{"id":4769,"date":"2021-03-10T17:27:00","date_gmt":"2021-03-10T22:27:00","guid":{"rendered":"http:\/\/accordfinancial.com\/?p=4769"},"modified":"2025-01-06T14:06:33","modified_gmt":"2025-01-06T20:06:33","slug":"accord-annonce-ses-resultats-du-quatrieme-trimestre-et-de-lexercice-2020","status":"publish","type":"post","link":"https:\/\/accordfinancial.com\/fr\/latest\/2021\/03\/accord-announces-fourth-quarter-and-fiscal-2020-results\/","title":{"rendered":"Accord annonce les r\u00e9sultats du quatri\u00e8me trimestre et de l'exercice 2020"},"content":{"rendered":"<div style=\"height:20px\" aria-hidden=\"true\" class=\"wp-block-spacer\"><\/div>\n\n\n\n<div style=\"height:20px\" aria-hidden=\"true\" class=\"wp-block-spacer\"><\/div>\n\n\n\n<h2 class=\"wp-block-heading\">Sommaire des r\u00e9sultats financiers<\/h2>\n\n\n\n<div style=\"height:20px\" aria-hidden=\"true\" class=\"wp-block-spacer\"><\/div>\n\n\n\n<div style=\"height:20px\" aria-hidden=\"true\" class=\"wp-block-spacer\"><\/div>\n\n\n\n<figure class=\"wp-block-table\">\n    <table>\n        <thead>\n            <tr>\n                <th><\/th>\n                <th colspan=\"2\">Trimestre clos le 31 d\u00e9cembre<\/th>\n                <th colspan=\"2\">Exercice clos le 31 d\u00e9cembre<\/th>\n            <\/tr>\n            <tr>\n                <th><\/th>\n                <th>2020<\/th>\n                <th>2019<\/th>\n                <th>2020<\/th>\n                <th>2019<\/th>\n            <\/tr>\n            <tr>\n                <th><\/th>\n                <th>$<\/th>\n                <th>$<\/th>\n                <th>$<\/th>\n                <th>$<\/th>\n            <\/tr>\n        <\/thead>\n        <tbody>\n            <tr>\n                <td><strong>Moyenne des ressources engag\u00e9es (en millions)<\/strong><\/td>\n                <td>360<\/td>\n                <td>395<\/td>\n                <td>347<\/td>\n                <td>378<\/td>\n            <\/tr>\n            <tr>\n                <td><strong>Produits (en milliers)<\/strong><\/td>\n                <td>12,903<\/td>\n                <td>14,297<\/td>\n                <td>48,501<\/td>\n                <td>56,175<\/td>\n            <\/tr>\n            <tr>\n                <td><strong>B\u00e9n\u00e9fice net (perte nette) attribuable aux actionnaires (en milliers)<\/strong><\/td>\n                <td>1,384<\/td>\n                <td>(658)<\/td>\n                <td>417<\/td>\n                <td>6,444<\/td>\n            <\/tr>\n            <tr>\n                <td><strong>B\u00e9n\u00e9fice net ajust\u00e9 (perte nette ajust\u00e9e) (en milliers) (remarque)<\/strong><\/td>\n                <td>2,095<\/td>\n                <td>(2,136)<\/td>\n                <td>2,032<\/td>\n                <td>4,939<\/td>\n            <\/tr>\n            <tr>\n                <td><strong>B\u00e9n\u00e9fice (perte) par action ordinaire [de base et dilu\u00e9(e)]<\/strong><\/td>\n                <td>0.16<\/td>\n                <td>(0.08)<\/td>\n                <td>0.05<\/td>\n                <td>0.76<\/td>\n            <\/tr>\n            <tr>\n                <td><strong>B\u00e9n\u00e9fice ajust\u00e9 (perte ajust\u00e9e) par action ordinaire [de base et dilu\u00e9(e)]<\/strong><\/td>\n                <td>0.24<\/td>\n                <td>(0.25)<\/td>\n                <td>0.24<\/td>\n                <td>0.58<\/td>\n            <\/tr>\n            <tr>\n                <td><strong>Valeur comptable par action (au 31 d\u00e9cembre)<\/strong><\/td>\n                <td><\/td>\n                <td><\/td>\n                <td>$10.50<\/td>\n                <td>$10.77<\/td>\n            <\/tr>\n        <\/tbody>\n    <\/table>\n<\/figure>\n\n\n\n<div style=\"height:20px\" aria-hidden=\"true\" class=\"wp-block-spacer\"><\/div>\n\n\n\n<p>\u00abApr\u00e8s plusieurs ann\u00e9es de changements strat\u00e9giques et de croissance du chiffre d'affaires, le b\u00e9n\u00e9fice d'Accord a \u00e9t\u00e9 touch\u00e9 par le ralentissement \u00e9conomique caus\u00e9 par la pand\u00e9mie de COVID-19. Notre solidit\u00e9 financi\u00e8re nous a permis de faire face aux \u00e9normes obstacles qui se sont dress\u00e9s c\u00f4te \u00e0 c\u00f4te avec nos clients, en soutenant bon nombre d'entre eux gr\u00e2ce \u00e0 des solutions novatrices et \u00e0 des capitaux essentiels \u00bb, a d\u00e9clar\u00e9 le pr\u00e9sident et chef de la direction, Simon Hitzig.&nbsp;<\/p>\n\n\n\n<p>La COVID-19 a apport\u00e9 un climat \u00e9conomique turbulent, ralentissant la cr\u00e9ation de nouvelles entreprises ce qui, combin\u00e9 \u00e0 la diminution des emprunts aupr\u00e8s de nombreux clients existants de la Soci\u00e9t\u00e9, a fait baisser la moyenne des ressources engag\u00e9es \u00e0 347 millions de dollars en 2020, comparativement \u00e0 378 millions de dollars \u00e0 l'exercice pr\u00e9c\u00e9dent. Les taux de rendement moyens ont \u00e9galement recul\u00e9 en raison de la baisse g\u00e9n\u00e9rale des taux d'int\u00e9r\u00eat aux \u00c9tats-Unis et au Canada. Ces facteurs combin\u00e9s ont fait baisser le chiffre d'affaires de 56 175 000 $ en 2019 \u00e0 48 501 000 $ en 2020.&nbsp;<\/p>\n\n\n\n<p>Avec la reprise de la croissance au quatri\u00e8me trimestre, le b\u00e9n\u00e9fice net attribuable aux actionnaires (\u00ab le b\u00e9n\u00e9fice net des actionnaires \u00bb) est devenu positif pour l'ann\u00e9e, cl\u00f4turant 2020 \u00e0 417 000 $, comparativement \u00e0 6 444 000 $ en 2019. La baisse du chiffre d'affaires et l'augmentation de la provision pour pertes ont \u00e9t\u00e9 les principaux facteurs attribuables \u00e0 la baisse du b\u00e9n\u00e9fice net. Le b\u00e9n\u00e9fice par action ordinaire (\u00ab BPA \u00bb) s'\u00e9tablissait \u00e0 0,05 $ comparativement \u00e0 0,76 $ \u00e0 l'exercice pr\u00e9c\u00e9dent. Le b\u00e9n\u00e9fice net ajust\u00e9 se chiffrait \u00e0 2 032 000 $ en 2020, comparativement \u00e0 4 939 000 $ en 2019. Le BPA ajust\u00e9 a baiss\u00e9 et s'est fix\u00e9 \u00e0 0,24 $, comparativement \u00e0 0,58 $ \u00e0 l'exercice pr\u00e9c\u00e9dent. La valeur comptable s'\u00e9levait \u00e0 10,50 $ par action \u00e0 la fin de l'exercice.&nbsp;<\/p>\n\n\n\n<p>Apr\u00e8s avoir atteint un creux pour l'ann\u00e9e au d\u00e9but de l'\u00e9t\u00e9, les ressources engag\u00e9es ont augment\u00e9 au cours du deuxi\u00e8me semestre. La moyenne des ressources engag\u00e9es est pass\u00e9e de 327 millions de dollars au troisi\u00e8me trimestre \u00e0 360 millions de dollars au quatri\u00e8me trimestre, et le chiffre d'affaires a suivi le rythme de la croissance du portefeuille. Toutefois, comparativement au quatri\u00e8me trimestre de 2019, le chiffre d'affaires a diminu\u00e9 de 10 %, passant de 14 297 000 $ \u00e0 12 903 000 $.