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PureCycle Technologies, Inc. (PCT) 10-Year Financial Performance & Capital Metrics

PCT • • Industrial / General
IndustrialsEnvironmental ServicesWaste Management & RecyclingPlastic Recycling Technologies
AboutPureCycle Technologies, Inc. produces recycled polypropylene (PP). The company holds a license for restoring waste PP into ultra-pure recycled resin. Its recycling process separates color, odor, and other contaminants from plastic waste feedstock to transform it into virgin-like resin. The company was founded in 2015 and is headquartered in Orlando, Florida.Show more
  • Revenue $0
  • EBITDA -$111M -13.0%
  • Net Income -$289M -184.3%
  • EPS (Diluted) -1.76 -183.9%
  • Gross Margin -
  • EBITDA Margin -
  • Operating Margin -
  • Net Margin -
  • ROE -96.27% -340.6%
  • ROIC -14.97% -39.1%
  • Debt/Equity 2.22 +71.9%
  • Interest Coverage -2.56 +29.6%
Technical Analysis

Key Insights

Based on financial data analysis

✓Strengths

No significant strengths identified

✗Weaknesses

  • ✗High debt to equity ratio of 2.2x
  • ✗Weak Piotroski F-Score: 2/9
  • ✗Trading more than 30% below 52-week high
  • ✗Expensive at 10.1x book value
  • ✗Low asset turnover indicates capital-intensive operations

* These insights are generated automatically based on available financial data. Please conduct your own research before making investment decisions.

Price & Volume

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Growth Metrics

Revenue CAGR

10Y-
5Y-
3Y-
TTM-

Profit (Net Income) CAGR

10Y-
5Y-
3Y-
TTM8.12%

EPS CAGR

10Y-
5Y-
3Y-
TTM2.63%

ROCE

10Y Avg-25.11%
5Y Avg-14.73%
3Y Avg-13.67%
Latest-17.19%

Peer Comparison

Plastic Recycling Technologies
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Growth
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Quality & Returns
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Momentum & Returns
Total Return (DRIP)
Technical
Volume & Trading
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Sector-Specific
NameMarket CapCurrent PriceP/E RatioRevenue Growth 1YNet MarginROEFCF YieldDebt/Equity
PCTPureCycle Technologies, Inc.2B11.11-6.31-40.36%-334.89%2.22

Profit & Loss

Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Sales/Revenue+0000000
Revenue Growth %-------
Cost of Goods Sold+1.22M5.97M8.6M10.55M26.56M18.86M34.71M
COGS % of Revenue-------
Gross Profit+-1.22M-5.97M-8.6M-10.55M-26.56M-18.86M-34.71M
Gross Margin %-------
Gross Profit Growth %--3.88%-0.44%-0.23%-1.52%0.29%-0.84%
Operating Expenses+2.88M12M28.62M59.03M54.76M95.04M110.67M
OpEx % of Revenue-------
Selling, General & Admin2.1M11.48M27.97M57.62M76.97M107.29M138.95M
SG&A % of Revenue-------
Research & Development786.23K526.13K648K1.41M1.09M6.61M3.38M
R&D % of Revenue-------
Other Operating Expenses0000-23.3M-18.86M-31.65M
Operating Income+-4.11M-17.97M-37.22M-69.58M-81.32M-113.9M-145.38M
Operating Margin %-------
Operating Income Growth %--3.38%-1.07%-0.87%-0.17%-0.4%-0.28%
EBITDA+0-17.07M-35.33M-67.3M-76.11M-97.97M-110.67M
EBITDA Margin %-------
EBITDA Growth %---1.07%-0.91%-0.13%-0.29%-0.13%
D&A (Non-Cash Add-back)4.11M900.44K1.9M2.28M5.21M15.94M34.71M
EBIT-4.11M-17.97M-48.89M-69.58M-84.75M-113.9M-232.37M
Net Interest Income+0-1.01M-7.95M-6.65M0-27.61M-51.66M
Interest Income01.01K3.22K6.65K2.64M3.76M5.19M
Interest Expense01.01M7.95M6.65M2.64M31.37M56.85M
Other Income/Expense0-1.34M-15.77M-7.92M-3.43M12.84M-143.83M
Pretax Income+-4.11M-19.31M-52.99M-77.5M-84.75M-101.06M-289.21M
Pretax Margin %-------
Income Tax+00000650K-79K
Effective Tax Rate %1%1.04%1%1%1%1.01%1%
Net Income+-4.11M-20M-52.99M-77.5M-84.75M-101.72M-289.14M
Net Margin %-------
Net Income Growth %--3.87%-1.65%-0.46%-0.09%-0.2%-1.84%
Net Income (Continuing)-4.11M-19.31M-52.99M-77.5M-84.75M-101.72M-289.14M
Discontinued Operations0000000
Minority Interest0000000
EPS (Diluted)+-0.03-0.17-1.96-0.75-0.54-0.62-1.76
EPS Growth %--3.9%-10.53%0.62%0.28%-0.15%-1.84%
EPS (Basic)-0.03-0.17-1.96-0.75-0.54-0.62-1.82
Diluted Shares Outstanding118.32M118.32M28.73M102.91M155.96M164.01M164.11M
Basic Shares Outstanding118.32M118.32M28.73M102.91M155.96M163.87M159.19M
Dividend Payout Ratio-------

