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Pinetree Capital Announces Unaudited Financial Results for the Period Ended September 30, 2021

Pinetree Capital Announces Unaudited Financial Results for the Period Ended September 30, 2021

鬆樹資本公司宣佈截至2021年9月30日的未經審計的財務業績
Accesswire ·  2021/11/05 17:00

TORONTO, ON / ACCESSWIRE / November 5, 2021 / Pinetree Capital Ltd. (TSX:PNP) ("Pinetree" or the "Company") today announced its financial results for the three and nine months ended September 30, 2021. All financial information provided in this press release is unaudited and all figures are in $'000 except per share amounts and shares outstanding.

多倫多,on/ACCESSWIRE/2021年11月5日/鬆樹資本有限公司(多倫多證券交易所市場代碼:PNP)(以下簡稱“鬆樹”或“公司”)今天公佈了截至2021年9月30日的三個月和九個月的財務業績。本新聞稿中提供的所有財務信息均未經審計,除每股金額和已發行股票外,所有數字均為‘000美元。

Unaudited financial results for the period ended September 30, 2021

截至2021年9月30日的未經審計財務業績

The following information should be read in conjunction with our annual audited Consolidated Financial Statements, prepared in accordance with International Financial Reporting Standards ("IFRS") and our annual Management Discussion and Analysis for the year ended December 31, 2020, which can be found on SEDAR at www.sedar.com.

以下信息應與我們根據國際財務報告準則(“IFRS”)編制的年度經審計綜合財務報表以及我們截至2020年12月31日的年度管理討論和分析(可在SEDAR網站www.sedar.com上找到)一併閲讀。

Selected Financial Information

精選財務信息

As at September 30, 2021 As at December 31, 2020
Total assets
$ 38,865 $ 19,484
Total liabilities
318 383
Book Value
38,547 19,101
Shares outstanding
9,387,000 9,045,198
Book Value per share (BVPS)
$ 4.11 $ 2.11
截至2021年9月30日 截至2020年12月31日
總資產
$ 38,865 $ 19,484
總負債
318 383
賬面價值
38,547 19,101
流通股
9,387,000 9,045,198
每股賬面價值(BVPS)
$ 4.11 $ 2.11

Shares Outstanding

Equity

Book Value per share (BVPS)1

Quarterly Expenses

Quarterly Expenses as % of BV1

$000's $ $'000's %

Sep-30-21

9,387,000

38,547

4.11

263

0.7

Jun-30-21

18,840,396

39,480

2.10

231

0.5

Mar-31-21

9,420,198

21,904

2.33

216

1.0

Dec-31-20

9,045,198

19,101

2.11

132

0.7

Sep-30-20

9,045,198

16,493

1.82

114

0.7

Jun-30-20

9,045,198

15,399

1.70

121

0.8

Mar-31-20

9,045,198

15,540

1.72

61

0.4

Dec-31-19

9,045,198

17,898

1.98

191

1.0

未償還股份

權益

每股賬面價值(BVPS)1

季度費用

季度支出佔業務量的百分比1

$000's $ $'000's %

9月30日至21日

9,387,000

38,547

4.11

263

0.7

6月30日-21日

18,840,396

39,480

2.10

231

0.5

3月31日至21日

9,420,198

21,904

2.33

216

1.0

12月31日至20日

9,045,198

19,101

2.11

132

0.7

9月30日至20日

9,045,198

16,493

1.82

114

0.7

6月30日至20日

9,045,198

15,399

1.70

121

0.8

3月31日至20日

9,045,198

15,540

1.72

61

0.4

12月31日至19日

9,045,198

17,898

1.98

191

1.0

1 Refer to "Use of Non-IFRS Financial Measures"

1 請參閲“非國際財務報告準則財務措施的使用”

Shares Outstanding and Equity amounts are as at the Quarter End date

截至季度末的未償還股票和權益金額

Quarterly Expenses amounts are for the Three months ending the Quarter End date

季度費用金額是指截至季度結束日期的三個月。

As at September 30, 2021, Pinetree's equity was $38,547 which compares to $19,101 as at December 31, 2020. The increase came primarily from the closing of a financing during the year as described below. As at September 30, 2021, the Company held investments at fair value totaling $25,239, which represented 65% of book value. This compares to investments at fair value of $16,493 representing 86% of book value as at December 31, 2020.

