Total shareholders' equity 10,060 12,163 ---------------- ------------- TOTAL LIABILITIES AND SHAREHOLDERS' EQUITY 15,278 16,410 ================ ============= ICECURE MEDICAL LTD. CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS (Unaudited) Nine Months ended September 30, --------------------------- 2024 2023 ------------- ------------ U.S. dollars in thousands (except per share data) --------------------------- Revenues 2,416 1,974 Cost of revenues 1,382 1,243 ------------ ------------ Gross profit 1,034 731 ------------ ------------ Research and development expenses 5,401 6,390 Sales and marketing expenses 4,041 3,234 General and administrative expenses 2,763 3,268 ------------ ------------ Operating loss 11,171 12,161 Finance income, net (332) $(504.SI)$ ------------ ------------ Net loss and comprehensive loss 10,839 11,657 Basic and diluted net loss per share 0.22 0.26 ============ ============ Weighted average number of shares outstanding used in computing basic and diluted loss per share 49,167,379 45,626,332 ============ ============ ICECURE MEDICAL LTD. CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS (Unaudited) Nine Months ended September 30, -------------------- 2024 2023 ---------- -------- U.S. dollars in thousands -------------------- Cash flows from operating activities Net loss (10,839) (11,657) Adjustments to reconcile net loss to net cash used in operating activities: Depreciation 250 240 Share-based compensation 650 1,007 Exchange rate changes in cash and cash equivalents and short time deposits 33 203 Non-cash short-term deposits interest - (369) Changes in assets and liabilities: Increase in trade receivables (37) (30) Decrease in prepaid expenses and other receivables 197 334 Decrease in inventory 294 211 Decrease in prepaid expenses and other long-term assets - 1 Decrease in right of use assets 202 118 Increase in trade payables 747 415 Decrease in lease liabilities (202) (169) Increase (decrease) in employees and other current liabilities 337 (550) --------- -------- Net cash used in operating activities (8,368) (10,246) Cash flows from investing activities Investment in short-term deposits (1,373) (17,700) Withdrawal of short-term deposits 1,902 8,700 Investment in restricted long-term deposits (10) - Purchase of property and equipment (66) (399) --------- -------- Net cash provided by (used in) investing activities 453 (9,399) Cash flows from financing activities: Exercise of options - 15 Issuance of ordinary shares, net of issuance costs 8,086 - --------- -------- Net cash provided by financing activities 8,086 15 Increase (decrease) in cash and cash equivalents 171 (19,630) Cash and cash equivalents at beginning of the year 10,533 23,659 Effect of exchange rate fluctuations on balances of cash and cash equivalents (33) (203) --------- -------- Cash and cash equivalents at end of period 10,671 3,826 ========= ======== Non-cash activities Obtaining a right-of-use asset in exchange for a lease liability 89 172 ========= ======== APPENDIX A ---------------------------------------------------------------------- NON-GAAP RECONCILIATIONS (Unaudited) ---------------------------------------------------------------------- Nine Months ended September 30, --------------------- U.S. dollars in thousands 2024 2023 ---------------------------------------------- ----------- -------- GAAP gross profit $ 1,034 $ 731 ------- ------- Revenue from Exclusive Distribution Agreement (100) (274) ------- ------- Non-GAAP gross profit $ 934 $ 457 ------- ------- Sales of systems and disposables 2,316 1,700 ------- ------- Non-GAAP gross profit $ 934 $ 457 ------- ------- Non-GAAP gross margin % 40 % 27 % ------- -------
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SOURCE IceCure Medical
(END) Dow Jones Newswires
November 26, 2024 08:30 ET (13:30 GMT)
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