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Twin Vee PowerCats Co. Reports Results for First Quarter 2024 Operations

Twin Vee PowerCats Co. Reports Results for First Quarter 2024 Operations

Twin Vee PowerCats 有限公司報告 2024 年第一季度運營業績
Accesswire ·  05/15 08:00

FORT PIERCE, FL / ACCESSWIRE / May 15, 2024 / Twin Vee PowerCats Co. (Nasdaq:VEEE) ("Twin Vee" or the "Company"), a designer, manufacturer and distributor of recreational and commercial power boats, today reported operational highlights and financial results for three months ended March 31, 2024.

佛羅里達州皮爾斯堡/ACCESSWIRE /2024 年 5 月 15 日/Twin Vee PowerCats Co.休閒和商用摩托艇的設計、製造商和分銷商納斯達克股票代碼:VEEE)(“Twin Vee” 或 “公司”)今天公佈了截至2024年3月31日的三個月的經營亮點和財務業績。

Highlights for three months ended March 31, 2024: (All comparisons are to the three months ended March 31, 2023 unless otherwise noted)

截至2024年3月31日的三個月的亮點:(除非另有說明,否則所有比較均與截至2023年3月31日的三個月相比較)

  • Revenue for the three months ending March 31, 2024, decreased by 41% to $5,276,000 from $8,877,000 in the corresponding period of the previous year.
  • Twin Vee's Gas-Powered boat segment adjusted net loss for the quarter ending March 31, 2024, was $669,500.
  • Consolidated net loss for the three months ended March 31, 2024 was $2,335,000 which includes the net loss of Forza X1 of $1,168,000.
  • The Company experienced a decline in demand for its products, compounded by higher interest rates, which deterred buyers of recreational vehicles and boats.
  • Proactive measures were taken to mitigate economic challenges, including lowering production numbers, tightened financial controls, and a reduction in workforce. As a result, the revenue generated per direct labor employee increased; the per employee revenue for the first quarter of 2024 was approximately $103,000 compared to approximately $72,000 in the first quarter of 2003.
  • On March 31, 2024, Twin Vee's consolidated holdings of cash, cash equivalents, restricted cash, and marketable securities totaled $17,381,000, a decrease from $21,218,000 on December 31, 2023.
  • The decrease in cash reserves was primarily due to the Forza X1's R&D spend and the funds allocated by Twin Vee to develop new products such as the 400 GFX, 280 GFX DC, 240 CC, and 280 AquaSport Superboat, in addition to operational cash losses from reduced revenue in the first quarter of 2024.
  • Twin Vee's gas-powered boat segment reported $7,409,000 in cash, cash equivalents, restricted cash, and marketable securities on March 31, 2024, down from $8,396,000 on December 31, 2023.
  • As of March 31, 2024, Twin Vee's consolidated total assets were valued at $36,454,000, while Forza's assets totaled $15,531,000.
  • 截至2024年3月31日的三個月,收入從去年同期的8,877,000美元下降了41%,至527.6萬美元。
  • 截至2024年3月31日的季度,Twin Vee的天然氣動力船板塊調整後的淨虧損爲669,500美元。
  • 截至2024年3月31日的三個月,合併淨虧損爲233.5萬美元,其中包括極限競速X1的淨虧損11.68萬美元。
  • 該公司對其產品的需求下降,再加上更高的利率,這使休閒車和船隻的買家望而卻步。
  • 採取了積極措施來緩解經濟挑戰,包括降低產量、加強財務控制和裁員。結果,每位直接勞動力員工產生的收入增加了;2024年第一季度的每名員工收入約爲10.3萬美元,而2003年第一季度約爲72,000美元。
  • 2024年3月31日,Twin Vee的現金、現金等價物、限制性現金和有價證券的合併持有量爲17,381,000美元,低於2023年12月31日的21,218,000美元。
  • 現金儲備減少的主要原因是極限競速X1的研發支出以及Twin Vee爲開發400 GFX、280 GFX DC、240 CC和280 AquaSport超級船等新產品分配的資金,以及2024年第一季度收入減少造成的運營現金損失。
  • Twin Vee的汽油動力船舶板塊在2024年3月31日公佈的現金、現金等價物、限制性現金和有價證券爲7,40.9萬美元,低於2023年12月31日的8,396,000美元。
  • 截至2024年3月31日,Twin Vee的合併總資產價值爲36,454,000美元,而極限競速的資產總額爲15,531,000美元。

