Press Release: Synergy CHC Reports its Seventh Consecutive Quarter of Profitability and its Third Quarter 2024 Financial Results

Dow Jones
2024-12-06
     Total Current Liabilities            18,248,970     14,021,882 
                                         ===========    =========== 
 
Long-term Liabilities: 
   Note payable, net of debt 
    discount and debt issuance 
    cost, related party                    9,333,053     12,426,997 
   Notes payable                           9,757,022     13,096,610 
                                         -----------    ----------- 
     Total Long-term Liabilities          19,090,075     25,523,607 
                                         -----------    ----------- 
      Total Liabilities                   37,339,045     39,545,489 
                                         -----------    ----------- 
 
Commitments and contingencies 
 
Stockholders' Deficit: 
   Common stock, $0.00001 par 
    value; 300,000,000 shares 
    authorized; 7,553,818 shares 
    issued and outstanding                        76             76 
   Additional paid in capital             19,157,931     19,148,707 
   Accumulated other comprehensive 
    income (loss)                              5,881       (102,467) 
   Accumulated deficit                   (44,332,980)   (46,352,289) 
                                         -----------    ----------- 
     Total stockholders' deficit         (25,169,092)   (27,305,973) 
                                         -----------    ----------- 
Total Liabilities and Stockholders' 
 Deficit                              $   12,169,953   $ 12,239,516 
                                         ===========    =========== 
 
 
 
                             Synergy CHC Corp. 
            Unaudited Condensed Consolidated Statements of Income 
 
                       For the three months 
                              ended             For the nine months ended 
                     ------------------------   ------------------------- 
                     September     September     September     September 
                      30, 2024     30, 2023      30, 2024      30, 2023 
                     ----------   -----------   -----------   ----------- 
Revenue              $7,126,333   $10,805,735   $24,563,036   $29,559,440 
Cost of sales         2,335,901     3,028,023     7,421,930     8,351,645 
                      ---------    ----------    ----------    ---------- 
   Gross profit       4,790,432     7,777,712    17,141,106    21,207,795 
 
Operating expenses 
   Selling and 
    marketing         2,509,440     4,302,034     9,149,303    10,533,217 
   General and 
    administrative    1,196,784     1,326,864     3,449,007     4,294,634 
   Depreciation and 
    amortization         33,333             -       100,000             - 
                      ---------    ----------    ----------    ---------- 
     Total 
      operating 
      expenses        3,739,557     5,628,898    12,698,310    14,827,851 
 
Income from 
 operations           1,050,875     2,148,814     4,442,796     6,379,944 
 
Other (income) 
expenses 
   Other income        (252,405)            -      (252,405)            - 
   Interest 
    expense, net        704,707       885,548     2,559,454     2,605,320 
   Remeasurement 
    (gain) loss on 
    translation of 
    foreign 
    subsidiary            7,279        (7,555)        2,166       (11,716) 
                      ---------    ----------    ----------    ---------- 
 
Total other 
 expenses               459,581       877,993     2,309,215     2,593,604 
                      ---------    ----------    ----------    ---------- 
 
Net income before 
 income taxes           591,294     1,270,821     2,133,581     3,786,340 
Income tax benefit 
 (expense)              192,299        13,366      (114,272)      (38,896) 
Net income after 
 tax                 $  783,593   $ 1,284,187   $ 2,019,309   $ 3,747,444 
                      ---------    ----------    ----------    ---------- 
 
Net income per 
 share -- basic      $     0.10   $      0.17   $      0.27   $      0.50 
   Net income per 
    share -- 
    diluted          $     0.10   $      0.17   $      0.27   $      0.50 
 
   Weighted 
   average common 
   shares 
   outstanding 
   Basic              7,553,818     7,553,818     7,553,818     7,553,818 
   Diluted            7,553,818     7,553,818     7,553,818     7,553,818 
                      =========    ==========    ==========    ========== 
 
 
 
                           Synergy CHC Corp. 
           Unaudited Condensed Consolidated Statements of Cash 
                                  Flows 
 
