Sigma Additive Solutions Reports Second Quarter 2022 Financial Results

Sigma Labs, Inc.
Condensed Statements of Cash Flows
(Unaudited)

 

Six Months Ended

 

June 30, 2022

June 30, 2021

OPERATING ACTIVITIES

       

Net Loss

 

$(4,454,565)

 

$(2,496,207)

Adjustments to reconcile Net Loss to Net Cash used in operating activities:

       

Noncash Expenses:

       

Depreciation and Amortization

 

61,445

 

48,814

Gain on Derivative Liability

 

-

 

(1,092,441)

Stock Based Compensation - Employees

 

338,415

 

233,919

Stock Based Compensation - Third Party Services

 

23,490

 

55,937

Stock Based Compensation - Directors

 

43,442

 

122,274

Change in assets and liabilities:

       

Accounts Receivable

 

120,434

 

(57,888)

Inventory

 

(73,586)

 

(187,348)

Prepaid Assets

 

(17,197)

 

(51,591)

Accounts Payable

 

33,958

 

186,831

Deferred Revenue

 

(18,151)

 

(14,388)

Accrued Expenses

 

(372,188)

 

(14,531)

NET CASH USED IN OPERATING ACTIVITIES

 

(4,314,503)

 

(3,266,620)

         

INVESTING ACTIVITIES

       

Purchase of Property and Equipment

 

(83,848)

 

(52,931)

Purchase of Intangible Assets

 

(115,197)

 

(55,090)

NET CASH USED IN INVESTING ACTIVITIES

 

(199,045)

 

(108,021)

         

FINANCING ACTIVITIES

       
         

Gross Proceeds from Public and Private Issuances of Securities

 

-

 

14,869,899

Less Offering Costs

 

-

 

(1,600,967)

Proceeds from Exercise of Warrants

 

-

 

1,136,010

NET CASH PROVIDED BY FINANCING ACTIVITIES

 

-

 

14,404,942

         

NET CHANGE IN CASH FOR PERIOD

 

(4,513,548)

 

11,030,301

         

CASH AT BEGINNING OF PERIOD

 

11,447,047

 

3,700,814

         

CASH AT END OF PERIOD

 

$6,933,499

 

$14,731,115

         

Supplemental Disclosures:

       

Noncash investing and financing activities disclosure:

       

Issuance of Common Shares for Preferred Dividends

 

-

 

$75,108

Other noncash operating activities disclosure:

       

Issuance of Securities for services

 

$66,932

 

$178,209

Disclosure of cash paid for:

       

Interest

 

$3,389

 

$3,382

Income Taxes

 

$-

 

$-



« Previous Page 1 | 2 | 3 | 4             



© 2024 Internet Business Systems, Inc.
670 Aberdeen Way, Milpitas, CA 95035
+1 (408) 882-6554 — Contact Us
ShareCG™ is a trademark of Internet Business Systems, Inc.

Report a Bug Report Abuse Make a Suggestion About Privacy Policy Contact Us User Agreement Advertise