Quarterly report pursuant to Section 13 or 15(d)

Reportable Segments and Revenue

v3.24.1.1.u2
Reportable Segments and Revenue
3 Months Ended
Mar. 31, 2024
Reportable Segments and Revenue  
Reportable Segments and Revenue

18. Reportable Segments and Revenue

The Company operates in four reportable segments: (i) cannabis segment (SVH), Standard Farms, LLC (“Standard Farms PA”), Standard Farms Ohio, LLC (“Standard Farms OH”), Baker, and CAC, (ii) accessories (Jupiter), (iii) corporate, and (iv) other (White Haven RE, LLC). The cannabis segment includes production, cultivation, extraction and sale of cannabis products and accessories including the manufacturing and distribution of electronic, non-nicotine (i.e., cannabis) devices and systems. The accessories segment includes distribution of vapor cartridges and accessory products. The corporate segment represents all corporate level and unallocated items and includes the Company’s operating expenses

and intercompany eliminations. On September 1, 2023, the Company completed the CGSF/SFNY Divestiture, which was included in other for the three months ended March 31, 2023.

Information related to each segment is set out below. Segment net loss is used to measure performance because management believes that this information is the most relevant in evaluating the results of the respective segments relative to other entities that operate in the same industries.

The following tables present the operating results of the Company’s segments:

Three Months Ended March 31, 2024

    

Cannabis

    

Accessories

    

Corporate

    

Other

    

Total

Revenue

$

10,389

$

27,369

$

$

$

37,758

Inter-segment revenue

(254)

(254)

Net revenue

$

10,389

$

27,115

$

$

$

37,504

Share-based compensation

107

107

Depreciation and amortization

647

3,219

3,866

Wages and benefits

1,852

1,267

1,377

4,496

Impairment loss

12

12

Interest expense

1,369

925

3,749

6,043

Net loss

$

(1,874)

$

(2,581)

$

(5,194)

$

(2)

$

(9,651)

Three Months Ended March 31, 2023

    

Cannabis

    

Accessories

    

Corporate

    

Other

    

Total

Revenue

$

12,961

$

29,413

$

$

$

42,374

Inter-segment revenue

(110)

(110)

Net revenue

$

12,961

$

29,303

$

$

$

42,264

Share-based compensation

241

52

293

Depreciation and amortization

794

3,238

14

83

4,129

Wages and benefits

2,221

1,273

2,290

5,784

Impairment loss

48

140

188

Interest expense

1,356

642

2,094

4,092

Loan losses

388

388

Net (loss) income

$

(6,648)

$

(2,650)

$

(3,613)

$

8,045

$

(4,866)

Geographic Areas

The following table presents financial information relating to geographic areas in which the Company operated for the three months ended March 31, 2024 and 2023:

Three Months Ended March 31, 2024

US

Canada

Other

Total

Revenue

$

33,356

$

4,139

$

9

$

37,504

Gross profit

5,594

1,123

-

6,717

Three Months Ended March 31, 2023

US

Canada

Other

Total

Revenue

$

38,175

$

4,080

$

9

$

42,264

Gross profit

7,790

1,002

4

8,796