Press Release: Edesa Biotech Reports Fiscal 1st Quarter 2025 Results

Dow Jones
02-15

investors@edesabiotech.com

 
       Condensed Interim Consolidated Statements of Operations 
                             (Unaudited) 
 
                                       Three Months Ended 
                             --------------------------------------- 
                              December 31, 2024    December 31,2023 
                             -------------------  ------------------ 
 
Expenses: 
  Research and development            1,019,818             704,458 
  General and 
   administrative                       878,871           1,152,971 
                                 --------------       ------------- 
 
Loss from operations                 (1,898,689)         (1,857,429) 
 
Other Income (Loss): 
  Reimbursement grant 
   income                               301,195             120,834 
  Other income (loss)                   (19,759)             58,144 
                                 --------------       ------------- 
 
Net loss                             (1,617,253)         (1,678,451) 
 
Exchange differences on 
 translation                             18,656                (572) 
                                 --------------       ------------- 
 
Net comprehensive loss        $      (1,598,597)   $     (1,679,023) 
                                 ==============       ============= 
 
Weighted average number of 
 common shares                        3,345,135           3,128,024 
 
Loss per common share - 
 basic and diluted            $           (0.48)   $          (0.54) 
                                 --------------       ------------- 
 
 
 
             Condensed Interim Consolidated Balance Sheets 
                              (Unaudited) 
 
                                December 31, 2024    September 30, 2024 
                               -------------------  -------------------- 
 
Assets: 
 Cash and cash equivalents      $        1,563,502   $         1,037,320 
 Other current assets                      508,426               638,302 
 Non-current assets                      2,092,253             2,138,360 
                                   ---------------      ---------------- 
 
 Total Assets                   $        4,164,181   $         3,813,982 
                                   ===============      ================ 
 
Liabilities and shareholders' 
equity: 
 Current liabilities            $        1,900,219   $         1,832,827 
 Shareholders' equity                    2,263,962             1,981,155 
                                   ---------------      ---------------- 
 
 Total liabilities and 
  shareholders' equity          $        4,164,181   $         3,813,982 
                                   ===============      ================ 
 
 
         Condensed Interim Consolidated Statements of Cash 
                                Flows 
                            (Unaudited) 
 
                                       Three Months Ended 
                             --------------------------------------- 
                              December 31, 2024    December 31,2023 
                             -------------------  ------------------ 
 
Cash flows from operating 
activities: 
  Net loss                    $      (1,617,253)   $     (1,678,451) 
  Adjustments for non-cash 
   items                                124,292             229,388 
  Change in working capital 
   items                                (24,242)             42,535 
                                 --------------       ------------- 
 
Net cash used in operating 
 activities                          (1,517,203)         (1,406,528) 
 
Net cash provided by 
 financing activities                 2,071,545             305,742 
 
Effect of exchange rate 
 changes on cash and cash 
 equivalents                            (28,160)              7,176 
                                 --------------       ------------- 
 
Net change in cash and cash 
 equivalents                            526,182          (1,093,610) 
Cash and cash equivalents, 
 beginning of period                  1,037,320           5,361,397 
                                 --------------       ------------- 
 
Cash and cash equivalents, 
 end of period                $       1,563,502    $      4,267,787 
                                 ==============       ============= 
 

(END) Dow Jones Newswires

February 14, 2025 16:15 ET (21:15 GMT)

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