REGMAR

Raytelligence announces fourth quarter and full year 2024 results

Period 1 October to 31 December

  • Operating income amounted to -772 382 SEK
  • Profit after tax amounted to -729 977 SEK
  • Earnings per share amounted to -0,038 SEK
  • Equity per share amounted to 0,13 SEK
  • Operating income amounted to -3 388 980 SEK
  • Profit after tax amounted to -3 349 127 SEK
  • Earnings per share amounted to -0,008 SEK
  • Equity per share amounted to 0,13 SEK

The Board of Directors proposes that no dividend be paid for the 2024 financial year.

  • Raytelligence announced that it has entered into a conditional agreement for a subsidiary to complete a reverse acquisition of High Speed Interconnects, LLC
  • Raytelligence was engaged as strategic advisor by Stemtech Corporation on reverse acquisitions.

Raytelligence AB's subsidiary Innowearable AB's subsidiary High Speed Interconnects International AB completed a reverse acquisition of High Speed Interconnects, LLC in January 2025. The acquisition was made through an offset issue of 90,000,000 new shares in High Speed Interconnects International AB, after which Raytelligence's subsidiary Innowearable holds ten per cent of all shares in the company.

Raytelligence's intention to allow its shareholders to become direct owners of High Speed Interconnects International AB remains. In order for a distribution of shares in the company to take place, Innowearable AB must have distributable funds, which it currently lacks. The management is considering several options, including other forms of transfer as well as strengthening its own balance sheet to enable a distribution.

HSI is a company headquartered in Arizona, USA, that extrudes and assembles high-performance coaxial cables that exceed today's signal integrity requirements.

On 31 December 2024, the total number of shares in the company was 4,285.

Interim report Q1 2025 2025-05-23

Interim Report Q2 2025 2025-08-22

Interim Report Q3 2025 2025-11-21

The Annual General Meeting is planned to be held in Stockholm on 21 May 2025. The annual report is planned to be available on the company's website on 21 April 2025.

The Company's financial statements are available on its website at the following link: https://www.raytelligence.com/financial-reports/

This information is information that Raytelligence AB (publ) is obliged to make public pursuant to the EU Market Abuse Regulation. The information was submitted for publication, through the agency of the contact person set out above, at 08:15 CET on 20 February 2025.

For further information, please contact:

Ben Hedenberg, CEO, Raytelligence AB

E-mail: [email protected] 

Phone: +46 (0)8-551 160 90

About Raytelligence

The company's key strategy is to identify and finalise a combination with a business in any of the following sectors biotechnology & pharmaceuticals, automotive, financial services, communications technology, food technology, cutting edge technologies and media sectors in Europe, America and Asia that can benefit from our management team's extensive experience and operational capability, although the company reserves the right to exercise an acquisition option in any company or industry.

Amounts in thousands kronor (TSEK)

2024-10-01

2023-10-01

2024-01-01

2023-01-01

 

2024-12-31

2023-12-31

2024-12-31

2023-12-31

Net Sales

204

43

774

334

Other operating income

446

-

460

49

Operating expenses

-1 423

-21 084

-4 623

-71 078

Adjusted operating expenses

-772

-20 261

-3 389

-69 915

Financial income/loss, net

42

7

40

-134

Profit/loss after tax

-730

-20 253

-3 349

-70 049

Earnings per share, SEK

0

0

0

0

Equity per share before dilution

0

0

0

0

Cash flow for the period

31

575

-585

-772

 

 

 

 

 

Total number of shares at end of period

17 952 245

571 613 684

17 952 245

571 613 684

Average No. of shares after dilution

17 952 245

311 977 396

423 301 188

64 662 527

Amounts in thousands kronor (TSEK)

2024-10-01

2023-10-01

2024-01-01

2023-01-01

 

2024-12-31

2023-12-31

2024-12-31

2023-12-31

 

 

 

 

 

Net sales

204

43

774

334

Capitalized development costs

-

780

-

780

Other operating income

446

-

460

49

 

650

823

1 234

1 163

 

 

 

 

 

Raw materials and consumables

-

-14

-441

-1 074

Other external expenses

-1 233

-893

-3 569

-7 663

Personnel costs

-79

-881

-447

-1 724

Amortization, depreciation and write-downs

-67

-19 061

-90

-60 175

Other operating expenses

-45

-235

-75

-443

Operating profit / loss

-772

-20 261

-3 389

-69 915

EBITDA

-706

-1 200

-3 299

-9 741

 

 

 

 

 

Interest and other financial income

-10

7

-10

8

Interest and other financial expenses

52

-

49

-142

Net financial income/loss

42

7

40

-134

Profit (loss) before income taxes

-730

-20 253

-3 349

-70 049

 

 

 

 

 

Tax

-

-

-

-

Net income (loss)

-730

-20 253

-3 349

-70 049

 

 

 

 

 

Earnings attributable to:

 

 

 

 

Shareholders of the Parent company

-687

-18 849

-3 306

-67 498

Non controlling interest

-43

-1 405

-43

-2 551

 

 

 

 

 

