THIRD QUARTER 2014 FINANCIAL HIGHLIGHTS
(in millions of U.S. dollars)
Three months Nine months
ended Sept. 30, ended Sept. 30,
2014 2013 2014 2013
Growth
Revenue
Telecom backup power $6.3 $3.9 $12.9 $14.6
Material handling $3.6 $2.1 $10.2 $4.5
Development-stage markets $2.5 $4.5 $6.0 $10.0
Engineering services $8.2 $6.5 $24.0 $14.9
Total revenue $20.6 $17.0 $53.1 $43.9
12-month rolling order book $43.0 $43.3
Profitability
Gross margin 25% 28% 25% 25%
Cash operating costs(1) $5.6 $6.6 $18.6 $21.8
Adjusted EBITDA(1) $0.5 ($0.9) ($2.6) ($8.4)
Net income (loss) ($2.4) ($4.6) ($10.7) ($17.7)
Earnings per share ($0.02) ($0.05) ($0.8) ($0.18)
Normalized net (loss)(1) ($2.4) ($4.6) ($10.6) ($16.2)
Normalized net (loss) per share(1) ($0.02) ($0.05) ($0.8) ($0.17)
Cash
Cash used by operating activities
Cash operating income (loss) ($0.4) ($2.3) ($4.9) ($11.7)
Working capital changes ($2.5) ($2.5) ($7.5) ($4.8)
Cash used by operating activities ($2.9) ($4.8) ($12.5) ($16.5)
Cash reserves $32.7 $20.4
Cash reserves, net of operating line $32.7 $17.7
Quelle:
www.stockwatch.com/News/Item.aspx?bid=Z-C:BLD-2221716
(in millions of U.S. dollars)
Three months Nine months
ended Sept. 30, ended Sept. 30,
2014 2013 2014 2013
Growth
Revenue
Telecom backup power $6.3 $3.9 $12.9 $14.6
Material handling $3.6 $2.1 $10.2 $4.5
Development-stage markets $2.5 $4.5 $6.0 $10.0
Engineering services $8.2 $6.5 $24.0 $14.9
Total revenue $20.6 $17.0 $53.1 $43.9
12-month rolling order book $43.0 $43.3
Profitability
Gross margin 25% 28% 25% 25%
Cash operating costs(1) $5.6 $6.6 $18.6 $21.8
Adjusted EBITDA(1) $0.5 ($0.9) ($2.6) ($8.4)
Net income (loss) ($2.4) ($4.6) ($10.7) ($17.7)
Earnings per share ($0.02) ($0.05) ($0.8) ($0.18)
Normalized net (loss)(1) ($2.4) ($4.6) ($10.6) ($16.2)
Normalized net (loss) per share(1) ($0.02) ($0.05) ($0.8) ($0.17)
Cash
Cash used by operating activities
Cash operating income (loss) ($0.4) ($2.3) ($4.9) ($11.7)
Working capital changes ($2.5) ($2.5) ($7.5) ($4.8)
Cash used by operating activities ($2.9) ($4.8) ($12.5) ($16.5)
Cash reserves $32.7 $20.4
Cash reserves, net of operating line $32.7 $17.7
Quelle:
www.stockwatch.com/News/Item.aspx?bid=Z-C:BLD-2221716
