Lite Strategy Inc
0JW9.L
$1.855 -0.19%
Exchange: LSE | Sector: Healthcare | Industry: Medical Pharmaceuticals
Q3 2024
Published: May 9, 2024

Earnings Highlights

  • EPS of $-1.37 increased by 41% from previous year
  • Net income of -9.13M
  • "N/A" - N/A

Lite Strategy Inc (0JW9.L) QQ3 2024 Earnings Analysis: Clinical-Stage Pharma with Strong Liquidity but Substantial R&D burn

Executive Summary

Lite Strategy Inc reported QQ3 2024 ended 2024-03-31 with no reported revenue and a material operating loss driven by ongoing R&D and SG&A spend. Despite the lack of revenue, the company posted a modestly improved operating result versus prior periods as reflected in the YoY and QoQ metrics that show margin stabilization features within an aggressive early-stage development cycle. Net loss and EPS remained negative at -$9.13 million and -$1.37 respectively, underscoring a typical cash-burn profile for a clinical-stage biotech in pursuit of ME344 and related pipeline opportunities. A key positive in the quarter is the balance sheet and liquidity: cash and short-term investments totaled roughly $56.6 million against total debt of about $11.7 million, yielding a net debt position that reflects substantial liquidity for ongoing R&D and potential near-term partnering discussions. The companyโ€™s current ratio of 6.17 indicates robust short-term liquidity, though the lack of revenue and ongoing burn imply continued reliance on financing or non-dilutive monetization to extend runway. Looking ahead, the main value drivers remain: (1) successful progression of ME344 and any clinical milestones, (2) potential licensing/partnerships or non-dilutive financing, and (3) managementโ€™s ability to manage spend while pursuing meaningful data readouts. In the absence of formal forward guidance in the data, investors should monitor clinical timelines, data readouts, and any strategic announcements that could unlock value or require additional capital infusions.

Key Performance Indicators

Operating Income

-9.83M
QoQ: 17.61% | YoY:40.03%

Net Income

-9.13M
QoQ: 17.45% | YoY:40.87%

EPS

-1.37
QoQ: 17.47% | YoY:40.95%

Revenue Trend

Margin Analysis

Key Insights

  • R&D expenses: $5.22 million; SG&A (general + selling): $4.609 million; Selling and SG&A combined: $4.523 million (net of any offset impacts).
  • Operating expenses: $9.743 million; EBIT/operating income: -$9.829 million.
  • Other income/(expenses), net: +$0.702 million; Income before tax: -$9.127 million; Net income: -$9.13 million; EPS: -$1.37; Weighted average shares outstanding: 6.66 million.
  • YoY/QoQ metric context (where provided): Gross profit yoy -101.58%; gross margin qoq -1.18%; Operating income yoy +40.03%; operating income qoq +17.61%; Net income yoy +40.87%; net income qoq +17.45%; EPS yoy +40.95%; EPS qoq +17.47%.
  • Net cash from operating activities: -$2.928 million; Cash flow from investing activities: net cash used for investing activities $-0.122 million (net of purchases/sales of investments); Net change in cash: -$2.806 million; Cash at end of period: $2.368 million; Cash at beginning: $5.174 million; Free cash flow: -$2.928 million.

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q3 2025 0.00 -0.39 +0.0% View
Q2 2025 0.00 -0.40 +0.0% View
Q1 2025 0.00 -1.20 +0.0% View
Q4 2024 0.00 -2.76 +0.0% View
Q3 2024 0.00 -1.37 +0.0% View