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NYSE:PERF

Perfect Corp.

  • Stock

USD

Last Close

2.19

26/07 20:00

Market Cap

230.18M

Beta: −0.17

Volume Today

8.57K

Avg: 15.73K

PE Ratio

−1.46

PFCF: −13.66

Preview

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Aug '13
Nov '13
Feb '14
May '14
Aug '14
Jan '15
May '15
Oct '15
Jan '16
Apr '16
Jul '16
Oct '16
Jan '17
Apr '17
Mar '21
Jun '21
Sep '21
Dec '21
Mar '22
Jun '22
Sep '22
Dec '22
Mar '23
Jun '23
Sep '23
Dec '23
Mar '24
net income
-15.34M
-
7.28M
147.50%
1.42M
80.56%
-485K
134.25%
-9.88M
1,937.94%
5.51M
155.74%
-165K
103.00%
3.03M
1,935.15%
2.26M
25.26%
-6.41M
383.21%
-11.02M
71.88%
688K
106.25%
-6.90M
1,103.20%
-9.65M
39.86%
6.35M
165.75%
515.78K
91.87%
3.44M
566.87%
297.95K
91.34%
1.07M
260.72%
4.18M
289.28%
1.56M
62.81%
-190.25M
12,326.99%
695K
100.37%
-206K
129.64%
3.53M
1,812.14%
1.40M
60.31%
630K
55.00%
depreciation and amortization
3.47M
-
3.07M
11.47%
2.88M
6.25%
2.90M
0.87%
2.82M
2.75%
2.74M
3.01%
2.71M
1.24%
2.84M
4.95%
2.92M
2.71%
2.60M
10.94%
2.11M
18.64%
2.15M
1.99%
2.10M
2.55%
1.62M
23%
154.50K
90.45%
154.50K
0%
582K
-
184K
68.38%
deferred income tax
-43.20M
-
stock based compensation
105K
-
105K
0%
244K
132.38%
105K
56.97%
104K
0.95%
644K
519.23%
100K
84.47%
43K
57.00%
80K
86.05%
32K
60%
8K
75%
13K
62.50%
34K
161.54%
34K
0%
43K
26.47%
43K
0%
53K
23.26%
1.64M
3,000%
454K
72.37%
552K
21.59%
574K
3.99%
595K
3.66%
650K
9.24%
791K
21.69%
1.23M
56.01%
535K
56.65%
784K
46.54%
change in working capital
-15.01M
-
50.36M
435.64%
-38.78M
176.99%
14.24M
136.73%
-1.14M
108.00%
-56.85M
4,891.40%
5.77M
110.16%
37.06M
541.77%
-49.36M
233.19%
-4.41M
91.07%
3.95M
189.59%
17.19M
335.24%
-35.48M
306.38%
-1.85M
94.79%
-776.59K
57.95%
182.06K
123.44%
56.36K
69.04%
544.19K
865.49%
433.19K
20.40%
1.24M
187.36%
20.14M
-
accounts receivables
4.37M
-
-33.33M
862.20%
23.72M
171.17%
-11.43M
148.18%
9.94M
187.00%
33.04M
232.32%
-12.28M
137.18%
-35.34M
187.73%
30.52M
186.35%
-4.68M
115.34%
2.81M
159.97%
-23.47M
936.20%
27.66M
217.84%
-3.71M
113.40%
752.50K
120.30%
752.50K
0%
-482K
-
inventory
-10.96M
-
-30.44M
177.76%
38.02M
224.92%
5.71M
84.98%
-19.91M
448.62%
45.88M
330.40%
10.17M
77.83%
-11.75M
215.52%
35.41M
401.33%
7.49M
78.85%
-6.79M
190.64%
-2.56M
62.23%
26.54M
1,135.66%
3.57M
86.55%
-27.55M
-
accounts payables
-697K
-
-1.00M
44.05%
738K
173.51%
-1.46M
298.10%
693K
147.40%
-1.07M
254.55%
-127K
88.14%
-205K
61.42%
-608K
196.59%
-120K
80.26%
773K
744.17%
-793K
202.59%
867K
209.33%
-481K
155.48%
407K
-
other working capital
-7.72M
-
115.14M
1,590.81%
-101.26M
187.95%
21.42M
121.15%
8.14M
62.00%
-134.70M
1,754.99%