Earnings per share before dilution, SEK

-0,038

-0,060

-0,008

-1,044

Earnings per share, after dilution, SEK

-0,038

-0,060

-0,008

-1,044

 

 

ASSETS

 

 

Amounts in thousands kronor (TSEK)

2024-12-31

2023-12-31

 

 

 

Fixed Assets

 

 

Goodwill

-

-

Capitalized development costs

2 851

2 851

Financial assets

65

-

Total fixed assets

2 915

2 851

 

 

 

Current assets

 

 

Accounts receivables

574

-

Other receivables

238

219

Prepayments and accrued income

-

226

Total current assets

812

446

 

 

 

Cash and cash equivalents

304

889

 

 

 

TOTAL ASSETS

4 032

4 185

 

 

 

EQUITY AND LIABILITIES

 

 

Amounts in thousands kronor (TSEK)

2024-12-31

2023-12-31

 

 

 

 

 

 

Share capital

3 590

11 432

Other paid in capital

98 605

96 940

Retained earnings

-96 611

-39 359

Profit (loss) for the period

-3 306

-67 498

Equity holders of the parent company

2 279

1 516

 

 

 

Liabilities

 

 

Current liabilities

 

 

Current bank loan and other interest-bearing debts

11

1 736

Trade payables

651

191

Other current liabilities

338

19

Accrued expenses and prepaid income

753

724

Current liabilities

1 753

2 670

 

 

 

TOTAL EQUITY AND LIABILITIES

4 032

4 185

 

 

Attributed to owners of the parent

 

 

 

Share capital

Other paid in capital

Retained earnings

Total

Non controlling interest

Total equity

 

 

 

 

 

 

 

 

 

 

Equity 2024-01-01

11 432

96 940

-106 856

1 516

-

1 516

 

Profit/loss for the period

 

 

-3 306

-3 306

-43

-3 349

 

New shares issue

2 447

1 665

 

4 112

 

4 112

 

Reduction of share capital

-10 289

 

10 289

-

 

-

 

Transactions with non-controlling interest

 

 

-43

-43

43

-

 

Equity 2024-09-30

3 590

98 605

-99 917

2 279

-

2 279

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Equity 2024-10-01

3 317

98 870

-99 187

3 000

0

3 000

 

Profit/loss for the period

 

 

-687

-687

-43

-730

 

New shares issue

273 

-265

 

8

 

8

 

Transactions with non-controlling interest

 

 

-43

-43

43

-

 

Equity 2024-09-30

3 590

98 605

-99 917

2 279

-

2 279

 

 

 

 

 

 

 

 

 

2023

Attributed to owners of the parent

Non controlling interest

Total equity

 

 

 

 

 

 

 

 

Share capital

Other paid in capital

Retained earnings

Total

 

 

 

 

 

 

 

 

 

Equity 2023-01-01

10 509

98 087

-49 705

58 891

2 529

61 420

 

Profit/loss for the period

 

 

-67 498

-67 498

-2 551

-70 049

 

New shares issue

11 292

925

 

12 217

 

12 217

 

Reduction of share capital

-10 368

 

10 368

-

 

 

 

Share issue costs

 

-2 073

 

-2 073

 

-2 073

 

Transactions with non-controlling interest

 

 

-22

-22

22

-

 

Equity 2023-12-31

11 432

96 940

-106 856

1 516

0

1 516

 

 

 

 

 

 

 

 

 

Equity 2023-10-01

11 432

96 940

-87 986

20 386

1 383

21 769

 

Profit/loss for the period

 

 

-18 849

-18 849

-1 405

-20 253

 

Transactions with non controlling interest

 

 

 -22

-22

22

-

 

Equity 2023-12-31

11 432

96 940

-106 856

1 516

0

1 516

 

 

Amounts in thousands kronor (TSEK)

2024-10-01

2023-10-01

2024-01-01

2023-01-01

 

2024-12-31

2023-12-31

2024-12-31

2023-12-31

 

 

 

 

 

Cash flow from operating activities

 

 

 

 

Operating profit/loss

-772

-20 261

-3 389

-69 915

Adjustment for items not included in cash flow;

 

 

 

 

 - Depreciation and write-downs

67

19 061

90

60 175

 - Other items, not affecting cash

-443

1 114

-443

1 322

Interest received

-10

-41

-10

8

Interest paid

52

0

49

-142

Cash flow from operating activities before changes in working capital

-1 106

-127

-3 702

-8 553

 

 

 

 

 

Increase/decrease in inventory

-

-927

-

-

Increase/decrease in accounts receivables

-4

8

-574

8

Increase/decrease in other current receivables

946

-40

821

646

Increase/decrease in other current liabilities

167

-2 347

657

-2 347

Increase/decrease in accounts payable

422

2 228

2 649

3 019

 

 

 

 

 

Cash flow from operating activities

426

-1 205

-149

-7 227

 

 

 

 

 

Cash flow from Investing activities

 

 

 

 

Acquisition of subsidiaries, net of acquired cash and cash equivalents

-338

-

-372

-

Investments in intangible fixed assets

0

44

0

-780

Investments in financial assets

-65

-

-65

-

Cash flow from Investing activities

-403

44

-436

-780

 

