q1 2023.
  • Consumer Health revenue during Q1 2024 was $4.3 million, a decrease of 52% over the year-ago quarter, and in line with the Company's strategy to wind down the unprofitable Consumer Health segment. As previously announced, the Company is de-emphasizing its Consumer Health segment with the objective of either monetizing or discontinuing the segment to drive companywide profitability.
  • Gross margins improved to 67% in Q1 2024 compared to 65% in the year-ago quarter.
  • Net loss during Q1 2024 was $8.1 million, or $1.48 per share, compared to a net loss of $0.7 million, or $0.28 per share, in Q1 2023. The current quarter was impacted by a $5.9 million loss on derivative warrant liabilities due to the Company's recent share price increase, while the year-ago quarter benefited from a $2.2 million gain on derivative warrant liabilities.
  • Total Adjusted EBITDA1 was $2.2 million in Q1 2024 compared to $1.7 million in the year-ago quarter, a 32% increase.
  • Cash and cash equivalents were $20.0 million at September 30, 2023 compared to $23.0 million at June 30, 2023.
  • 總淨收入爲2,210萬美元,而淨收入爲2770萬美元。這一變化主要是由於公司消費者健康板塊計劃縮小以及相關的消費者健康收入減少。
  • 注意力缺陷多動障礙產品(Adzenys XR-ODT) 還有 Cotempla XR-ODT)淨收入增長了31%,達到1,510萬美元,而去年同期爲1160萬美元。
  • 該公司Rx板塊的淨收入爲1780萬美元,而去年同期爲1,870萬美元。
  • 季度促銷處方產品(注意力缺陷多動障礙和兒科)處方總數爲138,961張,比2023年第一季度增長13%。
  • 2024年第一季度的消費者健康收入爲430萬美元,比去年同期下降52%,這符合公司縮小無利可圖的消費者健康板塊的戰略。正如先前宣佈的那樣,該公司不再強調其消費者健康板塊,目的是通過貨幣化或終止該細分市場,以提高全公司的盈利能力。
  • 2024年第一季度的毛利率提高到67%,而去年同期爲65%。
  • 2024年第一季度的淨虧損爲810萬美元,合每股虧損1.48美元,而2023年第一季度的淨虧損爲70萬美元,合每股虧損0.28美元。由於公司最近股價上漲,本季度受到衍生權證負債損失590萬美元的影響,而去年同期受益於衍生權證負債收益220萬美元。
  • 調整後息稅折舊攤銷前利潤1 2024年第一季度爲220萬美元,而去年同期爲170萬美元,增長32%。
  • 截至2023年9月30日,現金及現金等價物爲2,000萬美元,而截至2023年6月30日爲2300萬美元。
  1. Aytu uses the term EBITDA, which is a term not defined under United States Generally Accepted Accounting Principles. The Company uses this term because it is a widely accepted financial indicator utilized to analyze and compare companies on the basis of operating performance. The Company believes that presenting EBITDA by segments allows investors to evaluate the various performance of these segments. The Company's method of computation of Adjusted EBITDA may or may not be comparable to other similarly titled measures used by other companies. We believe that net loss is the performance measure calculated and presented in accordance with U.S. GAAP that is most directly comparable to EBITDA.
  1. Aytu使用息稅折舊攤銷前利潤一詞,該術語未在《美國公認會計原則》中定義。公司之所以使用該術語,是因爲它是一種廣泛接受的財務指標,用於根據經營業績分析和比較公司。該公司認爲,按細分市場列報息稅折舊攤銷前利潤可以讓投資者評估這些細分市場的各種表現。公司計算調整後息稅折舊攤銷前利潤的方法可能與其他公司使用的其他同名衡量標準相提並論,也可能無法與之相提並論。我們認爲,淨虧損是根據美國公認會計原則計算和列報的績效指標,與息稅折舊攤銷前利潤最直接相似。

Consumer Health Segment Update

消費者健康板塊最新動態

As announced in June 2023, in an effort to drive long-term shareholder value, the Company instituted a strategic mandate to focus its business going forward on its growing Rx segment, which had positive Adjusted EBITDA for the 2023 fiscal year and five of the last six quarters. Aytu's focus on the Rx segment will result in either monetizing or discontinuing the Consumer Health segment altogether. The Company expects to sell through the remaining Consumer Health inventory resulting in approximately neutral Adjusted EBITDA for the Consumer Health segment in fiscal 2024.

