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PTCT Financials
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PTCT Cash Flow - Free Cash Flow Trends - Intellectia AI™
Summary
Key Indicators
Income Statement
Balance Sheet
Cash Flow
YoY
FY2025Q4
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
Net Cash Flow from Operating Activities
-34.27M
+14.23%
-66.30M
-13.89%
-58.33M
-18.36%
870.10M
+1129.64%
-30.00M
-70.08%
-76.99M
+430.28%
-71.45M
+406.04%
70.76M
-339.94%
-100.29M
-39.57%
-14.52M
-61.84%
-14.12M
-74.44%
-29.49M
-69.72%
-165.96M
+141.09%
-38.05M
-25.68%
-55.24M
+77.37%
-97.40M
-2.75%
-68.84M
+6.95%
-51.19M
-292.02%
-31.14M
-58.37%
-100.16M
+22.81%
Funds from Operations
-125.39M
+88.32%
18.57M
-121.39%
-41.61M
-30.96%
912.18M
+17271.62%
-66.58M
+276.64%
-86.82M
+294.21%
-60.27M
+29.61%
5.25M
-107.7%
-17.68M
-86.93%
-22.02M
+1922.5%
-46.51M
-28.6%
-68.21M
+13.26%
-135.28M
+114.75%
-1.09M
-97.39%
-65.13M
+3.83%
-60.22M
+0.33%
-62.99M
-4.44%
-41.80M
+9.43%
-62.73M
+5.79%
-60.02M
-11.17%
Profit/(Loss) - Cash Flow
-134.97M
+104.85%
15.90M
-114.9%
-64.85M
-34.61%
866.56M
-1046.28%
-65.89M
-57.71%
-106.65M
-19.79%
-99.18M
-50.13%
-91.58M
-34.1%
-155.79M
-8.83%
-132.97M
+21.64%
-198.88M
+30.77%
-138.96M
+9.65%
-170.89M
+19.28%
-109.31M
-18.19%
-152.09M
+28.48%
-126.73M
-1.49%
-143.26M
+92.68%
-133.62M
+91.74%
-118.37M
-34.76%
-128.64M
+14.16%
Depreciation, Depletion & Amort
13.40M
-92.07%
11.53M
+47.72%
7.68M
+6.9%
7.22M
-86.96%
168.92M
+109.31%
7.80M
-87.42%
7.19M
-97.33%
55.40M
+29.35%
80.70M
+11.7%
62.05M
+79.99%
268.81M
+821.2%
42.83M
+62.75%
72.25M
+284.08%
34.48M
+105.83%
29.18M
+94.72%
26.31M
+93.67%
18.81M
+51.68%
16.75M
+43.86%
14.99M
+46.78%
13.59M
+47.13%
Deferred Inc Taxes & Income Tax Credits
1000.00
-100%
-4.00K
+33.33%
-2.00K
-200%
2.00K
-300%
-55.91M
-1505.13%
-3.00K
+50%
2.00K
-100%
-1000.00
-75%
3.98M
-111.61%
-2.00K
--
-50.90M
--
-4.00K
--
-34.28M
-9191.78%
--
--
--
--
--
--
377.00K
-93.58%
--
--
--
--
--
--
Interest Paid
0.00
--
--
--
0.00
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
Change in Working Capital
91.11M
+149.09%
-84.88M
-963.26%
-16.72M
+49.58%
-42.08M
-164.24%
36.58M
-144.28%
9.83M
+30.99%
-11.18M
-134.51%
65.51M
+69.21%
-82.61M
+169.2%
7.51M
-120.31%
32.39M
+227.43%
38.72M
-204.12%
-30.69M
+424.65%
-36.96M
+293.4%
9.89M
-68.69%
-37.18M
-7.35%
-5.85M
-476.87%
-9.39M
-114.48%
31.59M
-303.62%
-40.13M
+187.03%
Accounts Receivables - Decrease/(Increase)
22.21M
-45.5%
-6.47M
-16.13%
21.90M
+167.41%
-47.79M
+20.99%
40.76M
+388.27%
-7.72M
-194.89%
8.19M
-67.76%
-39.50M
-9.04%
8.35M
-135.23%
8.13M
+70.33%
25.40M
-2258.37%
-43.43M
+53.06%
-23.70M
+44.78%
4.78M
-124.87%
-1.18M
-107.55%
-28.37M
+13.44%
-16.37M
+54.34%
-19.20M
+1004.37%
15.59M
-3307.82%
-25.01M
-1166.07%
Prepaid Expenses - Decrease/(Increase)
-22.94M
+149.53%
-1.68M
-120.56%
4.23M
-28.11%
-16.43M
-117.5%
-9.19M
-91.2%
8.17M
-282.11%