"The general economic landscape and high interest rate environment have continued to put downward pressure on customer demand across all our brands," explained Joseph Visconti, CEO and President of Twin Vee PowerCats Co. "During the first quarter we took steps to right-size the labor force while also tightly controlling operating costs. At the same time, we are using this slower period to lay the groundwork for the next market upswing. Twin Vee is investing in exciting new models like our Generation 2 GFX boats that we announced in April. Additionally, we are expanding our Fort Pierce, FL manufacturing facility to increase production capacity and create a more efficient factory layout. We are also streamlining our manufacturing process by adding a state-of-the-art CNC machine that enables us to bring the tooling of our brand-new boat models in house. This will save on costs associated with outsourcing and enhance the quality of the boat molds we use to build our products. We are committed to reducing cash burn while making smart investments in infrastructure, product development, and other revenue generating opportunities for the Company."

Twin Vee PowerCats Co.首席執行官兼總裁約瑟夫·維斯康蒂解釋說:“總體經濟格局和高利率環境繼續給我們所有品牌的客戶需求帶來下行壓力。”“在第一季度,我們採取措施調整勞動力規模,同時嚴格控制運營成本。同時,我們正在利用這段較慢的時期爲下一次市場上漲奠定基礎。Twin Vee正在投資令人興奮的新型號,例如我們在4月發佈的第二代GFX快艇。此外,我們正在擴建佛羅里達州皮爾斯堡的製造工廠,以提高生產能力並創建更有效的工廠佈局。我們還通過增加一臺最先進的數控機牀來簡化我們的製造流程,這使我們能夠將全新船型的模具帶到公司內部。這將節省與外包相關的成本,並提高我們用於製造產品的船模的質量。我們致力於減少現金消耗,同時爲公司在基礎設施、產品開發和其他創收機會方面進行明智的投資。”

Twin Vee reported a 41% decline in consolidated revenue for the three months ended March 31, 2024, to $5,276,343 as compared to $8,877,215 in the same period in 2023. For the three months ended March 31, 2024, Twin Vee had a consolidated net loss of $2,335,194, as compared to a net loss of $1,828,465 in the prior year. Included in the Twin Vee net loss was a net loss attributable to Forza X1 of $1,167,837 and $2,005,132 for the three months ended March 31, 2024 and 2023, respectively. The gas-powered segment had a combined net loss of $1,163,957 for the three months ended March 31, 2024 compared to net income of $181,849 in the comparable prior year period.

Twin Vee報告稱,截至2024年3月31日的三個月,合併收入下降了41%,至5,276,343美元,而2023年同期爲8,877,215美元。在截至2024年3月31日的三個月中,Twin Vee的合併淨虧損爲2,335,194美元,而上一年的淨虧損爲1,828,465美元。Twin Vee淨虧損中包括截至2024年3月31日和2023年3月31日的三個月,歸屬於極限競速X1的淨虧損分別爲1,167,837美元和2,005,132美元。截至2024年3月31日的三個月,天然氣動力板塊的合併淨虧損爲1,163,957美元,而去年同期的淨收入爲181,849美元。

Forza X1, Inc. (NASDAQ: FRZA), the electric boat and development subsidiary in which Twin Vee has a 44.43% controlling interest, had a net loss of $1,167,837 for the three months ended March 31, 2024 compared to a net loss of $2,005,132 for the comparable period in 2023. The consolidated net loss attributed to stockholders of Twin Vee was $1,686,229 for the three months ended March 31, 2024 compared to a consolidated net loss attributed to stockholders of Twin Vee of $1,166,772 for the comparable period in 2023. Generally Accepted Accounting Principles ("GAAP") require Twin Vee to file consolidated financial statements based on Twin Vee's controlling ownership interest in Forza X1, Inc. (Nasdaq: FRZA).

Twin Vee持有44.43%的控股權的電動船和開發子公司極限競速X1公司(納斯達克股票代碼:FRZA)在截至2024年3月31日的三個月中淨虧損爲1,167,837美元,而2023年同期的淨虧損爲2,005,132美元。截至2024年3月31日的三個月,歸屬於Twin Vee股東的合併淨虧損爲1,686,229美元,而2023年同期歸屬於Twin Vee股東的合併淨虧損爲1,166,772美元。公認會計原則(“GAAP”)要求Twin Vee根據Twin Vee在極限競速X1公司(納斯達克股票代碼:FRZA)的控股權益提交合並財務報表。

Twin Vee, net of Forza X1, had cash, cash equivalents, restricted cash, and marketable securities of $7,427,882 as of December 31, 2023.