正如2023年6月宣佈的那樣,爲了提高長期股東價值,公司制定了一項戰略任務,將業務重點放在不斷增長的Rx板塊上,該板塊在2023財年和過去六個季度中有五個季度的調整後息稅折舊攤銷前利潤爲正數。Aytu對Rx細分市場的關注將導致消費者健康板塊要麼獲利,要麼完全終止。該公司預計將出售剩餘的消費者健康類庫存,從而在2024財年實現消費者健康板塊的調整後息稅折舊攤銷前利潤約爲中性。

This goal of emphasizing profitability was initially started with the indefinite suspension of all pipeline clinical development programs announced in October 2022 to minimize research and development expense until such time that the Company can fund those efforts with internally generated cash flow or through partnerships.

這一強調盈利能力的目標最初始於2022年10月宣佈無限期暫停所有在編臨床開發項目,以最大限度地減少研發費用,直到公司能夠通過內部產生的現金流或通過合作伙伴關係爲這些工作提供資金爲止。

During fiscal 2023, the Consumer Health segment contributed negative Adjusted EBITDA of $3.6 million, pipeline programs contributed a negative Adjusted EBITDA of $2.6 million, while the Company's Rx segment contributed positive Adjusted EBITDA of $9.7 million.

在2023財年,消費者健康板塊的調整後息稅折舊攤銷前利潤爲負360萬美元,管道項目貢獻的調整後息稅折舊攤銷前利潤爲負260萬美元,而該公司的處方分部的調整後息稅折舊攤銷前利潤爲負970萬美元。

Management Discussion

管理層討論

"The initiatives we have undertaken to position Aytu as a specialty pharmaceutical company focused on commercializing novel prescription therapeutics continues to show positive results, as highlighted by our second consecutive quarter of companywide positive Adjusted EBITDA, and fifth of the last six quarters of positive Adjusted EBITDA when looking specifically at our Rx segment," commented Josh Disbrow, Chief Executive Officer of Aytu BioPharma. "Within the Rx segment, our ADHD brands' prescription and revenue growth is a testament to the commercial team's strong execution and our ability to effectively leverage our innovative Aytu RxConnect platform. Further, the recent FDA approvals of the Cotempla XR-ODT and Adzenys XR-ODT manufacturing site transfer prior approval supplements are allowing us to ramp-up manufacturing at our contract manufacturer. This is expected to be a key driver of our margin improvement initiatives. We believe more growth is in store for the ADHD brands on the basis of the ongoing ADHD stimulant supply disruptions, strong sales force execution, and the continued refinement of our commercial tactics."

Aytu BioPharma首席執行官喬什·迪斯布魯評論說:“我們爲將Aytu定位爲專注於新型處方療法商業化的專業製藥公司而採取的舉措繼續顯示出積極成果,我們連續第二個季度調整後息稅折舊攤銷前利潤爲正數,這突顯了我們在全公司範圍內連續第二個季度的調整後息稅折舊攤銷前利潤爲正。”“在處方藥領域,我們的注意力缺陷多動障礙品牌的處方和收入增長證明了商業團隊的強大執行力,也證明了我們有效利用創新的Aytu rxConnect平台的能力。此外,美國食品藥品管理局最近批准了Cotempla XR-ODT和Adzenys XR-ODT生產場地轉讓事先批准補充劑,這使我們能夠提高合同製造商的產量。預計這將是我們利潤率提高計劃的關鍵驅動力。我們認爲,在持續的注意力缺陷多動障礙刺激劑供應中斷、強勁的銷售隊伍執行力以及我們商業策略的持續完善的基礎上,多動症品牌有望實現更多增長。”

Mr. Disbrow continued, "Within Pediatrics, as communicated last quarter, we were impacted by payor changes that impacted both net revenues and scripts. Specifically this quarter, Pediatrics revenues were impacted by timing of customer ordering in response to the payor change, and we expect unit shipments to normalize and more closely align with prescription levels as we move forward. We've implemented numerous strategies to deepen Pediatrics prescriptions from current writers and broaden our overall prescriber base in both new and existing geographies, with an expectation for script and revenue improvement in the Pediatrics business to occur in the coming quarters."