5.89M
-7.15%
93.90M
+63%
-104.46M
+552.62%
-4.48M
-91.38%
6.34M
-172.98%
57.61M
+129.36%
-16.01M
-31.81%
-52.05M
+595.06%
-8.69M
-19843.18%
25.12M
+60.96%
-23.47M
+604.41%
-7.49M
-202.86%
44.00K
-100.44%
15.61M
-333.78%
Net Cash Flow from Investing Activities
34.01M
-87.3%
-289.62M
+578.67%
-422.01M
+540.15%
-184.36M
+60.41%
267.71M
-383.54%
-42.67M
+44.19%
-65.92M
+177.55%
-114.93M
+296.71%
-94.42M
-391.06%
-29.60M
-121.69%
-23.75M
-132.87%
-28.97M
-159.07%
32.44M
-52.49%
136.44M
+110.88%
72.25M
+28.89%
49.04M
+62.68%
68.27M
-132.81%
64.70M
-116.41%
56.06M
-60.54%
30.15M
-129.77%
Capital Expenditures - Net
2.37M
-36.98%
3.44M
+583.53%
1.32M
-103.72%
1.65M
-82.75%
3.77M
-32.32%
504.00K
-92.07%
-35.41M
-667.06%
9.59M
-6.64%
5.57M
-35.44%
6.36M
+18.12%
6.25M
-28.22%
10.27M
+10.29%
8.62M
-1.19%
5.38M
-7.91%
8.70M
+9.1%
9.31M
+64.26%
8.73M
+37.37%
5.84M
+76.66%
7.97M
+269.17%
5.67M
-5.88%
Acquisition & Disposal of Business Sold/(Acquired)
-34.92M
+1179.01%
-252.75M
+2364.89%
-2.68M
--
-808.00K
-98.52%
-2.73M
-88.08%
-10.25M
-55.12%
0.00
-100%
-54.76M
+63.98%
-22.90M
+24.6%
-22.85M
+10.69%
-13.04M
+40.33%
-33.40M
-53.7%
-18.38M
+20%
-20.64M
+3.38%
-9.29M
+21.53%
-72.13M
+408.27%
-15.31M
+22.34%
-19.97M
-13.92%
-7.65M
-184.84%
-14.19M
+24.12%
Net Cash Flow from Financing Activities
302.50M
+1042.78%
15.22M
-186.34%
3.96M
-98.39%
9.41M
+1642.59%
26.47M
-95.73%
-17.63M
-624.46%
246.48M
+1235.22%
540.00K
-86.81%
620.49M
+104.84%
3.36M
-102.4%
18.46M
+378.11%
4.09M
+250.51%
302.92M
+6857.23%
-140.00M
-4804.13%
3.86M
-3.86%
1.17M
-87.75%
4.35M
-89.14%
2.98M
-99.54%
4.02M
-112.2%
9.53M
-48.45%
Stock - Total - Issuance/(Retirement) - Net
62.50M
+136.12%
16.83M
+2837.17%
3.96M
-15.54%
15.75M
+675.91%
26.47M
+994.75%
573.00K
-83.37%
4.69M
-74.61%
2.03M
-64.1%
2.42M
-95.59%
3.45M
-65.56%
18.48M
+378.5%
5.66M
+131.38%
54.77M
+1157.97%
10.01M
+236.19%
3.86M
-3.86%
2.44M
-79.21%
4.35M
-89.14%
2.98M
-82.58%
4.02M
-82.47%
11.76M
-49.96%
Debt - LT & ST - Issuance/(Retirement)
0.00
--
-1.61M
--
0.00
--
0.00
-100%
0.00
-100%
0.00
--
0.00
--
-1.49M
+8.05%
-300.00M
-200%
0.00
-100%
0.00
--
-1.38M
+8.07%
300.00M
--
-150.00M
--
0.00
--
-1.28M
-42.63%
0.00
--
0.00
-100%
0.00
-100%
-2.22M
-55.52%
Net Change in Cash
312.03M
+22.11%
-346.77M
+169.33%
-462.79M
-545.34%
700.55M
-1634.23%
255.53M
-40.42%
-128.75M
+198.83%
103.92M
-1242.22%
-45.66M
-26.74%
428.87M
+144.49%
-43.09M
-19.82%
-9.10M
-140.32%
-62.33M
+36.87%
175.41M
-175514%
-53.73M
-530.87%
22.57M
-26.53%
-45.54M
-26.76%
-100.00K
-99.96%
12.47M
-95.47%
30.71M
-12.68%
-62.18M
-62.26%
Free Cash Flow
-36.65M
+8.52%
-69.75M
-10.02%
-59.65M
-16.52%
868.38M
+1319.55%
-33.77M
-68.1%
-77.51M
+271.31%
-71.45M
+250.86%
61.17M
-253.85%
-105.85M
-39.37%
-20.88M
-51.93%
-20.36M
-68.15%
-39.76M
-62.74%
-174.59M
+125.08%
-43.43M
-23.86%
-63.94M
+63.46%
-106.72M
+0.84%
-77.57M
+9.68%
-57.03M
-344.25%
-39.12M
-49.18%
-105.83M
+20.84%