截至2021年9月30日,鬆樹的股本為38,547美元,而截至2020年12月31日的股本為19,101美元。增加的主要原因是年內完成了一項融資,如下所述。截至2021年9月30日,該公司以公允價值持有的投資總額為25239美元,佔賬面價值的65%。相比之下,截至2020年12月31日,公允價值為16,493美元的投資佔賬面價值的86%。

Pinetree's BVPS at September 30, 2021 was $4.11 as compared to $2.11 as at December 31, 2020. The increase was primarily due to the share consolidation and split as described below. Excluding the effects of the consolidation, Pinetree's BVPS would have been approximately $2.06 which represents a 2% decline relative to last quarter.

鬆樹在2021年9月30日的BVPS為4.11美元,而截至2020年12月31日的BVPS為2.11美元。增加主要是由於股份合併及分拆,如下所述。剔除整合的影響,鬆樹的BVPS約為2.06美元,與上一季度相比下降了2%。

On July 12, 2021 the Company completed a 100 to 1 share consolidation of its common shares followed immediately by a 1 to 50 share split announced on March 29, 2021 and approved by shareholders at the Annual and Special Meeting on June 30, 2021. Shareholders who held less than 100 common shares at the close of business on July 9, 2021 received a cash payment in exchange for their common shares equal to C$2.02 per common share. The Cash Proceeds were based on the average trading price of the common shares on the Toronto Stock Exchange during the 20 consecutive trading days ending on and including July 9, 2021. Shareholders who held less than 100 common shares at the close of business on July 9, 2021 were entitled to an aggregate amount of $132 in exchange for the common shares of the Company. The common shares commenced trading on a post-consolidation and split basis on the TSX on July 14, 2021 under a new CUSIP number and the same trading symbol.

2021年7月12日,公司完成了100比1的普通股合併,隨後立即於2021年3月29日宣佈了1比50的股份拆分,並在2021年6月30日的年度和特別大會上得到了股東的批准。2021年7月9日收盤時持有不到100股普通股的股東獲得現金支付,以換取相當於每股普通股2.02加元的普通股。現金收益是基於截至2021年7月9日(包括2021年7月9日)的連續20個交易日內多倫多證券交易所普通股的平均交易價格。在2021年7月9日收盤時持有不到100股普通股的股東有權獲得總計132美元的普通股,以換取公司的普通股。普通股於2021年7月14日開始在多倫多證交所進行合併和拆分後的交易,交易代碼為新的CUSIP編號和相同的交易代碼。

During the period ended September 30, 2021, the Company continued to take a disciplined approach to capital allocation and expense control. Expenses for the twelve months ended September 30, 2021 were $844 which corresponds to 2.2% of book value as at September 30, 2021. This compares to expenses of $487 for the twelve months ended September 30, 2020 which corresponds to 3% of book value as at September 30, 2020. Since expenses fluctuate from quarter to quarter, management monitors costs on a trailing twelve month basis. Included in expenses are foreign exchange fluctuations resulting from cash balances held in currencies other than Canadian dollars.

在截至2021年9月30日的期間內,公司繼續採取紀律嚴明的方式進行資本分配和費用控制。截至2021年9月30日的12個月的費用為844美元,相當於截至2021年9月30日賬面價值的2.2%。相比之下,截至2020年9月30日的12個月的支出為487美元,相當於截至2020年9月30日賬面價值的3%。由於費用在每個季度之間波動,管理層每12個月監測一次成本。費用中包括以加元以外貨幣持有的現金餘額引起的外匯波動。

Three months ended September 30,
Nine months ended September 30,
2021 2020 2021 2020
Net investment gains (losses)
(672) 1,143 1,927 (1,317)
Other income
145 79 311 241
Quarterly expenses
263 114 696 296
Income tax
13 14 13 33
Net income (loss)
(803) 1,094 1,529 (1,405)
Earnings (loss) per share -
basic & fully diluted
(0.09) 0.12 0.12 (0.16)
截至9月30日的三個月,
截至9月30日的9個月,
2021 2020 2021 2020
淨投資收益(虧損)
(672) 1,143 1,927 (1,317)
其他收入
145 79 311 241
季度費用
263 114 696 296
所得税
13 14 13 33
淨收益(虧損)
(803) 1,094 1,529 (1,405)
每股收益(虧損)-
基本和完全稀釋
(0.09) 0.12 0.12 (0.16)

For the three months ended September 30, 2021, other income totalled $145 as compared to other income of $79 for the three months ended September 30, 2020. Other income is comprised of interest and dividend income.