迪斯布魯繼續說:“正如上個季度所述,在兒科領域,我們受到了影響淨收入和劇本的付款人變化的影響。具體而言,本季度,兒科收入受到客戶爲應對付款人變更而訂購時機的影響,我們預計,隨着我們的前進,單位出貨量將恢復正常,並與處方水平更加接近。我們已經實施了許多策略,以深化現任作者的兒科處方,擴大我們在新地區和現有地區的整體處方人群,預計未來幾個季度兒科業務的劇本和收入將有所改善。”

"Our efforts to drive long-term shareholder value by focusing on our Rx segment and planned wind down of our Consumer Health segment is moving according to plan. During the quarter, we reduced our Consumer Health segment Adjusted EBITDA from a negative $0.5 million in the year-ago quarter to virtually breakeven during the most recent quarter. We expect to sell through the remaining inventory resulting in approximately neutral Adjusted EBITDA for the segment in fiscal 2024, while also looking at possible monetization opportunities for the consumer health brands."

“我們通過專注於處方藥板塊和計劃縮小消費者健康板塊來推動長期股東價值的努力正在按計劃進行。在本季度,我們將消費者健康板塊的調整後息稅折舊攤銷前利潤從去年同期的負50萬美元降至最近一個季度的基本盈虧平衡。我們預計將在2024財年銷售剩餘庫存,從而使該細分市場的調整後息稅折舊攤銷前利潤接近中性,同時還將考慮消費健康品牌可能的貨幣化機會。”

"Our balance sheet remains strong with $20.0 million in cash at the end of September 2023, and with a keen focus on driving growth and profitability in our Rx segment, I believe we are well positioned for success going forward," Disbrow concluded.

迪斯布魯總結說:“截至2023年9月底,我們的資產負債表仍然強勁,現金爲2,000萬美元,我熱切關注推動處方領域的增長和盈利能力,我相信我們已經爲未來的成功做好了充分的準備。”

Segment Reporting

分部報告

Three Months Ended
September 30,
(in thousands)
2023 2022
Consolidated revenue:
Rx Segment
$ 17,817 $ 18,652
Consumer Health Segment
4,282 9,003
Consolidated revenue
$ 22,099 $ 27,655
Rx Segment
ADHD
$ 15,128 $ 11,585
Pediatric
2,565 6,558
Other*
124 509
$ 17,817 $ 18,652
三個月已結束
9月30日
(以千計)
2023 2022
合併收入:
Rx 分段
$ 17,817 $ 18,652
消費者健康板塊
4,282 9,003
合併收入
$ 22,099 $ 27,655
Rx 分段
多動症
$ 15,128 $ 11,585
兒科
2,565 6,558
其他*
124 509
$ 17,817 $ 18,652

*Other includes discontinued or deprioritized products.

*其他包括已停產或取消優先次序的產品。

Q1 2024 Financial Results

2024 年第一季度財務業績

Net revenue for the first quarter of fiscal 2024 was $22.1 million, compared to $27.7 million for the first quarter of fiscal 2023.

2024財年第一季度的淨收入爲2,210萬美元,而2023財年第一季度的淨收入爲2770萬美元。

Net revenue from the Rx segment in the first quarter of fiscal 2024 was $17.8 million compared to $18.7 million in the first quarter of fiscal 2023. ADHD products (Adzenys XR-ODT and Cotempla XR-ODT) experienced a 31% increase in net revenue to $15.1 million in the first quarter of fiscal 2024. Pediatric products (Poly-Vi-Flor, Tri-Vi-Flor, and Karbinal ER) net revenue decreased to $2.6 million due to customer ordering timing as a result of payor changes that impacted scripts. Customer ordering and unit sales are expected to normalize with prescriptions. When normalizing revenue to reflect prescription demand (on a dollarized TRx basis in order to account for intra-quarter channel inventory dislocation), estimated Pediatric product revenue would have been approximately $4.4 million for the quarter.

