PPC Financial Analysis
Quarterly
FY2024Q4 | FY2024Q3 | FY2024Q3 | FY2024Q2 | FY2024Q1 | FY2023Q4 | FY2023Q3 | FY2023Q2 | FY2023Q1 | FY2022Q4 | FY2022Q3 | FY2022Q2 | FY2022Q1 | FY2021Q4 | FY2021Q3 | FY2021Q2 | FY2021Q1 | FY2020Q4 | FY2020Q3 | FY2020Q2 | FY2020Q1 | |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Net Cash Flow from Operating Activities | 349.34M 25.53% | 651.14M 109.87% | 651.14M 109.87% | 718.63M 186.26% | 271.03M -267.61% | 278.28M -330.46% | 310.26M -16.01% | 251.05M 29.26% | -161.70M -171.24% | -120.75M 11555.41% | 369.39M 73.80% | 194.22M -24.87% | 227.00M -258.13% | -1.04M -100.48% | 212.54M -42.18% | 258.50M 116.03% | -143.55M -781.50% | 215.91M 64.80% | 367.61M 178.20% | 119.66M -57.72% | 21.06M |
Funds from Operations | 317.36M -3.02% | 512.51M 113.57% | 512.51M 113.57% | 435.00M 197.00% | 302.35M 325.40% | 327.23M 3474.71% | 239.98M -29.44% | 146.46M -67.70% | 71.07M -80.60% | 9.15M -89.84% | 340.10M 104.52% | 453.47M -604.65% | 366.32M 82.78% | 90.13M 5.97% | 166.29M 35.69% | -89.86M -200.47% | 200.42M 19.48% | 85.05M -42.84% | 122.55M -32.86% | 89.44M -63.96% | 167.74M |
Change in Working Capital | 31.97M -165.32% | 138.63M 97.24% | 138.63M 97.24% | 283.63M 171.21% | -31.32M -86.54% | -48.95M -62.32% | 70.28M 139.92% | 104.58M -140.34% | -232.78M 67.08% | -129.90M 42.50% | 29.29M -36.66% | -259.25M -174.42% | -139.32M -59.50% | -91.16M -169.66% | 46.25M -81.13% | 348.36M 1052.79% | -343.97M 134.51% | 130.86M -836.22% | 245.06M -586.43% | 30.22M -13.23% | -146.68M |
Net Cash Flow from Investing Activities | -153.57M 41.05% | -98.53M -31.35% | -98.53M -31.35% | -102.48M -23.22% | -106.21M -9.58% | -108.88M -5.25% | -143.53M 9.03% | -133.47M 18.00% | -117.47M 37.27% | -114.92M 2.75% | -131.64M -87.46% | -113.11M 54.39% | -85.58M -3.95% | -111.84M 9.76% | -1.05B 1170.49% | -73.27M 14.08% | -89.09M 13.82% | -101.90M -78.48% | -82.61M 22.04% | -64.22M -27.41% | -78.28M |
Capital Expenditures - Net | 153.57M 41.05% | 98.53M -31.35% | 98.53M -31.35% | 102.48M -32.82% | 106.21M -10.80% | 108.88M -11.92% | 143.53M 7.00% | 152.55M 34.87% | 119.07M 47.49% | 123.61M 24.83% | 134.14M 40.36% | 113.11M 54.39% | 80.73M -9.39% | 99.02M -2.82% | 95.57M 15.69% | 73.27M 18.66% | 89.09M 16.41% | 101.90M 14.74% | 82.61M 22.04% | 61.75M -30.21% | 76.54M |
Acquisition & Disposal of Business Sold/(Acquired) | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 -100.00% | 0.00 | 0.00 -100.00% | 0.00 -100.00% | -4.85M -99.49% | 0.00 | -4.85M | -12.82M | -953.95M | 0.00 -100.00% | 0.00 -100.00% | 0.00 -100.00% | 0.00 | -2.48M | -1.74M |
Net Cash Flow from Financing Activities | -449.00K -99.88% | -776.00K 376.07% | -776.00K 376.07% | -150.94M -131.87% | 1.26M -95.33% | -383.54M 1852.95% | -163.00K -99.94% | 473.55M -529.37% | 26.88M -83.84% | -19.64M 8257.02% | -268.42M -129.35% | -110.29M 4.21% | 166.33M 78.87% | -235.00K -99.93% | 914.39M -2609.57% | -105.83M 86.71% | 92.99M -70.50% | -358.84M 5166.92% | -36.44M 255.44% | -56.68M 165.13% | 315.25M |
Dividends Paid | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 |
Stock - Total - Issuance/(Retirement) - Net | 0.00 | 1.42M | 1.42M | 0.00 | 1.43M -189.51% | 0.00 | 0.00 -100.00% | 0.00 -100.00% | -1.59M -94.51% | 0.00 | -79.56M | -92.97M | -28.98M 4359.08% | 0.00 -100.00% | 0.00 -100.00% | 0.00 -100.00% | -650.00K -97.67% | -2.44M | -29.93M | -49.97M 1624.40% | -27.91M |
Debt - LT & ST - Issuance/(Retirement) | -449.00K -99.88% | -776.00K 221.99% | -776.00K 221.99% | -150.94M -131.19% | -153.00K -100.54% | -374.00M 1981.47% | -241.00K -99.87% | 483.90M -3248.55% | 28.47M -85.50% | -17.97M 7545.96% | -188.83M -120.35% | -15.37M -84.19% | 196.41M 109.75% | -235.00K -99.93% | 928.03M -14357.64% | -97.18M 1348.52% | 93.64M -72.71% | -356.40M 5131.16% | -6.51M -36.15% | -6.71M -63.42% | 343.15M |
Net Change in Cash | 158.75M -176.36% | 550.29M 239.46% | 550.29M 239.46% | 439.24M -25.86% | 163.66M -165.41% | -207.89M -16.62% | 162.11M -520.72% | 592.44M -1885.87% | -250.19M -181.85% | -249.33M 116.67% | -38.53M -151.25% | -33.17M -141.58% | 305.68M -321.24% | -115.07M -51.39% | 75.18M -70.01% | 79.78M -4203.76% | -138.17M -154.00% | -236.73M -31.27% | 250.66M 369.42% | -1.94M -101.13% | 255.84M |
Free Cash Flow | 190.13M 13.99% | 547.43M 232.69% | 547.43M 232.69% | 613.81M 538.61% | 162.60M -155.42% | 166.80M -162.88% | 164.55M -26.22% | 96.12M 20.75% | -293.41M -301.77% | -265.27M 160.36% | 223.01M 93.14% | 79.60M -55.01% | 145.42M -159.18% | -101.89M -198.20% | 115.47M -57.73% | 176.93M 263.63% | -245.72M 337.97% | 103.75M 149.27% | 273.18M 435.40% | 48.66M -74.83% | -56.10M |
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What is PPC's PE Ratio in 2025/4/4?
PPC's PE ratio in April 4, 2025 is 10.93. This indicates the price investors are willing to pay for $1 of earnings.
What is PPC's PS Ratio in 2025/4/4?
PPC's PS ratio in April 4, 2025 is 0.68. This indicates how much investors are willing to pay for each dollar of the company's sales.
What is PPC's Dividend Yield in 2024/Q4?
PPC's Dividend Yield in 2024/Q4 is 0.00%. This represents the return on investment from dividends relative to the stock price.
What is PPC's Gross Margin in 2024/Q4?
PPC's Gross Margin in 2024/Q4 is 12.65. Gross Margin is typically calculated as (Revenue - Cost of Goods Sold) / Revenue and is a key indicator of a company's financial health and efficiency in managing production costs.
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