8.01M
105.95%
84.36M
952.61%
-114.67M
235.94%
-7.09M
93.81%
7.16M
200.86%
44.02M
515.15%
-90.55M
305.71%
-1.23M
98.64%
-776.59K
36.91%
182.06K
123.44%
56.36K
69.04%
544.19K
865.49%
433.19K
20.40%
1.24M
187.36%
47.76M
-
other non cash items
31.60M
-
-97.24M
407.76%
82.11M
184.44%
-26.60M
132.40%
3.64M
113.67%
113.73M
3,027.81%
-9.81M
108.63%
-73.47M
648.74%
104.43M
242.13%
7.52M
92.80%
-6.73M
189.49%
-32.91M
389.11%
84.72M
357.42%
340K
99.60%
-6.46M
1,999.93%
-747.09K
88.43%
-3.59M
380.64%
-915.12K
74.51%
-1.74M
89.93%
-6.09M
250.63%
-974K
84.02%
190.44M
19,651.95%
-695K
100.36%
206K
129.64%
-3.53M
1,812.14%
-1.94M
45.14%
-1.41M
26.93%
net cash provided by operating activities
4.83M
-
-36.42M
854.00%
47.87M
231.45%
-9.84M
120.55%
-4.46M
54.68%
65.77M
1,574.93%
-1.40M
102.13%
-30.51M
2,080.70%
60.33M
297.75%
-670K
101.11%
-11.67M
1,642.39%
-12.86M
10.19%
44.47M
445.71%
-9.51M
121.38%
-889.42K
90.65%
-49.26K
94.46%
-94.84K
92.54%
-72.98K
23.05%
-230.09K
215.30%
-113.46K
50.69%
1.74M
1,631.87%
-22.10M
1,371.52%
650K
102.94%
791K
21.69%
1.23M
56.01%
investments in property plant and equipment
-734K
-
-1.60M
117.44%
-1.50M
5.76%
-2.89M
92.15%
-3.29M
13.77%
-3.17M
3.50%
-1.77M
44.34%
-1.64M
7.19%
-3.23M
97.19%
-809K
74.97%
-462K
42.89%
-1.35M
191.34%
-501K
62.78%
-295K
41.12%
-33.50K
88.64%
-33.50K
0%
2.14M
-
acquisitions net
purchases of investments
-230M
-
111.27K
100.05%
255.72K
129.82%
132.60K
48.15%
sales maturities of investments
other investing activites
-300K
-
-9.50K
-
-9.50K
0%
net cash used for investing activites
-734K
-
-1.60M
117.44%
-1.50M
5.76%
-3.19M
112.10%
-3.29M
3.07%
-3.17M
3.50%
-1.77M
44.34%
-1.64M
7.19%
-3.23M
97.19%
-809K
74.97%
-462K
42.89%
-1.35M
191.34%
-501K
62.78%
-295K
41.12%
-230M
77,866.10%
111.27K
100.05%
255.72K
129.82%
132.60K
48.15%
2.14M
-
debt repayment
-199K
-
-212K
6.53%
-219K
3.30%
-1.24M
464.84%
-2.47M
100%
-1.24M
50%
-247K
80.03%
-278K
12.55%
-299K
7.55%
-285K
4.68%
-305K
7.02%
-317K
3.93%
-327K
3.15%
-339K
3.67%
-82.67K
75.61%
-39.99
99.95%
-91.91
129.82%
-47.66
48.14%
-983K
-
common stock issued
6.60M
-
-6.60M
200%
231.63M
3,609.54%
-133.75K
100.06%
common stock repurchased
213K
-
1.23M
475.59%
-1.55M
226.67%
-2.05M
31.75%
721K
135.24%
2.15M
198.89%
-1.29M
-
-4.35M
237.21%
-2.89M
33.63%
603K
120.89%
2.28M
278.77%
-7.47M
427.23%
-1.85M
75.27%
7.04M
-
dividends paid
other financing activites
-4.32M
-
38.17M
983.02%
-45.44M
219.04%
16.80M
136.98%
8.78M
47.76%
-65.67M
848.00%
3.62M
105.51%
32.80M
806.69%
-48.10M
246.63%
1.90M
103.95%
11.23M
491.94%
12.08M
7.51%
-30.82M
355.12%
6.37M
120.65%
225.02M
3,435.19%
6.49M
97.12%
-231.89M
3,674.12%