在2024財年第一季度,Rx板塊的淨收入爲1780萬美元,而2023財年第一季度爲1,870萬美元。注意力缺陷多動障礙產品(Adzenys XR-ODT) 還有 Cotempla XR-ODT)在2024財年第一季度,淨收入增長了31%,達到1,510萬美元。兒科產品(Poly-Vi-Flor),Tri-Vi-Flor,還有 Karbinal ER) 淨收入降至260萬美元,這是由於付款人變更影響了腳本,客戶訂購時間安排造成的。隨着處方的出現,預計客戶訂購和單位銷售將恢復正常。在對收入進行正常化以反映處方需求時(以美元化tRx爲基礎,以考慮季度內渠道庫存錯位),估計本季度兒科產品收入約爲440萬美元。

Net revenue from the Consumer Health segment was $4.3 million in the first quarter of fiscal 2024, a decrease of 52% over the same quarter last year. As previously announced, the Company is de-emphasizing its Consumer Health segment with the objective of either monetizing or discontinuing the segment to drive companywide profitability.

2024財年第一季度,消費者健康板塊的淨收入爲430萬美元,比去年同期下降52%。正如先前宣佈的那樣,該公司不再強調其消費者健康板塊,目的是通過貨幣化或終止該細分市場,以提高全公司的盈利能力。

Gross profit was $14.8 million, or 67% of net revenue, in the first quarter of fiscal 2024, compared to $18.0 million, or 65% of net revenue, in the same quarter last year.

2024財年第一季度的毛利爲1,480萬美元,佔淨收入的67%,而去年同期爲1,800萬美元,佔淨收入的65%。

Operating expenses, excluding amortization of intangible assets and gain from contingent consideration, were $15.0 million in the first quarter of fiscal 2024 compared to $18.5 million in the same quarter last year. Research and development expenses, all related to existing commercial products, were $604,000 in the first quarter of fiscal 2024, compared to $1.1 million in the same quarter last year as the company suspended activities on its pipeline R&D to focus on its commercial operations.

2024財年第一季度的運營支出,不包括無形資產攤銷和或有對價收益,爲1,500萬美元,而去年同期爲1,850萬美元。2024財年第一季度,與現有商業產品相關的研發費用爲60.4萬美元,而去年同期爲110萬美元,原因是該公司暫停了管道研發活動,將重點放在商業運營上。

Net loss during the first quarter of fiscal 2024 was $8.1 million, or $1.48 per share, compared to $0.7 million, or $0.28 per share, in last year's first quarter. The current quarter was impacted by a $5.9 million loss on derivative warrant liabilities while the year ago quarter benefited from a $2.2 million gain on derivative warrant liabilities.

2024財年第一季度的淨虧損爲810萬美元,合每股虧損1.48美元,而去年第一季度爲70萬美元,合每股虧損0.28美元。本季度受到衍生權證負債虧損590萬美元的影響,而去年同期受益於220萬美元的衍生權證負債收益。

Adjusted EBITDA (see reconciliation in Appendix) was $2.2 million in the first quarter of fiscal 2024, compared to $1.7 million in the year ago quarter, a 32% improvement.

2024財年第一季度調整後的息稅折舊攤銷前利潤(見附錄中的對賬表)爲220萬美元,而去年同期爲170萬美元,增長32%。

Balance Sheet and Operational Improvements

資產負債表和運營改進

Cash and cash equivalents on September 30, 2023, were $20.0 million compared to $23.0 million on June 30, 2023.

截至2023年9月30日,現金及現金等價物爲2,000萬美元,而2023年6月30日爲2,300萬美元。

In October 2023, the Company received U.S. Food & Drug Administration approval of the Cotempla XR-ODT Prior Approval Supplement (PAS). This approval enables the transfer of manufacturing of Cotempla to the Company's third-party manufacturer and follows a similar milestone for Adzenys XR- ODT which received PAS approval in April 2023. With both Adzenys and Cotempla PAS approvals now achieved, the Company is beginning the initial ramp-up of contract manufacturing of Adzenys and Cotempla at the Company's contract manufacturer. The transfer of production to the contract manufacturer, coupled with the exiting of operations at the Grand Prairie, Texas manufacturing facility, is expected to allow Aytu to realize additional margin improvement in these ADHD products beginning in calendar 2024.

