PACX

NASDAQ:PACXU

Pioneer Merger Corp.

  • Stock

USD

Last Close

10.20

12/01 20:59

Market Cap

513.19M

Beta: -

Volume Today

3.23M

Avg: 996

PE Ratio

6.51

PFCF: 40.42

Preview

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Mar '21
Jun '21
Sep '21
Dec '21
Mar '22
Jun '22
Sep '22
net income
6.41M
-
-13.28M
307.04%
5.30M
139.91%
16.43M
210.20%
26.29M
59.98%
1.90M
92.78%
2.82M
48.78%
depreciation and amortization
deferred income tax
stock based compensation
change in working capital
-696.03K
-
141.15K
120.28%
4.29M
2,936.58%
716.48K
83.28%
-13.36M
1,964.36%
-2.10M
84.27%
-2.86M
36.05%
accounts receivables
inventory
accounts payables
39.46K
-
-64.79K
264.17%
22.84K
135.25%
23.84K
4.37%
140.66K
490.09%
-45.71K
132.50%
30.73K
167.23%
other working capital
-735.49K
-
205.94K
128.00%
4.26M
1,970.19%
692.65K
83.75%
-13.50M
2,048.83%
-2.06M
84.78%
-2.89M
40.58%
other non cash items
-6.78M
-
12.60M
285.98%
-9.60M
176.21%
-18.41M
91.71%
net cash provided by operating activities
-1.06M
-
-533.89K
49.60%
-18.99K
96.44%
-1.26M
6,532.10%
12.93M
1,126.70%
-203.07K
101.57%
-34.81K
82.86%
investments in property plant and equipment
acquisitions net
purchases of investments
sales maturities of investments
other investing activites
-402.50M
-
-402.50M
-
net cash used for investing activites
-402.50M
-
-402.50M
-
debt repayment
-141.39K
-
-141.39K
-
common stock issued
412.55M
-
-412.55M
-
common stock repurchased
dividends paid
other financing activites
-8.46M
-
200K
102.36%
816.82M
-
-445K
100.05%
net cash used provided by financing activities
403.95M
-
200K
99.95%
404.13M
-
-445K
100.11%
effect of forex changes on cash
-392.09K
-
net change in cash
392.09K
-
-333.89K
185.16%
-18.99K
94.31%
-25.48K
34.13%
12.49M
49,118.29%
-203.07K
101.63%
-34.81K
82.86%
cash at beginning of period
392.09K
-
58.20K
85.16%
39.20K
32.64%
13.73K
64.99%
12.50M
90,983.45%
12.30M
1.62%
cash at end of period
392.09K
-
58.20K
85.16%
39.20K
32.64%
13.73K
64.99%
12.50M
90,983.45%
12.30M
1.62%
12.26M
0.28%
operating cash flow
-1.06M
-
-533.89K
49.60%
-18.99K
96.44%
-1.26M
6,532.10%
12.93M
1,126.70%
-203.07K
101.57%
-34.81K
82.86%
capital expenditure
free cash flow
-1.06M
-
-533.89K
49.60%
-18.99K
96.44%
-1.26M
6,532.10%
12.93M
1,126.70%
-203.07K
101.57%
-34.81K
82.86%

All numbers in USD (except ratios and percentages)