221.91
100.00%
398.95K
-
14.34M
-
net cash used provided by financing activities
-4.31M
-
39.19M
1,009.42%
-47.21M
220.48%
13.52M
128.64%
7.03M
48.04%
-64.75M
1,021.56%
3.37M
105.21%
31.24M
826.61%
-52.75M
268.87%
-1.27M
97.58%
11.53M
1,005.26%
14.05M
21.79%
-38.62M
374.93%
4.18M
110.82%
231.53M
5,441.70%
-112.01K
100.05%
-257.42K
129.82%
-133.49K
48.15%
398.95K
-
20.39M
-
effect of forex changes on cash
113K
-
113K
0%
78.17M
-
net change in cash
-213K
-
1.17M
650.70%
-846K
172.12%
493K
158.27%
-721K
246.25%
-2.15M
198.89%
206K
109.56%
-911K
542.23%
4.35M
577.50%
-2.75M
163.29%
-603K
78.10%
-164K
72.80%
5.35M
3,364.63%
-5.63M
205.08%
756.00K
113.44%
63.00K
91.67%
-96.04K
252.44%
-73.73K
23.23%
-230.09K
212.07%
285.64K
224.14%
83.53M
29,144.93%
78.60M
5.91%
-67.50M
185.87%
-57.95M
14.15%
77.80M
234.26%
cash at beginning of period
1.44M
-
1.23M
14.80%
2.40M
95.68%
1.55M
35.26%
2.05M
31.75%
3.69M
80.25%
1.53M
58.43%
2.20M
43.57%
1.29M
41.39%
5.64M
337.21%
2.89M
48.81%
2.28M
20.89%
2.12M
7.18%
7.47M
252.55%
-113K
101.51%
530.29K
569.28%
593.29K
11.88%
497.25K
16.19%
423.52K
14.83%
193.43K
54.33%
479.06K
147.67%
84.01M
17,437.11%
162.62M
93.56%
95.12M
41.51%
37.17M
60.92%
cash at end of period
1.23M
-
2.40M
95.68%
1.55M
35.26%
2.05M
31.75%
1.32M
35.24%
1.53M
15.70%
1.74M
13.44%
1.29M
25.82%
5.64M
337.21%
2.89M
48.81%
2.28M
20.89%
2.12M
7.18%
7.47M
252.55%
1.85M
75.27%
643.00K
65.21%
593.29K
7.73%
497.25K
16.19%
423.52K
14.83%
193.43K
54.33%
479.06K
147.67%
84.01M
17,437.11%
162.62M
93.56%
95.12M
41.51%
37.17M
60.92%
114.97M
209.32%
operating cash flow
4.83M
-
-36.42M
854.00%
47.87M
231.45%
-9.84M
120.55%
-4.46M
54.68%
65.77M
1,574.93%
-1.40M
102.13%
-30.51M
2,080.70%
60.33M
297.75%
-670K
101.11%
-11.67M
1,642.39%
-12.86M
10.19%
44.47M
445.71%
-9.51M
121.38%
-889.42K
90.65%
-49.26K
94.46%
-94.84K
92.54%
-72.98K
23.05%
-230.09K
215.30%
-113.46K
50.69%
1.74M
1,631.87%
-22.10M
1,371.52%
650K
102.94%
791K
21.69%
1.23M
56.01%
capital expenditure
-734K
-
-1.60M
117.44%
-1.50M
5.76%
-2.89M
92.15%
-3.29M
13.77%
-3.17M
3.50%
-1.77M
44.34%
-1.64M
7.19%
-3.23M
97.19%
-809K
74.97%
-462K
42.89%
-1.35M
191.34%
-501K
62.78%
-295K
41.12%
-33.50K
88.64%
-33.50K
0%
2.14M
-
free cash flow
4.10M
-
-38.01M
1,028.08%
46.37M
221.98%
-12.73M
127.45%
-7.75M
39.14%
62.59M
907.98%
-3.17M
105.06%
-32.15M
915.70%
57.10M
277.62%
-1.48M
102.59%
-12.14M
720.55%
-14.21M
17.09%
43.97M
409.44%
-9.80M
122.30%
-922.92K
90.59%
-82.76K
91.03%
-94.84K
14.60%
-72.98K
23.05%
-230.09K
215.30%
-113.46K
50.69%
1.74M
1,631.87%
-19.96M
1,248.27%
650K
103.26%
791K
21.69%
1.23M
56.01%

All numbers in USD (except ratios and percentages)