 

 

 

 

Cash flow from Financing activities

 

 

 

 

New share issue, net after expenses

-

0

-

7 604

New share issue, expenses

8

0

-

-2 105

Borrowings

-

1 736

-

1 736

Cash flow from Financing activities

8

1 736

-

7 235

 

 

 

 

 

Cash flow for the period

31

575

-585

-772

 

 

 

 

 

Reconciliation of cash

 

 

 

 

Cash and cash equivalents at the beginning of the period

273

314

889

1 661

Cash and cash equivalents at the end of the period

304

889

304

889

 

 

 

 

 

Cash flow for the period

31

575

-585

-772

 

Amounts in thousands kronor (TSEK) if not other is specified

 

 

 

 

 

2024-10-01

2023-10-01

2024-01-01

2023-01-01

 

2024-12-31

2023-12-31

2024-12-31

2023-12-31

Profit

 

 

 

 

 

 

 

 

 

Net Sales

204

43

774

334

Other income

446

-

460

49

Operating income

-772

-20 261

-3 389

-69 915

Profit/loss after tax

-730

-20 253

-3 349

-70 049

 

 

 

 

 

Financial statement

 

 

 

 

Equity ratio (%)

56,5%

36,2%

56,5%

36,2%

Total assets

4 032

4 185

4 032

4 185

Equity

2 279

1 516

2 279

1 516

 

 

 

 

 

Per share

 

 

 

 

Total shares at the end of the period

17 952 245

571 613 684

17 952 245

571 613 684

Average shares during the period

17 952 245

311 977 396

423 301 188

64 662 527

Earnings per share, SEK

-0,038

-0,060

-0,008

-1,044

Equity per share before dilution*

0,13

0,00

0,13

0,00

 

 

 

 

 

 

2024-10-01

2023-10-01

2024-01-01

2023-01-01

Amounts in thousands kronor (TSEK)

2024-12-31

2023-12-31

2024-12-31

2023-12-31

 

 

 

 

 

Net sales

200

-

200

224

Other operating income

0

-

0

49

Capitalized development costs

-

-

-

780

 

200

-

200

1 053

 

 

 

 

 

Raw materials and consumables

-

-14

-18

-1 070

Other external expenses

-710

-807

-2 890

-7 403

Personnel costs

-79

-

-447

-1 125

Amortization, depreciation and write-downs

-

26

-

-25 113

Other operating expenses

-3

-

-28

-408

Operating profit / loss

-593

-795

-3 183

-34 065

 

 

 

 

 

Income and loss from shares in group companies

-

-200

-

-35 077

Interest and similar income

3

55

3

156

Interest and similar expenses

-

-

-1

-156

Net financial income/loss

3

-145

2

-35 076

Income after financial result

-589

-940

-3 181

-69 142

 

 

 

 

 

Tax

-

-

-

-

Profit / Loss for the year

-589

-940

-3 181

-69 142

 

Amount in thousand kronor (TSEK)

2024-12-31

2023-12-31

ASSETS

 

 

 

 

 

Other intangible assets

2 851

-

Other fixed assets

-

-

Shares in group companies

882

882

Total fixed assets

3 732

882

 

 

 

Current assets

 

 

Receivables group companies

11

2 013

Other current debts

56

197

Prepayments and accrued income

119

192

Total current assets

186

2 402

 

 

 

Cash and bank balances

290

863

 

 

 

TOTAL ASSETS

4 208

4 146

 

 

 

Amount in thousand kronor (TSEK)

2024-12-31

2023-12-31

EQUITY AND LIABILITIES

 

 

 

 

 

Restricted equity

 

 

Share capital

3 590

11 432

Unrestricted equity

 

 

Share premium reserve

98 605

96 940

Retained earnings

-96 288

-37 435

Profit (loss) for the period

-3 181

-69 142

 

-864

-9 637

Total equity

2 726

1 795

 

-

-

 

 

 

Current liabilities

 

 

Liabilities to credit institutions

11

-

Trade payables

462

112

Non-current liabilities to group companies

47

-

Other current liabilities

272

1 736

Accrued expenses and prepaid income

690

503

Total current liabilities

1 482

2 351

 

 

 

TOTAL EQUITY AND LIABILITIES

4 208

4 146

 

 

 

 

 

 

 

 

 

 

Amount in thousand kronor (TSEK)

2024-12-31

2023-12-31

 

 

 

Opening equity

1 795

60 792

Net income for the period

-3 181

-69 142

New share issue

4 112

12 249

New share issue expenses

-

-2 105

Closing equity

2 726

1 795

 

 


Om Raytelligence

Företagets nyckelstrategi är att identifiera och slutföra en kombination med en verksamhet inom någon av följande sektorer fordonsindustri, finansiella tjänster, livsmedelsteknik, hälsovård, spjutspetsteknologi och mediasektorer i Europa och Asien som kan dra nytta av vår ledningsgrupps omfattande erfarenhet och operativ förmåga, även om företaget förbehåller sig rätten att utöva en förvärvsmöjlighet i alla företag eller branscher.

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