                         For the nine months     For the nine months 
                                ended                   ended 
                         September 30, 2024      September 30, 2023 
                        ---------------------   --------------------- 
  Cash Flows from 
  Operating 
  Activities 
  Net income             $          2,019,309    $          3,747,444 
  Adjustments to 
  reconcile net 
  income to net cash 
  used in operating 
  activities: 
  Amortization of debt 
   issuance cost                       47,519                  37,838 
  Depreciation and 
   amortization                       100,000                       - 
  Stock based 
   compensation 
   expense                              9,224                       - 
  Foreign currency 
   transaction loss                    23,777                  16,146 
  Remeasurement loss 
   on translation of 
   foreign subsidiary                   2,166                 (11,716) 
  Non cash implied 
   interest                             4,799                  21,994 
  Changes in 
  operating assets 
  and liabilities: 
  Accounts receivable              (1,965,936)                102,649 
  Loan receivable, 
   related party                       21,269                 118,192 
  Inventory                         1,815,725               3,829,729 
  Prepaid expenses                   (205,975)             (1,029,858) 
  Prepaid expense, 
   related party                     (396,683)               (143,106) 
  Income taxes 
   receivable                               -                   5,381 
  Income taxes payable                 68,607                       - 
  Contract liabilities                (12,102)                  3,434 
  Accounts payable and 
   accrued 
   liabilities                     (3,011,384)             (9,335,734) 
  Accounts payable, 
   related party                      102,206                (100,242) 
                            -----------------       ----------------- 
  Net cash used in 
   operating 
   activities                      (1,377,479)             (2,737,849) 
 
  Cash Flows from 
  Investing 
  Activities                                -                       - 
 
  Cash Flows from 
  Financing 
  Activities 
  Advances from 
   related party                    3,395,587               1,000,000 
  Repayment of 
   advances from 
   related party                     (157,425)                      - 
  Repayment of notes 
   payable, related 
   party                              (84,500)                (73,500) 
  Proceeds from notes 
   payable                            600,000                 360,000 
  Repayment of notes 
   payable                         (2,857,690)               (733,010) 
                            -----------------       ----------------- 
  Net cash provided by 
   financing 
   activities                         895,972                 553,490 
 
  Effect of exchange 
   rate on cash, cash 
   equivalents and 
   restricted cash                    108,348                  (4,257) 
  Net decrease in 
   cash, cash 
   equivalents and 
   restricted cash                   (373,159)             (2,188,616) 
 
  Cash and restricted 
   cash, beginning of 
   year                               732,534               2,526,443 
                            -----------------       ----------------- 
  Cash and restricted 
   cash, end of 
   period                $            359,375    $            337,827 
                            -----------------       ----------------- 
 
  Supplemental 
  Disclosure of Cash 
  Flow Information: 
  Cash paid during 
  the period for: 
  Interest               $          2,432,653    $          2,584,604 
                            -----------------       ----------------- 
  Income taxes           $             45,664    $                  - 
                            -----------------       ----------------- 
 
  Supplemental 
  Disclosure of 
  Noncash Investing 
  and Financing 
  Activities: 
  Accounts payable 
   converted to loan 
   payable upon 
   settlement            $          3,770,824    $                  - 
                            -----------------       ----------------- 
  Reduction of short 
   term related party 
   note payable by 
   reduction of 
   prepaid balance       $            328,003    $                  - 
                            -----------------       --------- 

(MORE TO FOLLOW) Dow Jones Newswires

December 06, 2024 08:00 ET (13:00 GMT)

免責聲明:投資有風險,本文並非投資建議,以上內容不應被視為任何金融產品的購買或出售要約、建議或邀請,作者或其他用戶的任何相關討論、評論或帖子也不應被視為此類內容。本文僅供一般參考,不考慮您的個人投資目標、財務狀況或需求。TTM對信息的準確性和完整性不承擔任何責任或保證,投資者應自行研究並在投資前尋求專業建議。

熱議股票

  1. 1
     
     
     
     
  2. 2
     
     
     
     
  3. 3
     
     
     
     
  4. 4
     
     
     
     
  5. 5
     
     
     
     
  6. 6
     
     
     
     
  7. 7
     
     
     
     
  8. 8
     
     
     
     
  9. 9
     
     
     
     
  10. 10