截至2021年9月30日的三個月,其他收入總計145美元,而截至2020年9月30日的三個月其他收入為79美元。其他收入包括利息和股息收入。

Forward-Looking Statements

前瞻性陳述

Certain statements herein may be "forward-looking" statements that involve known and unknown risks, uncertainties and other factors that may cause the actual results, performance or achievements of Pinetree or the industry to be materially different from any future results, performance or achievements expressed or implied by such forward-looking statements. Forward-looking statements involve significant risks and uncertainties, should not be read as guarantees of future performance or results, and will not necessarily be accurate indications of whether or not such results will be achieved. A number of factors could cause actual results to vary significantly from the results discussed in the forward-looking statements. These forward-looking statements reflect current assumptions and expectations regarding future events and operating performance and are made as of the date hereof and Pinetree assumes no obligation, except as required by law, to update any forward-looking statements to reflect new events or circumstances.

本文中的某些陳述可能是“前瞻性”陳述,涉及已知和未知的風險、不確定性和其他因素,這些風險、不確定因素和其他因素可能會導致鬆樹或該行業的實際結果、表現或成就與此類前瞻性陳述明示或暗示的任何未來結果、表現或成就大不相同。前瞻性陳述涉及重大風險和不確定因素,不應被解讀為對未來業績或結果的保證,也不一定是對這些結果能否實現的準確指示。許多因素可能導致實際結果與前瞻性陳述中討論的結果大不相同。這些前瞻性表述反映了目前對未來事件和經營業績的假設和預期,是截至本文發佈之日作出的,除法律要求外,鬆樹公司沒有義務更新任何前瞻性表述,以反映新的事件或情況。

Non-IFRS Measures, Non-GAAP Measures

非國際財務報告準則計量、非公認會計準則計量

BVPS (book value per share) is a non-IFRS (international financial reporting standards) measure calculated as the value of total assets less the value of total liabilities divided by the total number of common shares outstanding as at a specific date. The term BVPS does not have any standardized meaning according to IFRS and therefore may not be comparable to similar measures presented by other companies. There is no comparable IFRS measure presented in Pinetree's consolidated financial statements and thus no applicable quantitative reconciliation for such non-IFRS financial measure. The Company has calculated BVPS consistently for many years and believes that BVPS can provide information useful to its shareholders in understanding its performance and may assist in the evaluation of its business relative to that of its peers.

BVPS(每股賬面價值)是一種非IFRS(國際財務報告準則)衡量標準,計算方法為總資產價值減去總負債價值除以截至特定日期的已發行普通股總數。根據“國際財務報告準則”,BVPS一詞沒有任何標準化含義,因此可能無法與其他公司提出的類似措施相提並論。鬆樹的合併財務報表中沒有列報可比的國際財務報告準則計量,因此這種非國際財務報告準則的財務計量沒有適用的量化對賬。本公司多年來一直持續計算BVPS,並相信BVPS可為股東提供有用的資料,讓他們瞭解其業績,並可協助評估其相對同業的業務。

About Pinetree Capital Ltd.

關於鬆樹資本有限公司

Pinetree is a value-oriented investment and merchant banking company focused on the technology sector. Pinetree's common shares are listed on the TSX under the symbol "PNP".

鬆樹是一家以價值為導向的投資和商業銀行公司,專注於技術領域。鬆樹的普通股在多倫多證券交易所上市,代碼為“PNP”。

For further information:

有關更多信息,請訪問:

John Bouffard
Chief Financial Officer
416-941-9600 x 200
jbouffard@pinetreecapital.com
www.pinetreecapital.com

約翰·布法爾
首席財務官
416-941-9600 x 200
郵箱:jbouffard@pinetreecapital.com
Www.pinetreecapital.com

SOURCE: Pinetree Capital Ltd.

來源:鬆樹資本有限公司


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