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Pact Group Holdings Ltd. (AU:PGH)
ASX:PGH
Australian Market

Pact Group Holdings (PGH) Financial Statements

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Pact Group Holdings Financial Overview

Pact Group Holdings's market cap is currently €282.32M. The company's EPS TTM is AU$0.086; its P/E ratio is 9.46; Pact Group Holdings is scheduled to report earnings on February 18, 2025, and the estimated EPS forecast is AU$―. See an overview of income statement, balance sheet, and cash flow financials.
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Income Statement
Total RevenueAU$ 1.80BAU$ 1.95BAU$ 1.84BAU$ 1.76BAU$ 1.81B
Gross ProfitAU$ 976.13MAU$ 453.36MAU$ 438.31MAU$ 457.31MAU$ 445.77M
Operating IncomeAU$ 228.16MAU$ 129.07MAU$ 118.22MAU$ 163.46MAU$ 152.85M
EBITDAAU$ 277.00MAU$ 260.84MAU$ 251.88MAU$ 301.85MAU$ 302.59M
Net IncomeAU$ 74.87MAU$ -6.61MAU$ 12.18MAU$ 87.53MAU$ 88.85M
Balance Sheet
Cash & Short-Term InvestmentsAU$ 69.36MAU$ 79.06MAU$ 101.51MAU$ 62.15MAU$ 76.00M
Total AssetsAU$ 1.95BAU$ 2.24BAU$ 2.20BAU$ 2.15BAU$ 2.13B
Total DebtAU$ 996.43MAU$ 1.20BAU$ 1.15BAU$ 1.12BAU$ 1.14B
Net DebtAU$ 928.20MAU$ 1.12BAU$ 1.05BAU$ 1.05BAU$ 1.07B
Total LiabilitiesAU$ 1.48BAU$ 1.83BAU$ 1.78BAU$ 1.71BAU$ 1.75B
Stockholders' EquityAU$ 474.18MAU$ 408.69MAU$ 423.78MAU$ 431.87MAU$ 372.65M
Cash Flow
Free Cash FlowAU$ 1.49MAU$ 58.03MAU$ 85.37MAU$ 142.75MAU$ 115.66M
Operating Cash FlowAU$ 117.76MAU$ 187.87MAU$ 175.71MAU$ 221.03MAU$ 192.13M
Investing Cash FlowAU$ 102.36MAU$ -145.15MAU$ -66.07MAU$ -125.38MAU$ -78.77M
Financing Cash FlowAU$ -231.80MAU$ -62.49MAU$ -74.60MAU$ -107.66MAU$ -86.94M
Currency in AUD

Pact Group Holdings Earnings and Revenue History

Pact Group Holdings Debt to Assets

Pact Group Holdings Cash Flow

Pact Group Holdings Forecast EPS vs Actual EPS

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