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Hydrofarm Q2 Revenue Declines 27% YoY, What About Net Loss?

Hydrofarm Q2 Revenue Declines 27% YoY, What About Net Loss?

Hydrofarm 第二季度收入同比下降27%,净亏损呢?
Benzinga Real-time News ·  2022/08/10 09:48

Hydrofarm Holdings Group, Inc. (NASDAQ:HYFM) released financial results for its second quarter ended June 30, 2022, revealing net sales decreased 27% to $97.5 million compared to $133.8 million in Q2 2021.

Hydrofarm 控股集团有限公司 纳斯达克股票代码:HYFM)公布了截至2022年6月30日的第二季度财务业绩,披露 净销售额下降 27% 到 9,750 万美元 相比之下,2021 年第二季度为 1.38 亿美元。

Q2 2022 Financial Highlights vs. Prior Year Period:

Q2 2022 金融 亮点与去年同期相比:

  • Gross profit decreased 75% to $7.3 million compared to $29.6 million.

  • Net loss was $(203.3) million, or $(4.53) per diluted share, compared to net income of $2.3 million, or $0.05 per diluted share. Net loss in the second quarter of 2022 included a non-cash charge of $189.6 million in goodwill impairment and a $10.2 million inventory reserve.

  • Adjusted EBITDA decreased to $(6.8) million compared to $16.2 million.

  • 格罗斯 p利润下降 75% 到 730 万美元 相比之下,为2,960万美元。

  • 净亏损为(2.033)亿美元,或摊薄后每股收益为4.53美元,而净收益为230万美元,摊薄后每股收益为0.05美元。2022 年第二季度的净亏损包括1.896亿美元的商誉减值的非现金费用和1,020万美元的库存储备。

  • 调整后的息税折旧摊销前利润降至680万美元 相比之下,这一数字为1,620万美元。

Bill Toler, chairman and CEO of Hydrofarm, stated, “Our second quarter results reflect the ongoing impact of the hydroponic industry recession in the U.S. and Canada. Nonetheless, we took positive steps to lower our cost structure and maintain a solid liquidity position."

比尔·托勒Hydrofarm董事长兼首席执行官表示:“我们第二季度的业绩反映了美国和加拿大水培行业衰退的持续影响。尽管如此,我们还是采取了积极措施来降低成本结构并保持稳健的流动性状况。”

Balance Sheet and Liquidity

资产负债表和流动性

As of June 30, 2022, the company had $27.4 million in cash, cash equivalents and restricted cash, an aggregate principal amount of debt outstanding of $126.7 million, $15.3 million in contingent payments and approximately $70 million of available borrowing capacity under its revolving credit agreement. The company decreased its net debt by approximately $14.1 million during the second quarter by improving its working capital position and controlling costs.

截至2022年6月30日,该公司有 2740 万美元的现金、现金等价物和限制性现金,本金总额为 债务 杰出的 1.267 亿美元, 1,530万美元的或有付款以及其循环信贷协议下的约7,000万美元可用借贷能力.通过改善营运资金状况和控制成本,该公司在第二季度的净负债减少了约1410万美元。

Full Year 2022 Outlook:

2022 年全年展望:

  • Net sales of approximately $330 million to $347 million.

  • Adjusted EBITDAof $(25) million to $(16) million.

  • Photo by Giorgio Trovato on Unsplash

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  • 净销售额约为3.3亿至3.47亿美元。

  • 调整后 EBITDA从 (2,500) 万美元到 (1,600) 万美元。

  • 照片由 Giorgio Trovato 在 Unsplash 上拍摄

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