<< ZI CORPORATION CONSOLIDATED BALANCE SHEETS
(unaudited) (audited) (unaudited) 31-Mar-01 31-Dec-00 31-Mar-00 ------------------------------------------------------------------------ Assets Current assets Cash and cash equivalents $43,715,481 $46,891,866 $54,503,981 Short-term investments - - 7,359,342 Accounts receivable 2,198,965 3,265,301 1,099,757 Prepayments and deposits 1,553,798 1,244,111 742,086 ------------------------------------------------------------------------ 47,468,244 51,401,278 63,705,166 Capital assets - net 3,224,118 2,984,978 960,376 Intangible assets - net (note 2) 9,137,154 8,467,096 3,359,882 ------------------------------------------------------------------------ $59,829,516 $62,853,352 $68,025,424 ------------------------------------------------------------------------ ------------------------------------------------------------------------
Liabilities and shareholders' equity Current liabilities Accounts payable and accrued liabilities $2,820,448 $2,658,223 $1,225,561 Deferred revenue - 140,975 Current portion of capital lease obligations 149,814 152,948 - ------------------------------------------------------------------------ 2,970,262 2,952,146 1,225,561
Capital lease obligations 220,551 238,066 - ------------------------------------------------------------------------ 3,190,813 3,190,212 1,225,561 ------------------------------------------------------------------------ ------------------------------------------------------------------------
Shareholders' equity Share capital 91,993,823 91,975,823 89,163,085 Deficit (35,355,120) (32,312,683) (22,363,220) ------------------------------------------------------------------------ 56,638,703 59,663,140 66,799,865 ------------------------------------------------------------------------ $59,829,516 $62,853,352 $68,025,426 ------------------------------------------------------------------------ ------------------------------------------------------------------------
ZI CORPORATION CONSOLIDATED STATEMENTS OF LOSS AND DEFICIT
3 months ended ------------------------------ (UNAUDITED) 31-Mar-01 31-Mar-00 ------------------------------------------------------------------------- Revenue License & implementation fees $ 1,151,163 $ 637,690 Engineering Services 94,268 34,218 Other product revenue 77,114 547 ------------------------------ 1,322,545 672,455
Cost of sales License & implementation fees 223,208 114,904 Engineering Services 38,535 35,307 ------------------------------ 261,743 150,211
------------------------------ Gross margin 1,060,802 522,244 ------------------------------
Selling general and administrative (4,803,383) (1,565,775) Product research and development (1,251,926) (1,395,516) Depreciation and amortization (777,455) (548,013) Foreign exchange gain 1,997,339 293,335 Interest income and other income 732,186 685,122 ------------------------------ Net loss (3,042,437) (2,008,603) Deficit, beginning of year (32,312,683) (20,354,617) ------------------------------ Deficit, end of period $(35,355,120) $(22,363,220) ------------------------------ ------------------------------
Earning (loss) per share $ (0.08) $ (0.06) ------------------------------ ------------------------------ Weighted average common shares 37,032,978 36,060,845 ------------------------------ ------------------------------
ZI CORPORATION CONSOLIDATED STATEMENTS OF CASH FLOWS
3 months ended ------------------------------ (UNAUDITED) 31-Mar-01 31-Mar-00 -------------------------------------------------------------------------
Operating activities: Net earnings (loss) $ (3,042,437) $ (2,008,603) Add: items not affecting cash: Loss (gain) on dispositions of capital assets (20,983) 4,784 Depreciation and amortization 777,455 548,013 ------------------------------ Funds applied to operations (2,285,965) (1,455,806) Decrease (increase) in non-cash working capital 777,899 1,109,295 ------------------------------ Cash flow applied to operations (1,508,066) (346,511) ------------------------------
Financing activities: Proceeds from issuance of common shares 18,000 35,836,405 Payment of capital lease obligations (37,000) - ------------------------------ (19,000) 35,836,405 ------------------------------
Investing activities: Short-term investments - (1,247,356) Purchase of capital assets (354,846) (378,532) Acquisition of subsidiaries net of cash acquired - - Proceeds from capital dispositions - 7,042 Deferred development costs (1,353,547) (886,804) Other deferred costs (793) - ------------------------------ (1,709,186) (2,505,649) ------------------------------
Net cash inflow (3,236,252) 32,984,245 Cash and cash equivalents, at the beginning of period 46,891,866 21,519,737 ------------------------------ Cash and cash equivalents, at the end of the period $ 43,655,614 $ 54,503,982 ------------------------------ ------------------------------
Non cash financing activity Equipment acquired under capital lease $ 16,351 $ - ------------------------------ >> |