loss -- -- 734,143 -- Investment loss, net -- 333,867 -- 573,357 Interest (income) expense, net (14,634) 19,696 (39,188) 41,553 Other, net 2,526 (1,544) (26,531) -- ----------- ---------- ----------- ----------- Other expense 4,218,199 352,019 8,907,088 614,910 Net loss from continuing operations (13,334,618) (5,244,299) (25,750,994) (10,838,594) Loss from discontinued operations -- (599,511) -- (842,084) ----------- ---------- ----------- ----------- Net loss $(13,334,618) $(5,843,810) $(25,750,994) $(11,680,678) Loss per share - basic and diluted $ (0.18) $ (0.11) $ (0.34) $ (0.21) =========== ========== =========== =========== Weighted average shares outstanding - basic and diluted 76,184,777 55,606,336 75,342,629 55,270,838 =========== ========== =========== =========== Condensed Consolidated Statements of Cash Flows Six months ended October 31, -------------------------- 2024 2023 Cash Flows from Operating Activities Net loss from continuing operations $(25,750,994) $(10,838,594) Non-cash expenses 12,662,208 3,411,397 Changes in operating assets and liabilities 601,073 (3,813,162) ----------- ----------- Net cash used in operating activities (12,487,713) (11,240,359) Cash Flows from Investing Activities Proceeds from sale of equity method investment and note receivable 4,400,000 -- Proceeds from sale of marketable securities -- 10,205,501 Other (123,793) (139,860) ----------- ----------- Net cash provided by investing activities 4,276,207 10,065,641 Cash Flows from Financing Activities Proceeds from issuance of convertible notes payable, net 7,681,000 -- Payments of debt obligations, net (394,606) (279,126) Payments related to employee equity transactions (530,965) (16,292) Proceeds from issuance of common stock through ATM facility, net -- 9,212 Net cash used in financing activities 6,755,429 (286,206) ----------- ----------- Net cash used in discontinued operations -- (384,094) ----------- ----------- Net decrease in Cash (1,456,077) (1,845,018) Cash, beginning of period 6,067,169 3,260,305 ----------- ----------- Cash, end of period 4,611,092 1,415,287 Less: Cash of discontinued operations -- (6,310) ----------- ----------- Cash of continuing operations, end of period 4,611,092 1,408,977 Marketable securities -- 2,615,289 ----------- ----------- Cash of continuing operations and marketable securities $ 4,611,092 $ 4,030,576 =========== ===========
(END) Dow Jones Newswires
December 16, 2024 16:10 ET (21:10 GMT)
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