2023 年 10 月,公司獲得美國食品藥品監督管理局對 Cotempla XR-ODT 事先批准補充協議 (PAS) 的批准。該批准使Cotempla的生產移交給該公司的第三方製造商,也遵循了2023年4月獲得PAS批准的Adzenys XR-ODT的類似里程碑。隨着Adzenys和Cotempla PAS的批准現已獲得,該公司已開始初步擴大該公司的合同製造商對Adzenys和Cotempla的合同製造。將生產轉移給合同製造商,加上退出德克薩斯州大草原製造工廠的運營,預計將使Aytu能夠從2024年開始進一步提高這些注意力缺陷多動障礙產品的利潤率。

Conference Call Details

電話會議詳情

Aytu will host a conference call today, Tuesday, November 14, 2023, at 4:30 PM Eastern Time to discuss financial results for the first quarter of fiscal year 2024 for the period ended September 30, 2023.

Aytu將於今天,即美國東部時間2023年11月14日星期二下午4點30分舉行電話會議,討論截至2023年9月30日的2024財年第一季度的財務業績。

The conference call will be available via telephone by dialing toll free 888‐506‐0062 for U.S. callers or for international callers 973‐528‐0011 and using entry code 748565. A webcast of the call may be accessed at

電話會議將通過電話撥打 888-506−0062(美國來電者或國際來電者 973−528-0011)並使用輸入代碼 748565 進行電話會議。電話會議的網絡直播可在以下網址觀看

A webcast replay will be available on the Investors News/Events section of the Company's website for one year. A telephone replay of the call will be available approximately one hour following the call, through November 28, 2023, and can be accessed by dialing 877‐481‐4010 for U.S. callers or 919‐882‐2331 for international callers and entering replay access code 49357.

公司網站的 “投資者新聞/活動” 部分將提供爲期一年的網絡直播重播。電話重播將在通話結束後大約一小時,直至2023年11月28日,美國來電者撥打877-481—4010,國際來電者撥打919-882—2331並輸入重播訪問碼49357即可訪問。

About Aytu BioPharma, Inc.

關於 Aytu BioPharma, Inc.

Aytu BioPharma is a pharmaceutical company commercializing a portfolio of commercial prescription therapeutics and consumer health products. The Company's prescription products include Adzenys XR-ODT (amphetamine) extended-release orally disintegrating tablets (see Full Prescribing Information, including Boxed WARNING) and Cotempla XR-ODT (methylphenidate) extended-release orally disintegrating tablets (see Full Prescribing Information, including Boxed WARNING) for the treatment of attention deficit hyperactivity disorder (ADHD), Karbinal ER (carbinoxamine maleate), an extended-release antihistamine suspension indicated to treat numerous allergic conditions, and Poly-Vi-Flor and Tri-Vi-Flor, two complementary fluoride-based prescription vitamin product lines available in various formulations for infants and children with fluoride deficiency. Aytu's consumer health segment markets a range of over-the-counter medicines and consumer health products addressing a range of common conditions including diabetes, allergy, hair regrowth, and gastrointestinal conditions. To learn more, please visit aytubio.com.