截至2023年12月31日,扣除極限競速X1後的Twin Vee的現金、現金等價物、限制性現金和有價證券爲7,427,882美元。

Conference Call

電話會議

Joseph Visconti, CEO and President, will hold a conference call today, Wednesday May 15, 2024, at 12:00 p.m. (Eastern). To listen to the conference call, interested parties should dial-in 1-877-407-3982 and use Conference ID 13746470. All callers should dial-in approximately 10 minutes prior to the scheduled start time and ask to join the Twin Vee conference call.

首席執行官兼總裁約瑟夫·維斯康蒂將於今天,即2024年5月15日星期三中午12點(美國東部時間)舉行電話會議。要收聽電話會議,有興趣的人士應撥打1-877-407-3982並使用會議編號13746470。所有來電者應在預定開始時間前大約 10 分鐘撥入,並要求加入 Twin Vee 電話會議。

The conference call will also be available through a live audio webcast that can be accessed at the LINK HERE.

電話會議還將通過直播音頻網絡直播,可通過此處的鏈接進行觀看。

The Company's complete financial statements are being filed today with the Securities and Exchange Commission and can be accessed via

該公司的完整財務報表今天已提交給美國證券交易委員會,可通過以下方式訪問

About Twin Vee PowerCats Co.

關於 Twin Vee PowerCats Co.

Twin Vee is a designer, manufacturer, distributor, and marketer of power sport catamaran boats. The Company located in Fort Pierce, Florida, has been building and selling boats for nearly 30 years. Learn more at twinvee.com. Twin Vee is one of the most recognizable brand names in the catamaran sport boat category and is known as the "Best Riding Boats on the Water".

Twin Vee 是動力運動雙體船的設計師、製造商、分銷商和營銷商。該公司位於佛羅里達州皮爾斯堡,建造和銷售船隻已有近30年了。在 twinvee.com 上了解更多信息。Twin Vee 是雙體船運動艇類別中最知名的品牌之一,被稱爲 “最佳水上騎行船”。

Forward Looking Statements

前瞻性陳述

This press release contains certain forward-looking statements within the meaning of the safe harbor provisions of the Private Securities Litigation Reform Act of 1995. These statements are identified by the use of the words "could," "believe," "anticipate," "intend," "estimate," "expect," "may," "continue," "predict," "potential," "project" and similar expressions that are intended to identify forward-looking statements and include statements regarding taking steps to right-size the Company's labor force while tightly controlling operating costs, using this slower period to lay the groundwork for the next market upswing, expanding the Fort Pierce, FL manufacturing facility to increase production capacity and create a more efficient factory layout, adding a state-of-the-art CNC to bring the tooling of brand-new boat models in house, saving costs associated with outsourcing and enhancing the quality of the boat molds the Company uses to build its products and reducing cash burn while making smart investments in infrastructure, product development and other revenue generating opportunities. These forward-looking statements are based on management's expectations and assumptions as of the date of this press release and are subject to a number of risks and uncertainties, many of which are difficult to predict, that could cause actual results to differ materially from current expectations and assumptions from those set forth or implied by any forward-looking statements. Important factors that could cause actual results to differ materially from current expectations include, among others, the Company's ability to lay the groundwork for the next market upswing and reduce cash burn while continuing to invest in infrastructure, product development and other revenue generating investments, and the risk factors described in the Company's Annual Report on Form 10-K for the year ended December 31, 2023, and the Company's subsequent filings with the SEC, including subsequent periodic reports on Forms 10-Q and 8-K. The information in this release is provided only as of the date of this release, and the Company undertakes no obligation to update or revise publicly any forward-looking statements, whether as a result of new information, future events or otherwise, after the date on which the statements are made or to reflect the occurrence of unanticipated events, except as required by law.

