PureCycle Technologies Inc. Logo

PureCycle Technologies Inc. (PCT)

BMV

Currency in MXN
214.80
0.00 (0.00%)

Closed

Sep 24, 2026

Day's Range

214.80
214.80

52 wk Range

214.80
302.03

Financial Statements - PCT - PureCycle Technologies Inc.

Revenue

8.35M

Net Income

-182.56M▲ 36.9%Net Margin -2185.1%

EBITDA

-125.76M▼ 20.0%

Free Cash Flow

-183.58M▲ 8.4%

Income Statement

Period Ending2025-12-312024-12-312023-12-312022-12-312021-12-312020-12-31
Sales8.35M00000
Cost of Goods109.31M82.27M52.39M23.72M8.27M8.60M
Gross Profit-100.95M-82.27M-52.39M-23.72M-8.27M-8.60M
ExpandOperating Expense
------
Operating Income-166.36M-145.38M-113.90M-81.31M-69.58M-37.22M
ExpandNon-Operating Interest
------
Other Income Expense43.35M-92.17M33.34M-6.06M-1.27M-11.66M
Pre Tax Income-181.59M-289.21M-101.06M-84.74M-77.50M-52.99M
Income Tax970K-79K650K00-
Net Income-182.56M-289.13M-101.71M-84.74M-77.50M-52.99M
EPS Basic-1.08-1.75-0.62-0.54-0.75-2.09
EPS Diluted-1.21-1.75-0.63-0.55-0.79-2.09
Basic Shares Outstanding179.32M165.37M8.02M7.63M5.03M1.40M
Diluted Shares Outstanding179.32M165.37M8.02M7.63M5.03M1.40M
Ebit-117.14M-232.36M-69.69M-82.43M-70.02M-48.88M
Ebitda-125.76M-104.83M-84.66M-71.38M-66.27M-35.43M
Net Income Continuous Operations-182.56M-289.13M-101.71M-84.74M-77.50M-52.99M
Minority Interests------
Preferred Stock Dividends-----3.30M

The information on this page is provided for general informational purposes only and is not investment advice.

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