Aytu BioPharma是一家制藥公司,將商業處方療法和消費健康產品組合商業化。該公司的處方產品包括用於治療注意力缺陷多動障礙(注意力缺陷多動障礙)的Adzenys XR-ODT(安非他明)緩釋口服崩解片(見用於治療注意力缺陷多動障礙(注意力缺陷多動障礙)的Karbinal ER(馬來酸卡比諾胺)緩釋片抗組胺藥懸浮液適用於治療多種過敏性疾病,Poly-Vi-Flor 和 Tri-Vi-Flor,兩種補充氟化物處方維生素產品線有多種配方可供缺氟的嬰兒和兒童使用。Aytu的消費者健康部門銷售一系列非處方藥和消費保健產品,以應對一系列常見疾病,包括糖尿病、過敏、頭髮再生和胃腸道疾病。要了解更多信息,請訪問 aytubio.com。

Forward-Looking Statement

前瞻性陳述

This press release includes forward-looking statements within the meaning of Section 27A of the Securities Act of 1933, as amended, and Section 21E of the Securities Exchange Act of 1934, or the Exchange Act. All statements other than statements of historical facts contained in this press release, are forward-looking statements. Forward-looking statements are generally written in the future tense and/or are preceded by words such as "may," "will," "should," "forecast," "could," "expect," "suggest," "believe," "estimate," "continue," "anticipate," "intend," "plan," or similar words, or the negatives of such terms or other variations on such terms or comparable terminology. All statements other than statements of historical facts contained in this presentation, are forward-looking statements. These statements are just predictions and are subject to risks and uncertainties that could cause the actual events or results to differ materially. These risks and uncertainties include, among others, risks associated with: the company's plans relating to the Company's ability to efficiently wind down the Consumer Health segment, the Company's ability to complete the manufacturing transfer of Adzenys XR-ODT and Cotempla XR-ODT, the Company's overall financial and operational performance, potential adverse changes to the Company's financial position or our business, the results of operations, strategy and plans, changes in capital markets and the ability of the Company to finance operations in the manner expected, risks relating to gaining market acceptance of our products, our ability to effectively integrate operations and manage integration costs following our acquisitions, our partners performing their required activities, our anticipated future cash position, regulatory and compliance challenges and future events under current and potential future collaboration. We also refer you to (i) the risks described in "Risk Factors" in Part I, Item 1A of Aytu's most recent Annual Report on Form 10‐K and in the other reports and documents it files with the Securities and Exchange Commission.

本新聞稿包括經修訂的1933年《證券法》第27A條和1934年《證券交易法》(簡稱《交易法》)第21E條所指的前瞻性陳述。除本新聞稿中包含的歷史事實陳述外,所有陳述均爲前瞻性陳述。前瞻性陳述通常以未來時寫和/或以諸如 “可能”、“將”、“應該”、“預測”、“可能”、“預期”、“建議”、“相信”、“估計”、“繼續”、“預期”、“打算”、“計劃” 或類似詞語或此類術語的否定詞語或類似術語的其他變體。除本演示文稿中包含的歷史事實陳述外,所有陳述均爲前瞻性陳述。這些陳述只是預測,存在風險和不確定性,可能導致實際事件或結果存在重大差異。除其他外,這些風險和不確定性包括與以下風險相關的風險:與公司有效縮小消費者健康板塊的能力相關的公司計劃、公司完成Adzenys XR-ODT和Cotempla XR-ODT生產轉讓的能力、公司的整體財務和運營業績、公司財務狀況或業務的潛在不利變化、運營業績、戰略和計劃、資本市場的變化以及公司以這種方式爲運營提供資金的能力預期,與獲得市場對我們產品的認可、我們在收購後有效整合運營和管理整合成本的能力、我們的合作伙伴開展所需活動的能力、我們預期的未來現金狀況、監管和合規挑戰以及當前和潛在未來合作下的未來事件相關的風險。我們還請您參閱(i)Aytu最新的10-K表年度報告第一部分第1A項 “風險因素” 及其向美國證券交易委員會提交的其他報告和文件中描述的風險。

Contacts for Investors:
Mark Oki, Chief Financial Officer
Aytu BioPharma, Inc.
moki@aytubio.com

投資者聯繫方式:
馬克·奧基,首席財務官
Aytu BioPharma, Inc.
moki@aytubio.com

Robert Blum or Roger Weiss
Lytham Partners
AYTU@lythampartners.com

羅伯特·布魯姆或羅傑·魏斯
萊瑟姆合作伙伴
AYTU@lythampartners.com

Aytu BioPharma, Inc
Condensed Consolidated Statement of Operations
For the Three Months Ended September 30, 2023 and 2022
(In thousands, except shares and per-share amounts)
(Unaudited)