&nbsp;<\/p>\n\n\n\n<p>Le rendement du quatri\u00e8me trimestre a progress\u00e9 vers la reprise de l'\u00e9lan des b\u00e9n\u00e9fices de la Soci\u00e9t\u00e9 avant la COVID-19. Le b\u00e9n\u00e9fice net des actionnaires \u00e9tait de 1 384 000 $, comparativement \u00e0 une perte nette de 658 000 $ au quatri\u00e8me trimestre de l'an dernier. Le b\u00e9n\u00e9fice net s'est am\u00e9lior\u00e9 principalement en raison d'une provision pour pertes r\u00e9duite. Le BPA \u00e9tait de 0,16 $, comparativement \u00e0 une perte par action ordinaire de 0,08 $ l'an dernier. Le b\u00e9n\u00e9fice net ajust\u00e9 \u00e9tait de 2 095 000 $ au quatri\u00e8me trimestre, comparativement \u00e0 une perte nette ajust\u00e9e de 2 136 000 $ au cours de la m\u00eame p\u00e9riode l'an dernier. Le BPA ajust\u00e9 s'est chiffr\u00e9 \u00e0 0,24 $, comparativement \u00e0 une perte par action ajust\u00e9e de 0,25 $ au quatri\u00e8me trimestre de l'exercice pr\u00e9c\u00e9dent.&nbsp;<\/p>\n\n\n\n<p>M. Hitzig a fait les commentaires suivants au sujet des r\u00e9sultats de 2020 : \u00ab Le long voyage aller-retour, du sommet au creux puis de retour vers notre trajectoire de croissance pr\u00e9c\u00e9dente, nous a procur\u00e9 peu de r\u00e9sultats pertinents pour nos efforts. Compte tenu de l'extr\u00eame perturbation \u00e9conomique, nous trouvons un certain r\u00e9confort dans le fait que la Soci\u00e9t\u00e9 a termin\u00e9 l'ann\u00e9e avec un faible profit, ce qui a port\u00e9 notre s\u00e9rie de produits annuels \u00e0 39 ans. Je suis fier du soutien que nous avons fourni \u00e0 nos clients, et je suis convaincu que nous sommes en mesure d'obtenir de meilleurs r\u00e9sultats pour nos actionnaires en 2021. \u00bb&nbsp;<\/p>\n\n\n\n<div style=\"height:20px\" aria-hidden=\"true\" class=\"wp-block-spacer\"><\/div>\n\n\n\n<div style=\"height:20px\" aria-hidden=\"true\" class=\"wp-block-spacer\"><\/div>\n\n\n\n<h2 class=\"wp-block-heading\">\u00c0 propos de Financi\u00e8re Accord Corp.<\/h2>\n\n\n\n<div style=\"height:20px\" aria-hidden=\"true\" class=\"wp-block-spacer\"><\/div>\n\n\n\n<p>La Financi\u00e8re Accord est la soci\u00e9t\u00e9 de financement commercial la plus dynamique en Am\u00e9rique du Nord, procurant des solutions de financement rapides et polyvalentes aux entreprises en transition, comme l'affacturage, le financement des stocks, les pr\u00eats sur l'\u00e9quipement, le financement des transactions commerciales et le financement du secteur du cin\u00e9ma et des m\u00e9dias. En tirant avantage de la combinaison exclusive de notre solidit\u00e9 financi\u00e8re, de notre vaste exp\u00e9rience et de notre ind\u00e9pendance, nous concevons des solutions de financement gagnantes faciles \u00e0 obtenir par les petites et moyennes entreprises, pour que nos clients puissent conna\u00eetre le succ\u00e8s. Depuis 43 ans, Accord aide les entreprises \u00e0 g\u00e9rer leurs flux de tr\u00e9sorerie et \u00e0 tirer le meilleur parti des occasions financi\u00e8res.&nbsp;<\/p>\n\n\n\n<div style=\"height:20px\" aria-hidden=\"true\" class=\"wp-block-spacer\"><\/div>\n\n\n\n<p><strong>Visitez le www.accordfinancial.com ou communiquez avec :&nbsp;<\/strong><\/p>\n\n\n\n<p>Stuart Adair&nbsp;<br>Vice-Pr\u00e9sidente principale, directrice financi\u00e8re&nbsp;<br>Accord Financial Corp.&nbsp;<br>40, avenue Eglinton Est, bureau 602&nbsp;<br>Toronto (Ontario) M4P 3A2&nbsp;<br>416 961-0304, poste 207&nbsp;<br>sadair@accordfinancial.com&nbsp;<\/p>\n\n\n\n<div style=\"height:40px\" aria-hidden=\"true\" class=\"wp-block-spacer\"><\/div>\n\n\n\n<h2 class=\"wp-block-heading\">Remarque : Mesures non conformes aux IFRS<\/h2>\n\n\n\n<div style=\"height:20px\" aria-hidden=\"true\" class=\"wp-block-spacer\"><\/div>\n\n\n\n<p>Les \u00e9tats financiers de la Soci\u00e9t\u00e9 ont \u00e9t\u00e9 pr\u00e9par\u00e9s en conformit\u00e9 avec les IFRS. La Soci\u00e9t\u00e9 utilise diverses autres mesures financi\u00e8res pour surveiller son rendement; elle est d'avis que ces mesures