本新聞稿包含1995年《私人證券訴訟改革法》安全港條款所指的某些前瞻性陳述。這些陳述是使用 “可以”、“相信”、“預測”、“打算”、“估計”、“期望”、“可能”、“繼續”、“預測”、“潛在”、“項目” 等詞語來識別的,這些表述旨在識別前瞻性陳述,包括有關採取措施在嚴格控制運營成本的同時合理調整公司勞動力規模,利用這段較慢的時間爲下一步奠定基礎的陳述市場上漲,擴建佛羅里達州皮爾斯堡的製造工廠,以提高產能並創造更多產能高效的工廠佈局,增加一臺最先進的數控設備,將全新船型的模具帶入內部,節省與外包相關的成本,提高公司用於製造產品的船模的質量,減少現金消耗,同時對基礎設施、產品開發和其他創收機會進行明智的投資。這些前瞻性陳述基於管理層截至本新聞稿發佈之日的預期和假設,存在許多風險和不確定性,其中許多風險和不確定性難以預測,這可能導致實際業績與當前的預期和假設與任何前瞻性陳述中提出或暗示的預期和假設存在重大差異。可能導致實際業績與當前預期存在重大差異的重要因素包括,公司在繼續投資基礎設施、產品開發和其他創收投資的同時爲下一次市場上漲奠定基礎和減少現金消耗的能力,以及公司截至2023年12月31日止年度的10-K表年度報告中所述的風險因素,以及公司隨後向美國證券交易委員會提交的文件,包括隨後提交的10-Form定期報告 Q 和 8-K。本新聞稿中的信息僅在本新聞稿發佈之日提供,除非法律要求,否則公司沒有義務在聲明發表之日之後公開更新或修改任何前瞻性陳述,無論是由於新信息、未來事件還是其他原因,也沒有義務反映意外事件的發生。

March 31, December 31,
2024 2023 Change % Change
Cash and cash equivalents
$ 16,137,920 $ 16,497,703 $ (359,783) (2.2%)
Restricted cash
$ 260,107 $ - $ 260,107 -
Current assets
$ 21,778,752 $ 26,646,318 $ (4,867,566) (18.3%)
Current liabilities
$ 2,896,963 $ 4,216,345 $ (1,319,383) (31.3%)
Working capital
$ 18,881,789 $ 22,429,972 $ (3,548,183) (15.8%)
3月31日 十二月三十一日
2024 2023 改變 % 變化
現金和現金等價物
$ 16,137,920 $ 16,497,703 $ (359,783) (2.2%)
受限制的現金
$ 260,107 $ - $ 260,107 -
流動資產
$ 21,778,752 $ 26,646,318 $ (4,867,566) (18.3%)
流動負債
$ 2,896,963 $ 4,216,345 $ (1,319,383) (31.3%)
營運資金
$ 18,881,789 $ 22,429,972 $ (3,548,183) (15.8%)
March 31, December 31,
Balance Sheet Data:
2024 2023 Change % Change
Cash
$ 16,137,920 $ 16,497,703 $ (359,783) (2%)
Total assets
$ 36,454,352 $ 39,846,713 $ (3,392,361) (9%)
Total liabilities
$ 6,313,649 $ 7,797,098 $ (1,483,449) (19%)
Stockholder's equity
$ 22,251,246 $ 23,511,193 $ (1,259,947) (5%)
3月31日 十二月三十一日
資產負債表數據:
2024 2023 改變 % 變化
現金
$ 16,137,920 $ 16,497,703 $ (359,783) (2%)
總資產
$ 36,454,352 $ 39,846,713 $ (3,392,361) (9%)
負債總額
$ 6,313,649 $ 7,797,098 $ (1,483,449) (19%)
股東權益
$ 22,251,246 $ 23,511,193 $ (1,259,947) (5%)
Three Months Ended March 31,
2024 2023 $ Change % Change
Net sales
$ 5,276,343 $ 8,877,215 $ (3,600,872) (41%)
Cost of products sold
$ 4,999,030 $ 7,267,657 $ (2,268,627) (31%)
Gross profit
$ 277,314 $ 1,609,558 $ (1,332,244) (83%)
Operating expenses
$ 2,820,520 $ 3,979,081 $ (1,158,561) (29%)
Loss from operations
$ (2,543,206) $ (2,369,523) $ (173,683) 7%
Other expense
$ (208,012) $ (541,058) $ 333,046 (62%)
Net loss
$ (2,335,194) $ (1,828,465) $ (506,729) 28%
截至3月31日的三個月
2024 2023 $ Change % 變化
淨銷售額
$ 5,276,343 $ 8,877,215 $ (3,600,872) (41%)
銷售產品的成本
$ 4,999,030 $ 7,267,657 $ (2,268,627) (31%)
毛利
$ 277,314 $ 1,609,558 $ (1,332,244) (83%)
運營費用
$ 2,820,520 $ 3,979,081 $ (1,158,561) (29%)
運營損失
$ (2,543,206) $ (2,369,523) $ (173,683) 7%
其他費用
$ (208,012) $ (541,058) $ 333,046 (62%)
淨虧損
$ (2,335,194) $ (1,828,465) $ (506,729) 28%
Three Months Ended March 31,
2024 2023 Change % Change
Cash used in operating activities
$ (1,749,920) $ (2,232,650) $ 482,730 22%
Cash provided by (used in)
investing activities
$ 1,476,448 $ (243,007) $ (1,719,455) (708%)
Cash provided by (used in)
financing activities
$ (83,735) $ (2,835) $ (80,900) 2,854%
Net Change in Cash
$ (357,207) $ (2,478,491) $ 2,121,284 (86%)
截至3月31日的三個月
2024 2023 改變 % 變化
用於經營活動的現金
$ (1,749,920) $ (2,232,650) $ 482,730 22%
由(用於)提供的現金
投資活動
$ 1,476,448 $ (243,007) $ (1,719,455) (708%)
由(用於)提供的現金
融資活動
$ (83,735) $ (2,835) $ (80,900) 2,854%
現金淨變動
$ (357,207) $ (2,478,491) $ 2,121,284 (86%)