Aytu BioPharma, Inc
簡明合併運營報表
截至2023年9月30日和2022年9月30日的三個月
(以千計,股票和每股金額除外)
(未經審計)

Three Months Ended
September 30,
2023 2022
Product revenue, net
$ 22,099 $ 27,655
Cost of sales
7,315 9,623
Gross profit
14,784 18,032
Operating expenses
Selling and marketing
7,422 10,102
General and administrative
6,956 7,322
Research and development
604 1,064
Amortization of intangible assets
1,306 1,197
Loss from contingent consideration
- 155
Total operating expenses
16,288 19,840
Loss from operations
(1,504 ) (1,808 )
Other income (expense)
Other expense, net
(709 ) (1,084 )
(Loss) gain on derivative warrant liabilities
(5,907 ) 2,191
Total other (expense) income
(6,616 ) 1,107
Loss before income tax
(8,120 ) (701 )
Income tax benefit
- -
Net loss
$ (8,120 ) $ (701 )
Weighted average number of common shares outstanding
5,482,037 2,517,906
Basic and diluted net loss per common share
$ (1.48 ) $ (0.28 )
三個月已結束
9月30日
2023 2022
產品收入,淨額
$ 22,099 $ 27,655
銷售成本
7,315 9,623
毛利
14,784 18,032
運營費用
銷售和營銷
7,422 10,102
一般和行政
6,956 7,322
研究和開發
604 1,064
無形資產的攤銷
1,306 1,197
或有對價造成的損失
- 155
運營費用總額
16,288 19,840
運營損失
(1,504) ) (1,808 )
其他收入(支出)
其他費用,淨額
(709) ) (1,084) )
衍生權證負債(虧損)收益
(5,907) ) 2,191
其他(支出)收入總額
(6,616) ) 1,107
所得稅前虧損
(8,120 ) (701 )
所得稅優惠
- -
淨虧損
$ (8,120 ) $ (701 )
已發行普通股的加權平均數
5,482,037 2,517,906
普通股每股基本虧損和攤薄後淨虧損
$ (1.48) ) $ (0.28) )


Aytu BioPharma, Inc
Condensed Consolidated Balance Sheets
As of September 30, 2023 and June 30, 2023
(In thousands, except shares and per-share amounts)
(Unaudited)


Aytu BioPharma, Inc
簡明合併資產負債表
截至2023年9月30日和2023年6月30日
(以千計,股票和每股金額除外)
(未經審計)

(unaudited)
September 30, June 30,
2023 2023
Assets


Current assets


Cash and cash equivalents
$ 19,964 $ 22,985
Accounts receivable, net
29,882 28,937
Inventories
12,966 11,995
Prepaid expenses
7,038 8,047
Other current assets
749 868
Total current assets
70,599 72,832
Property and equipment, net
1,722 1,815
Operating lease right-of-use asset
2,454 2,054
Intangible assets, net
57,341 58,970
Other non-current assets
772 792
Total non-current assets
62,289 63,631
Total assets
$ 132,888 $ 136,463
Liabilities
Current liabilities
Accounts payable and other
$ 14,466 $ 13,478
Accrued liabilities
40,730 46,799
Short-term line of credit
1,215 1,563
Current portion of debt
62 85
Other current liabilities
8,990 7,090
Total current liabilities
65,463 69,015
Debt, net of current portion
14,842 14,713
Derivative warrant liabilities
12,310 6,403
Other non-current liabilities
8,106 6,975
Total liabilities
100,721 97,106
Commitments and contingencies
Stockholders' equity
Preferred Stock, par value $.0001; 50,000,000 shares authorized; no shares issued or outstanding as of September 30, 2023 and June 30, 2023
- -
Common Stock, par value $.0001; 200,000,000 shares authorized; shares issued or outstanding 5,530,235 and 5,517,174, respectively, as of September 30, 2023 and June 30, 2023
1 1
Additional paid-in capital
344,415 343,485
Accumulated deficit
(312,249 ) (304,129 )
Total stockholders' equity
32,167 39,357
Total liabilities and stockholders' equity
$ 132,888 $ 136,463
(未經審計)
9月30日 6月30日
2023 2023
資產