peuvent \u00eatre utiles aux investisseurs d\u00e9sireux d'\u00e9valuer le rendement op\u00e9rationnel de la Soci\u00e9t\u00e9 et sa situation financi\u00e8re. Ces mesures peuvent ne pas avoir de d\u00e9finitions ou de m\u00e9thodes de calcul normalis\u00e9es aux termes des IFRS pour assurer l'uniformit\u00e9 entre les soci\u00e9t\u00e9s utilisant ces mesures; elles sont donc consid\u00e9r\u00e9es comme des mesures non conformes aux IFRS. Les mesures non conformes aux IFRS qui sont utilis\u00e9es dans le pr\u00e9sent communiqu\u00e9 sont les suivantes :&nbsp;<\/p>\n\n\n\n<p>1) Le b\u00e9n\u00e9fice net ajust\u00e9 et le BPA ajust\u00e9. La Soci\u00e9t\u00e9 calcule ces mesures \u00e0 partir des montants pr\u00e9sent\u00e9s dans ses \u00e9tats financiers pr\u00e9par\u00e9s conform\u00e9ment aux IFRS. Le b\u00e9n\u00e9fice net ajust\u00e9 comprend le b\u00e9n\u00e9fice net des actionnaires avant la r\u00e9mun\u00e9ration \u00e0 base d'actions, les charges d'acquisition d'entreprises (les frais de transaction et d'int\u00e9gration et l'amortissement des actifs incorporels) et les charges de restructuration. Le BPA ajust\u00e9 (de base et dilu\u00e9) correspond au b\u00e9n\u00e9fice net ajust\u00e9, divis\u00e9 par le nombre moyen pond\u00e9r\u00e9 d'actions ordinaires en circulation (de base et dilu\u00e9) au cours de la p\u00e9riode. La direction est d'avis que le b\u00e9n\u00e9fice net ajust\u00e9 est une mesure du rendement op\u00e9rationnel plus appropri\u00e9e, parce qu'il exclut les \u00e9l\u00e9ments sans lien avec les activit\u00e9s op\u00e9rationnelles poursuivies. Le tableau ci-dessous pr\u00e9sente un rapprochement du b\u00e9n\u00e9fice net de la Soci\u00e9t\u00e9 et du b\u00e9n\u00e9fice net ajust\u00e9 :&nbsp;<\/p>\n\n\n\n<div style=\"height:20px\" aria-hidden=\"true\" class=\"wp-block-spacer\"><\/div>\n\n\n\n<figure class=\"wp-block-table\">\n    <table>\n        <thead>\n            <tr>\n                <th><\/th>\n                <th colspan=\"2\">Trimestre clos le 31 d\u00e9cembre<\/th>\n                <th colspan=\"2\">Exercice clos le 31 d\u00e9cembre<\/th>\n            <\/tr>\n            <tr>\n                <th><\/th>\n                <th>2020<\/th>\n                <th>2019<\/th>\n                <th>2020<\/th>\n                <th>2019<\/th>\n            <\/tr>\n            <tr>\n                <th><\/th>\n                <th>$&#039;000<\/th>\n                <th>$&#039;000<\/th>\n                <th>$&#039;000<\/th>\n                <th>$&#039;000<\/th>\n            <\/tr>\n        <\/thead>\n        <tbody>\n            <tr>\n                <td><strong>B\u00e9n\u00e9fice net des actionnaires<\/strong><\/td>\n                <td>1,384<\/td>\n                <td>(658)<\/td>\n                <td>417<\/td>\n                <td>6,444<\/td>\n            <\/tr>\n            <tr>\n                <td><strong>Ajustements, apr\u00e8s imp\u00f4t<\/strong><\/td>\n                <td><\/td>\n                <td><\/td>\n                <td><\/td>\n                <td><\/td>\n            <\/tr>\n            <tr>\n                <td><strong>Co\u00fbts de restructuration<\/strong><\/td>\n                <td>657<\/td>\n                <td>\u2013<\/td>\n                <td>1,395<\/td>\n                <td>\u2013<\/td>\n            <\/tr>\n            <tr>\n                <td><strong>Charges d'acquisition d'entreprises<\/strong><\/td>\n                <td>54<\/td>\n                <td>(1,222)<\/td>\n                <td>220<\/td>\n                <td>(1,381)<\/td>\n            <\/tr>\n            <tr>\n                <td><strong>R\u00e9mun\u00e9ration \u00e0 base d'actions<\/strong><\/td>\n                <td>\u2013<\/td>\n                <td>(256)<\/td>\n                <td>\u2013<\/td>\n                <td>124<\/td>\n            <\/tr>\n            <tr>\n                <td><strong>B\u00e9n\u00e9fice net ajust\u00e9<\/strong><\/td>\n                <td>2,095<\/td>\n                <td>(2,136)<\/td>\n                <td>2,032<\/td>\n                <td>4,939<\/td>\n            <\/tr>\n        <\/tbody>\n    <\/table>\n<\/figure>\n\n\n\n<div style=\"height:20px\" aria-hidden=\"true\" class=\"wp-block-spacer\"><\/div>\n\n\n\n<div style=\"height:20px\" aria-hidden=\"true\" class=\"wp-block-spacer\"><\/div>\n\n\n\n<p>2) Valeur comptable par action - la valeur comptable correspond aux capitaux propres et est la m\u00eame que la valeur de l'actif net (calcul\u00e9e comme le total des actifs moins le total des passifs) de la Soci\u00e9t\u00e9 moins la participation ne donnant pas le contr\u00f4le. La valeur comptable par action est la valeur comptable divis\u00e9e par le nombre d'actions ordinaires en circulation \u00e0 une date donn\u00e9e.&nbsp;<\/p>\n\n\n\n<p>3) Les ressources engag\u00e9es sont les effets financiers \u00e0 recevoir et les pr\u00eats de la Soci\u00e9t\u00e9, soit une mesure IFRS. La moyenne des ressources engag\u00e9es est la moyenne des effets financiers \u00e0 recevoir et des pr\u00eats, calcul\u00e9s pour une p\u00e9riode donn\u00e9e.&nbsp;<\/p>\n\n\n\n<div style=\"height:20px\" aria-hidden=\"true\" class=\"wp-block-spacer\"><\/div>\n\n\n\n<div style=\"height:20px\" aria-hidden=\"true\" class=\"wp-block-spacer\"><\/div>","protected":false},"excerpt":{"rendered":"<p>Accord Financial Corp. (TSX : ACD) a publi\u00e9 aujourd'hui ses r\u00e9sultats financiers du quatri\u00e8me trimestre et de l'exercice clos le 31 d\u00e9cembre 2020. Les donn\u00e9es financi\u00e8res pr\u00e9sent\u00e9es dans le pr\u00e9sent communiqu\u00e9 sont exprim\u00e9es en dollars canadiens et ont \u00e9t\u00e9 pr\u00e9par\u00e9es en conformit\u00e9 avec les Normes internationales d'information financi\u00e8re.<\/p>","protected":false},"author":1,"featured_media":4255,"comment_status":"closed","ping_status":"open","sticky":false,"template":"","format":"standard","meta":{"_acf_changed":false,"footnotes":""},"categories":[139],"tags":[],"location":[],"class_list":["post-4769","post","type-post","status-publish","format-standard","has-post-thumbnail","hentry","category-press-releases"],"acf":[],"yoast_head":"<!-- This site is optimized with the Yoast SEO plugin v27.4 - https:\/\/yoast.com\/product\/yoast-seo-wordpress\/ -->\n<title>03\/10\/2021 | Accord Announces Fourth Quarter and Fiscal 2020 Results | Accord Financial<\/title>\n<meta name=\"description\" content=\"Accord financial results - Fourth quarter and 2020 fiscal year end results, progressing towards pre-Covid earnings momentum.\" \/>\n<meta name=\"robots\" content=\"index, follow, max-snippet:-1, max-image-preview:large, max-video-preview:-1\" \/>\n<link rel=\"canonical\" href=\"https:\/\/accordfinancial.com\/fr\/dernier\/2021\/03\/accord-annonce-ses-resultats-du-quatrieme-trimestre-et-de-lexercice-2020\/\" \/>\n<meta property=\"og:locale\" content=\"fr_CA\" \/>\n<meta property=\"og:type\" content=\"article\" \/>\n<meta property=\"og:title\" content=\"03\/10\/2021 | Accord Announces Fourth Quarter and Fiscal 2020 Results | Accord Financial\" \/>\n<meta property=\"og:description\" content=\"Accord financial results - 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