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NASDAQ:PCT

PureCycle Technologies, Inc.

  • Stock

USD

Last Close

7.47

26/07 20:00

Market Cap

851.14M

Beta: 0.99

Volume Today

2.08M

Avg: 2.11M

PE Ratio

−6.21

PFCF: −4.05

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Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
-4.11M
-
-19.31M
370.45%
-56.84M
194.32%
-77.50M
36.35%
-84.75M
9.35%
-101.72M
20.02%
depreciation and amortization
900.44K
-
1.90M
110.57%
2.28M
20.30%
5.21M
128.36%
18.86M
262.03%
deferred income tax
11.81M
-
1.49M
87.35%
650K
-
stock based compensation
24.49K
-
4.05M
16,433.13%
5.63M
38.96%
22.64M
302.35%
10.84M
52.11%
11.83M
9.12%
change in working capital
-1.38M
-
1.31M
195.05%
18.40M
1,303.71%
-6.72M
136.53%
-3.19M
52.47%
5.21M
263.00%
accounts receivables
inventory
accounts payables
-1.35M
-
1.03M
176.28%
233.79K
77.23%
-293K
225.33%
85K
129.01%
418K
391.76%
other working capital
-32.77K
-
283.78K
966.00%
18.17M
6,301.09%
-6.43M
135.39%
-3.28M
48.98%
4.79M
246.04%
other non cash items
32.88K
-
6.74M
20,391.29%
1.15M
82.87%
3.31M
186.36%
6.41M
94.01%
-29.74M
563.61%
net cash provided by operating activities
-5.43M
-
-6.31M
16.36%
-17.95M
184.31%
-54.51M
203.61%
-65.48M
20.13%
-94.91M
44.94%
investments in property plant and equipment
-11.12M
-
-5.99M
46.12%
-29.81M
397.52%
-137.39M
360.85%
-287.19M
109.03%
-153.90M
46.41%
acquisitions net
143.99M
-
-72.68M
150.48%
-88.37M
21.59%
purchases of investments
-229.18M
-
-192.39M
16.05%
-57.58M
70.07%
sales maturities of investments
61.00M
-
261.19M
328.21%
109.37M
58.13%
other investing activites
110K
-
-143.99M
-
72.68M
150.48%
88.37M
21.59%
net cash used for investing activites
-11.12M
-
-5.88M
47.11%
-29.81M
406.82%
-305.57M
925.02%
-218.39M
28.53%
-102.10M
53.25%
debt repayment
-3.14M
-
-200K
93.64%
-18.74M
9,270.91%
-104K
99.45%
-274.05M
-
common stock issued
12.26M
-
10.90M
11.13%
107.17M
883.63%
299.46M
179.43%
206.07M
31.19%
common stock repurchased
-19.29
-
-1.70M
-
-1.64M
3.30%
-1.37M
16.41%
dividends paid
-199.98K
-
-287K
-
other financing activites
7.53M
-
1.75M
76.76%
289.76M
16,452.42%
-4.01M
101.38%
43.10M
1,175.03%
547.42M
1,170.18%
net cash used provided by financing activities
16.65M
-
12.25M
26.44%
378.19M
2,988.29%
293.37M
22.43%
247.53M
15.62%
272M
9.89%
effect of forex changes on cash
-108.63M
-
net change in cash
100.81K
-
49.24K
51.16%
330.42M
671,000.85%
-66.72M
120.19%
-36.34M
45.54%
-33.64M
7.42%
cash at beginning of period
100.81K
-
150.05K
48.84%
330.57M
220,209.23%
263.86M
20.18%
132.74M
49.69%
cash at end of period
100.81K
-
150.05K
48.84%
330.57M
220,208.74%
263.86M
20.18%
227.52M
13.77%
99.10M
56.44%
operating cash flow
-5.43M
-
-6.31M
16.36%
-17.95M
184.31%
-54.51M
203.61%
-65.48M
20.13%
-94.91M
44.94%
capital expenditure
-11.12M
-
-5.99M
46.12%
-29.81M
397.52%
-137.39M
360.85%
-287.19M
109.03%
-153.90M
46.41%
free cash flow
-16.55M
-
-12.31M
25.63%
-47.76M
288.12%
-191.90M
301.75%
-352.67M
83.78%
-248.81M
29.45%

All numbers in USD (except ratios and percentages)