Quarterly report pursuant to Section 13 or 15(d)

Note 14 - Segment Information

v3.24.1.1.u2
Note 14 - Segment Information
3 Months Ended
Mar. 31, 2024
Notes to Financial Statements  
Segment Reporting Disclosure [Text Block]

14. Segment Information

 

The Company operates in the following segments: (i) PDN Network, (ii) NAPW Network, and (iii) RemoteMore. The financial results of China Operations have been reclassified from the Company’s reportable segments to discontinued operations for three months ended March 31, 2023. There was no reportable activity related to discontinued operation in the same period in fiscal 2024.

 

The following tables present key financial information related of the Company’s reportable segments related to financial position as of March 31, 2024 and  December 31, 2023 and results of operations for the three months ended March 31, 2024 and 2023:

 

   

Three Months Ended March 31, 2024

 
   

PDN

   

NAPW

           

Corporate

         
   

Network

   

Network

   

RemoteMore

   

Overhead

   

Consolidated

 

Membership fees and related services

  $ -     $ 127,346     $ -     $ -     $ 127,346  

Recruitment services

    1,103,771       -       -       -       1,103,771  

Contracted software development

    -       -       484,961       -       484,961  

Consumer advertising and marketing solutions

    10,764       -       -       -       10,764  

Total revenues

    1,114,535       127,346       484,961       -       1,726,842  

Income (loss) from continuing operations

    (197,454 )     (51,008 )     (53,527 )     (500,937 )     (802,926 )

Depreciation and amortization

    33,813       18,241       347       -       52,401  

Income tax expense

    1,640       -       850       -       2,490  

Net loss from continuing operations

    (198,202 )     (52,058 )     (55,955 )     (500,937 )     (807,152 )

 

   

As of March 31, 2024

 

Goodwill

  $ 465,752     $ -     $ 952,001     $ -     $ 1,417,753  

Intangibles assets, net

    159,733       38,104       417       -       198,254  

Assets from continuing operations, net of intercompany eliminations

    6,318,886       76,409       (718,304 )     -       5,676,991  

 

   

Three Months Ended March 31, 2023

 
   

PDN

   

NAPW

           

Corporate

         
   

Network

   

Network

   

RemoteMore

   

Overhead

   

Consolidated

 

Membership fees and related services

  $ -     $ 128,923     $ -     $ -     $ 128,923  

Recruitment services

    1,103,395       -       -       -       1,103,395  

Contracted software development

    -       -       698,266       -       698,266  

Consumer advertising and marketing solutions

    24,625       -       -       -       24,625  

Total revenues

    1,128,020       128,923       698,266       -       1,955,209  

Income (loss) from continuing operations

    (354,632 )     (247,066 )     (104,884 )     (420,198 )     (1,126,780 )

Depreciation and amortization

    112,760       19,667       347       -       132,774  

Income tax expense (benefit)

    (3,080 )     (3,571 )     850       (5,072 )     (10,873 )

Net income (loss) from continuing operations

    (348,726 )     (243,442 )     (102,029 )     (415,126 )     (1,109,323 )

 

   

As of December 31, 2023

 

Goodwill

  $ 465,752     $ -     $ 952,001     $ -     $ 1,417,753  

Intangibles assets, net

    168,067       57,156       625       -       225,848  

Assets from continuing operations, net of intercompany eliminations

    6,915,583       87,231       (676,282 )     -       6,326,532