流動資產


現金和現金等價物
$ 19,964 $ 22,985
應收賬款,淨額
29,882 28,937
庫存
12,966 11,995
預付費用
7,038 8,047
其他流動資產
749 868
流動資產總額
70,599 72,832
財產和設備,淨額
1,722 1,815
經營租賃使用權資產
2,454 2,054
無形資產,淨額
57,341 58,970
其他非流動資產
772 792
非流動資產總額
62,289 63,631
總資產
$ 132,888 $ 136,463
負債
流動負債
應付賬款和其他
$ 14,466 $ 13,478
應計負債
40,730 46,799
短期信貸額度
1,215 1,563
債務的流動部分
62 85
其他流動負債
8,990 7,090
流動負債總額
65,463 69,015
債務,扣除流動部分
14,842 14,713
衍生權證負債
12,310 6,403
其他非流動負債
8,106 6,975
負債總額
100,721 97,106
承付款和意外開支
股東權益
優先股,面值爲.0001美元;已授權5000萬股;截至2023年9月30日和2023年6月30日,沒有已發行或流通的股票
- -
截至2023年9月30日和2023年6月30日,普通股,面值爲.0001美元;已發行或流通的股票分別爲5,530,235和517,174美元
1 1
額外的實收資本
344,415 343,485
累計赤字
(312,249) ) (304,129 )
股東權益總額
32,167 39,357
負債和股東權益總額
$ 132,888 $ 136,463

Aytu BioPharma, Inc
Reconciliation of Net Income to Adjusted EBITDA
For the Three Months Ended September 30, 2023 and 2022
(Unaudited)

Aytu BioPharma, Inc
淨收益與調整後息稅折舊攤銷前利潤的對賬
截至2023年9月30日和2022年9月30日的三個月
(未經審計)




Three Months Ended


Three Months Ended
(in thousands)
Rx Consumer Health Pipeline R&D September 30, 2023 Rx Consumer Health Pipeline R&D September 30, 2022
Reconciliation of net loss to Adjusted EBITDA:








Net loss
$ (7,321 ) $ (647 ) $ (152 ) $ (8,120 ) $ 1,001 $ (827 ) $ (875 ) $ (701 )
Addback (subtract from):
Depreciation and amortization
1,554 387 - 1,941 1,574 281 - 1,855
One-time transactions
851 - - 851 300 - - 300
Stock based compensation
725 205 - 930 1,153 15 9 1,177
Loss from contingent consideration
- - - - 128 27 - 155
Other expense, net
699 10 - 709 1,073 11 - 1,084
Loss (gain) on derivative warrant liabilities
5,907 - - 5,907 (2,191 ) - - (2,191 )
Adjusted EBITDA
$ 2,415 $ (45 ) $ (152 ) $ 2,218 $ 3,038 $ (493 ) $ (866 ) $ 1,679



三個月已結束


三個月已結束
(以千計)
Rx 消費者健康 管道研發 2023年9月30日 Rx 消費者健康 管道研發 2022年9月30日
淨虧損與調整後息稅折舊攤銷前利潤的對賬:








淨虧損
$ (7,321) ) $ (647) ) $ (152) ) $ (8,120 ) $ 1,001 $ (827) ) $ (875) ) $ (701 )
加回(減去):
折舊和攤銷
1,554 387 - 1,941 1,574 281 - 1,855
一次性交易
851 - - 851 300 - - 300
基於股票的薪酬
725 205 - 930 1,153 15 9 1,177
或有對價造成的損失
- - - - 128 27 - 155
其他費用,淨額
699 10 - 709 1,073 11 - 1,084
衍生權證負債虧損(收益)
5,907 - - 5,907 (2,191) ) - - (2,191) )
調整後 EBITDA
$ 2415 $ (45) ) $ (152) ) $ 2,218 $ 3,038 $ (493) ) $ (866 ) $ 1,679

SOURCE: Aytu BioPharma, Inc.

來源:Aytu BioPharma, Inc.


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