Quarterly report pursuant to Section 13 or 15(d)

Condensed Consolidated Statements of Operations (Unaudited)

v3.4.0.3
Condensed Consolidated Statements of Operations (Unaudited) - USD ($)
3 Months Ended 9 Months Ended
Sep. 30, 2015
Sep. 30, 2014
Sep. 30, 2015
Sep. 30, 2014
Revenues:        
Charging service revenue $ 436,259 $ 299,920 $ 1,342,029 $ 827,434
Grant and rebate revenue 262,858 207,276 1,068,837 865,918
Equipment sales 232,739 374,708 638,718 473,429
Other 74,284 23,845 190,968 23,845
Total Revenues 1,006,140 905,749 3,240,552 2,190,626
Cost of Revenues:        
Cost of charging services 462,772 620,768 1,491,806 1,882,599
Depreciation and amortization 209,134 742,385 639,236 2,243,395
Cost of equipment sales 103,334 158,443 426,360 243,701
Total Cost of Revenues 775,240 1,521,596 2,557,402 4,369,695
Gross Profit (Loss) 230,900 (615,847) 683,150 (2,179,069)
Operating Expenses:        
Compensation 2,176,818 2,088,406 7,032,382 6,163,893
Other operating expenses 383,497 484,624 1,205,648 1,264,245
General and administrative expenses $ 264,334 574,148 $ 1,789,826 2,097,373
Impairment of goodwill 1,601,882 4,901,261
Impairment and loss of title of car charging stations 2,854,422 2,854,422
Loss on replacement of EV charging station 19,848 19,848
Inducement expense for exclusive EV installation rights provided to the Company 321,877 321,877
Total Operating Expenses $ 2,824,649 7,945,207 $ 10,027,856 17,622,919
Loss From Operations (2,593,749) (8,561,054) (9,344,706) (19,801,988)
Other (Expense) Income:        
Interest expense, net (26,571) $ (108,783) (47,590) $ (154,651)
Amortization of discount on convertible debt (13,516) (55,514)
Gain on settlement of accounts payable 136,331 176,831 $ 36,789
Gain on settlement of other trade liabilities 148,029 209,086
Change in fair value of warrant liabilities 1,272,938 $ 138,339 2,161,845 $ 1,642,593
Gain on sale of fixed assets, net $ 72,248 70,088
Investor warrant expense $ (275,908)
Inducement expense for partial extinguishment of derivative liability $ (14,065) $ (382,753)
Inducement expense for standby financial support (858,118)
Non-compliance penalty for delinquent regular SEC filings $ (622,900) $ (72,667) $ (1,276,050) (72,667)
Non-compliance penalty for SEC registration requirement $ (228,750) (311,000) (228,750) (311,000)
Release from obligation to U.S. Department of Energy 482,611 1,833,896 482,611
Total Other Income $ 737,809 114,435 2,567,934 382,804
Net Loss (1,855,940) $ (8,446,619) (6,776,772) $ (19,419,184)
Less: Net income attributable to noncontrolling interest 322,606 389,600
Net Loss Attributable to Car Charging Group, Inc. (2,178,546) $ (8,446,619) (7,166,372) $ (19,419,184)
Dividend attributable to Series C shareholders (242,500) (656,900)
Net Loss Attributable to Common Shareholders $ (2,421,046) $ (8,446,619) $ (7,823,272) $ (19,419,184)
Net Loss Per Share - Basic and Diluted $ (0.03) $ (0.11) $ (0.10) $ (0.25)
Weighted Average Number of Common Shares Outstanding - Basic and Diluted 79,512,525 77,697,633 78,834,495 77,654,931