The following table shows information by reportable segments for three months ended March 31, 2024 and 2023, respectively:

下表分別顯示了截至2024年3月31日和2023年3月31日的三個月中按應報告細分市場劃分的信息:

Gas-Powered Boats Franchise Electric Boat and Development Total
Net sales
$ 5,276,343 $ - $ - $ 5,276,343
Cost of products sold
4,969,458 - 29,572 4,999,030
Operating expense
1,533,981 772 1,285,767 2,820,520
Loss from operations
(1,227,096) (772) (1,315,339) (2,543,207)
Other income (expense)
63,139 (2,629) 147,502 208,012
Net income (loss)
$ (1,163,957) $ (3,401) $ (1,167,837) $ (2,335,194)
汽油動力船 專營權 電動船與發展 總計
淨銷售額
$ 5,276,343 $ - $ - $ 5,276,343
銷售產品的成本
4,969,458 - 29,572 4,999,030
運營費用
1,533,981 772 1,285,767 2,820,520
運營損失
(1,227,096) (772) (1,315,339) (2,543,207)
其他收入(支出)
63,139 (2,629) 147,502 208,012
淨收益(虧損)
$ (1,163,957) $ (3,401) $ (1,167,837) $ (2,335,194)

For the Three Months Ended 31, 2023

在截至2023年31日的三個月中

Gas-Powered Boats Franchise Electric Boat and Development Total
Net sales
$ 8,877,215 $ - $ - $ 8,877,215
Cost of products sold
7,217,716 - 49,941 7,267,657
Operating expense
1,898,151 1,121 2,079,809 3,979,081
Loss from operations
(238,652) (1,121) (2,129,750) (2,369,523)
Other income (expense)
420,501 (4,062) 124,619 541,058
Net income (loss)
$ 181,849 $ (5,183) $ (2,005,131) $ (1,828,465)
汽油動力船 專營權 電動船與發展 總計
淨銷售額
$ 8,877,215 $ - $ - $ 8,877,215
銷售產品的成本
7,217,716 - 49,941 7,267,657
運營費用
1,898,151 1,121 2,079,809 3,979,081
運營損失
(238,652) (1,121) (2,129,750) (2,369,523)
其他收入(支出)
420,501 (4,062) 124,619 541,058
淨收益(虧損)
$ 181,849 $ (5,183) $ (2,005,131) $ (1,828,465)

Non-GAAP Financial Measures

非公認會計准則財務指標

We have presented a supplemental non-GAAP financial measure in this earnings release. We believe that this supplemental information is useful to investors because it allows for an evaluation of the company with a focus on the performance of its core operations, including more meaningful comparisons of financial results to historical periods. Adjusted Net Loss is a non-GAAP financial measure which excludes certain non-cash expenses. Our executive management team uses these same non-GAAP measures internally to assess the ongoing performance of the Company. Adjusted Net (Loss) is not intended to be a substitute for any GAAP financial measures, and, as calculated, may not be comparable to other similarly titled measures of performance of other companies in other industries or within the same industry.

