Press Release: Charlotte's Web Reports 2024 Third quarter Financial Results

Dow Jones11-14
  instruments                             1,422                        (4,024)                            702                          5,588 
 Other income 
  (expense), 
  net                                   (1,189)                            841                          $(584.SI)$                        (1,234) 
                  -----------------------------  -----------------------------  -----------------------------  ----------------------------- 
Loss before 
 provision for 
 income taxes                           (5,787)                       (15,143)                       (26,416)                       (15,211) 
 Income tax 
 expense                                     --                             --                           (62)                             -- 
                  -----------------------------  -----------------------------  -----------------------------  ----------------------------- 
Net loss            $                   (5,787)     $                 (15,143)     $                 (26,478)     $                 (15,211) 
                  =============================  =============================  =============================  ============================= 
 
Per common share 
amounts 
 Net loss per 
  common share, 
  basic and 
  diluted         $                      (0.04)  $                      (0.10)  $                      (0.17)  $                      (0.10) 
 
 
                                                                    CHARLOTTE'S WEB HOLDINGS, INC. 
 
                                                           CONSOLIDATED STATEMENTS OF SHAREHOLDERS' EQUITY 
                                                         (in thousands of U.S. dollars, except share amounts) 
 
                                          Common Shares 
                         -----------------------------------------------  -----------------------------  -----------------------------  ------------------------------ 
                                                                                    Additional                                                       Total 
                                                                                      Paid-in                                                    Shareholders' 
                           Shares                   Amount                            Capital                 Accumulated Deficit                    Equity 
                         -----------  ----------------------------------  -----------------------------  -----------------------------  ------------------------------ 
Balance--December 31, 
 2023                    154,332,366  $                                1  $                     327,280  $                   (271,723)  $                       55,558 
 Common shares issued 
  upon vesting of 
  restricted share 
  units, net of 
  withholding              2,895,489                                  --                           (98)                             --                            (98) 
 Share-based 
  compensation                    --                                  --                            842                             --                             842 
 Net income (loss)                                                    --                                                       (9,634)                         (9,634) 
                         -----------  ----------------------------------  -----------------------------  -----------------------------  ------------------------------ 
Balance-- March 31, 
 2024                    157,227,855  $                                1  $                     328,024  $                   (281,357)  $                       46,668 
 Common shares issued 
  upon vesting of 
  restricted share 
  units, net of 
  withholding                267,187                                  --                           (20)                             --                            (20) 
 Share-based 
  compensation                    --                                  --                            237                             --                             237 
 Net income (loss)                --                                  --                             --                       (11,057)                        (11,057) 
                         -----------  ----------------------------------  -----------------------------  -----------------------------  ------------------------------ 
Balance--June 30, 2024   157,495,042  $                                1  $                     328,241  $                   (292,414)  $                       35,828 
 Common shares issued 
  upon vesting of 
  restricted share 
  units, net of 
  withholding                267,187                                  --                           (15)                             --                            (15) 
 Share-based 
  compensation                    --                                  --                            217                             --                             217 
 Net income (loss)                --                                  --                             --                        (5,787)                         (5,787) 
                         -----------  ----------------------------------  -----------------------------  -----------------------------  ------------------------------ 
Balance--September 30, 
 2024                    157,762,229  $                                1  $                     328,443  $                   (298,201)  $                       30,243 
                         ===========  ==================================  =============================  =============================  ============================== 
 
Balance--December 31, 
 2022                    152,135,026  $                                1  $                     325,431  $                   (247,927)  $                       77,505 
 Common shares issued 
  upon vesting of 
  restricted share 
  units, net of 
  withholding                297,888                                  --                           (69)                             --                            (69) 
 Share-based 
  compensation                    --                                  --                            375                             --                             375 
 Net income (loss)                --                                  --                             --                        (2,912)                         (2,912) 
                         -----------  ----------------------------------  -----------------------------  -----------------------------  ------------------------------ 
Balance--March 31, 2023  152,432,914  $                                1  $                     325,737  $                   (250,839)  $                       74,899 
 Common shares issued 
  upon vesting of 
  restricted share 
  units, net of 
  withholding                392,204                                  --                            (6)                             --                             (6) 
 Share-based 
  compensation                    --                                  --                            624                             --                             624 
 Net income (loss)                --                                  --                             --                          2,844                           2,844 
                         -----------  ----------------------------------  -----------------------------  -----------------------------  ------------------------------ 
Balance--June 30, 2023   152,825,118  $                                1  $                     326,355  $                   (247,995)  $                       78,361 
 Common shares issued 
  upon vesting of 
  restricted share 
  units, net of 
  withholding                954,738                                  --                          (127)                             --                           (127) 
 Share-based 
  compensation                    --                                  --                            647                             --                             647 
 Net income (loss)                --                                  --                             --                       (15,143)                        (15,143) 
                         -----------  ----------------------------------  -----------------------------  -----------------------------  ------------------------------ 
Balance--September 30, 
 2023                    153,779,856  $                                1  $                     326,875  $                   (263,138)  $                       63,738 
                         ===========  ==================================  =============================  =============================  ============================== 
 
 
                             CHARLOTTE'S WEB HOLDINGS, INC. 
                    CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS 
                             (in thousands of U.S. dollars) 
 
                                        Nine Months Ended September 30, 
                                                   (unaudited) 
                        ---------------------------------------------------------------- 
                                     2024                             2023 
                        -------------------------------  ------------------------------- 
Cash flows from 
operating activities: 
Net loss                $                      (26,478)  $                      (15,211) 
Adjustments to 
reconcile net loss to 
net cash used in 
operating activities: 
   Depreciation and 
    amortization                                  7,505                           11,509 
   Inventory provision                            3,926                              730 
   Convertible 
    debenture and 
    other accrued 
    interest                                      2,836                            2,916 
   Share-based 

(MORE TO FOLLOW) Dow Jones Newswires

November 14, 2024 07:07 ET (12:07 GMT)

Disclaimer: Investing carries risk. This is not financial advice. The above content should not be regarded as an offer, recommendation, or solicitation on acquiring or disposing of any financial products, any associated discussions, comments, or posts by author or other users should not be considered as such either. It is solely for general information purpose only, which does not consider your own investment objectives, financial situations or needs. TTM assumes no responsibility or warranty for the accuracy and completeness of the information, investors should do their own research and may seek professional advice before investing.

Comments

We need your insight to fill this gap
Leave a comment