Sector: Technology | Industry: IT Services & Consulting |
Company Contact | |
Address: | 3899 Autoroute des Laurentides; Suite 203 LAVAL QC H7L 3H7 |
Tel: | N/A |
Website: | https://www.urbanimmersive.com |
IR: | See website |
Key People | ||
M. Simon Bedard Chairman of the Board, Interim Chief Executive Officer, Chief Financial Officer |
Business Overview |
Urbanimmersive Inc. is a Canada-based company, which develops and markets real estate photography technologies and services. The Company is engaged in developing and commercializing immersive, which is a software as a service (SaaS) platform offering immersive marketing solutions, three-dimensional (3D) photographic equipment and photography services to professional photographers. Its segments include Software, Photographic Equipment and Services. The Software segment offers a SaaS marketing platform to professional photographers and other immersive visual content providers. The Photographic Equipment segment offers a resale service of 3D photographic equipment. The Service segment offers real estate photography and floor plans and measurement services. Its products and services include Print, Visual Media, Property Website, Floor Plan + and 3D Tour & Floor Plan. Through its HomeVisit printing facilities, it provides print solutions for real estate agents. |
Financial Overview |
For the nine months ended 30 June 2023, Urbanimmersive Inc revenues increased 37% to C$8.2M. Net loss increased from C$1.9M to C$4.6M. Revenues reflect Services segment increase of 61% to C$7M. Higher net loss reflects Operating expenses increase of 64% to C$6M (expense), Interest on long-term debts increase from C$132K to C$298K (expense). Basic Earnings per Share excluding Extraordinary Items decreased from -C$0.05 to -C$0.10. |
Employees: | 30 as of Aug 19, 2011 |
Reporting Currency: | Canadian Dollars |
Enterprise value: | $4.62M as of Jun 30, 2023 |
Annual revenue (TTM): | $10.55M as of Jun 30, 2023 |
EBITDA (TTM): | -$3.08M as of Jun 30, 2023 |
Net annual income (TTM): | -$4.29M as of Jun 30, 2023 |
Free cash flow (TTM): | -$1.60M as of Jun 30, 2023 |
Net Debt Last Fiscal Year: | $9.63M as of Jun 30, 2023 |
Shares outstanding: | 73,035,730 as of Feb 9, 2024 |
TTM: Trailing Twelve Months EBITDA: Earnings Before Interest, Taxes, Depreciation, & Amortization |