我們在本業績中提供了補充的非公認會計准則財務指標。我們認爲,這些補充信息對投資者很有用,因爲它允許以核心業務的業績爲重點對公司進行評估,包括將財務業績與歷史時期進行更有意義的比較。調整後淨虧損是一項非公認會計准則財務指標,不包括某些非現金支出。我們的執行管理團隊在內部使用相同的非公認會計准則指標來評估公司的持續業績。調整後的淨額(虧損)不能替代任何GAAP財務指標,並且根據計算,可能無法與其他行業或同一行業內其他公司的類似業績指標進行比較。

Below is a reconciliation of Adjusted Net loss to GAAP net loss for the three months ended March 31, 2024 and 2023, respectively:

以下是截至2024年3月31日和2023年3月31日的三個月,調整後淨虧損與GAAP淨虧損的對賬情況:

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Three Months Ended Three Months Ended Three Months Ended
March 31, March 31, March 31,
2024 2023 2024 2023 2024 2023
Net loss
$ (1,163,957) $ 181,849 $ (3,401) $ (5,183) $ (1,167,837) $ (2,005,132)
Stock based compensation
133,142 141,801 - - 293,141 341,163
Loss on disposal of assets
- - - - - -
Depreciation and amortization
369,336 182,580 - - 55,945 35,696
Change of right-of-use asset and lease liabilities
(6,641) (1,003) - - (338) 339
Net change in marketable securities
(1,382) (8,034) - - 16,930 -
Change in inventory reserve
- - - - 113,252 -
Government grant income
(329,573) - - - -
Adjusted net income (loss)
$ (669,502) $ 167,620 $ (3,401) $ (5,183) $ (688,907) $ (1,627,934)
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三個月已結束 三個月已結束 三個月已結束
3月31日 3月31日 3月31日
2024 2023 2024 2023 2024 2023
淨虧損
$ (1,163,957) $ 181,849 $ (3,401) $ (5,183) $ (1,167,837) $ (2,005,132)
基於股票的薪酬
133,142 141,801 - - 293,141 341,163
資產處置損失
- - - - - -
折舊和攤銷
369,336 182,580 - - 55,945 35,696
使用權資產和租賃負債的變動
(6,641) (1,003) - - (338) 339
有價證券的淨變化
(1,382) (8,034) - - 16,930 -
庫存儲備的變化
- - - - 113,252 -
政府補助收入
(329,573) - - - -
調整後淨收益(虧損)
$ (669,502) $ 167,620 $ (3,401) $ (5,183) $ (688,907) $ (1,627,934)
Three Months Ended
March 31,
2024 2023
Net sales
$ 5,276,343 $ 8,877,215
Cost of products sold
$ 4,999,030 $ 7,267,657
Gross profit
$ 277,314 $ 1,609,558
Operating expenses
$ 2,820,520 $ 3,979,081
Income from operations
$ (2,543,206) $ (2,369,523)
Other expense
$ 208,012 $ 541,058
Net (loss)
$ (2,335,194) $ (1,828,465)
Basic and dilutive loss per share of common stock
$ (0.18) $ (0.12)
Weighted average number of shares of common stock outstanding
9,520,000 9,520,000
三個月已結束
3月31日
2024 2023
淨銷售額
$ 5,276,343 $ 8,877,215
銷售產品的成本
$ 4,999,030 $ 7,267,657
毛利
$ 277,314 $ 1,609,558
運營費用
$ 2,820,520 $ 3,979,081
運營收入
$ (2,543,206) $ (2,369,523)
其他費用
$ 208,012 $ 541,058
淨額(虧損)
$ (2,335,194) $ (1,828,465)
普通股每股基本虧損和攤薄虧損
$ (0.18) $ (0.12)
已發行普通股的加權平均數
9520,000 9520,000
Adjusted Net Loss
Three Months Ended
March 31,
2024 2023
Net loss
$ (2,335,194) $ (1,828,465)
Stock based compensation
426,283 482,964
Depreciation and amortization
425,281 218,276
Change of right-of-use asset and lease liabilities
(6,979) (1,003)
Net change in marketable securities
15,548 (8,034)
Change in inventory reserve
113,252 -
Government grant income
- (329,573)
Adjusted net (loss)
$ (1,361,809) $ (1,465,835)
調整後淨虧損
三個月已結束
3月31日
2024 2023
淨虧損
$ (2,335,194) $ (1,828,465)
基於股票的薪酬
426,283 482,964
折舊和攤銷
425,281 218,276
使用權資產和租賃負債的變動
(6,979) (1,003)
有價證券的淨變化
15,548 (8,034)
庫存儲備的變化
113,252 -
政府補助收入
- (329,573)
調整後的淨額(虧損)
$ (1,361,809) $ (1,465,835)

CONTACT:

聯繫人:

Glenn Sonoda
investor@twinvee.com

Glenn Sonoda
investor@twinvee.com

SOURCE: Twin Vee PowerCats Co.

來源:Twin Vee PowerCats Co


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