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)
免责声明:投资有风险,本文并非投资建议,以上内容不应被视为任何金融产品的购买或出售要约、建议或邀请,作者或其他用户的任何相关讨论、评论或帖子也不应被视为此类内容。本文仅供一般参考,不考虑您的个人投资目标、财务状况或需求。TTM对信息的准确性和完整性不承担任何责任或保证,投资者应自行研究并在投资前寻求专业建议。