Balance Sheet

Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Total Current Assets+678.38K2.87M64.94M345.35M236.22M162.65M53.9M
Cash & Short-Term Investments100.81K150.05K64.49M200.78M162.48M121.64M15.68M
Cash Only100.81K150.05K64.49M33.42M63.89M73.41M15.68M
Short-Term Investments000167.37M98.59M48.23M0
Accounts Receivable0078K0000
Days Sales Outstanding-------
Inventory000007.09M8.09M
Days Inventory Outstanding-----137.2585.05
Other Current Assets321.88K615.9K261.56K141.85M73.73M18.6M30.13M
Total Non-Current Assets+25.06M30.41M343.04M319.33M625.12M876.73M744.49M
Property, Plant & Equipment25.06M30.41M74.07M225.21M524.86M668.54M730.91M
Fixed Asset Turnover-------
Goodwill0000000
Intangible Assets0000000
Long-Term Investments00266.08M0009.17M
Other Non-Current Assets002.89M94.12M100.26M208.18M4.4M
Total Assets+25.74M33.28M407.98M664.68M861.34M1.04B798.38M
Asset Turnover-------
Asset Growth %-0.29%11.26%0.63%0.3%0.21%-0.23%
Total Current Liabilities+4.9M10.49M33.08M38.46M38.3M55.61M90.88M
Accounts Payable4.81M2.36M1.06M1.4M1.67M2.88M6.6M
Days Payables Outstanding1.44K144.6644.8948.4522.9155.7669.37
Short-Term Debt06.9M122K009.15M23.29M
Deferred Revenue (Current)0000001000K
Other Current Liabilities0031.89M02.19M055.99M
Current Ratio0.14x0.27x1.96x8.98x6.17x2.92x0.59x
Quick Ratio0.14x0.27x1.96x8.98x6.17x2.80x0.50x
Cash Conversion Cycle-------
Total Non-Current Liabilities+14.64M20.41M263.15M244.69M312.15M563.53M527.06M
Long-Term Debt14.64M13M262.15M232.51M233.51M507.4M323.36M
Capital Lease Obligations000016.62M27.25M54.66M
Deferred Tax Liabilities0000000
Other Non-Current Liabilities07.41M1M7.18M57.02M23.87M144.04M
Total Liabilities19.54M30.9M296.23M283.15M350.45M619.14M617.94M
Total Debt+14.64M19.9M262.27M232.51M250.13M543.8M401.31M
Net Debt14.54M19.75M197.78M199.09M186.24M470.39M385.63M
Debt / Equity2.36x8.36x2.35x0.61x0.49x1.29x2.22x
Debt / EBITDA-------
Net Debt / EBITDA-------
Interest Coverage--17.75x-4.68x-10.46x-30.79x-3.63x-2.56x
Total Equity+6.19M2.38M111.75M381.54M510.88M420.24M180.45M
Equity Growth %--0.62%45.95%2.41%0.34%-0.18%-0.57%
Book Value per Share0.050.023.893.713.282.561.10
Total Shareholders' Equity6.19M2.38M111.75M381.54M510.88M420.24M180.45M
Common Stock387.19K387.19K38K128K164K164K174K
Retained Earnings-8.41M-27.72M-80.71M-157.78M-242.53M-344.24M-633.38M
Treasury Stock-8.43M000000
Accumulated OCI24.49K00-237K-641K-32K78K
Minority Interest0000000

Cash Flow

Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Cash from Operations+-5.43M-6.31M-17.95M-54.51M-65.48M-94.91M-144.83M
Operating CF Margin %-------
Operating CF Growth %--0.16%-1.84%-2.04%-0.2%-0.45%-0.53%
Net Income-4.11M-19.31M-52.99M-77.5M-84.75M-101.72M-289.14M
Depreciation & Amortization0900.44K1.9M2.28M5.21M18.86M34.71M
Stock-Based Compensation24.49K4.05M5.63M22.64M10.84M11.83M11.65M
Deferred Taxes00000650K-79K
Other Non-Cash Items32.88K6.74M12.97M4.8M6.41M-29.74M107.97M
Working Capital Changes-1.38M1.31M14.55M-6.72M-3.19M5.21M-9.95M
Change in Receivables0000000
Change in Inventory0000-265K-4.48M-3.29M
Change in Payables-1.35M1.03M234K-293K85K418K4.78M
Cash from Investing+-11.12M-5.88M-29.81M-305.57M-218.39M-102.1M-7.01M
Capital Expenditures-11.12M-5.99M-29.81M-137.39M-287.19M-153.9M-55.58M
CapEx % of Revenue-------
Acquisitions-------
Investments-------
Other Investing0110K00000
Cash from Financing+16.65M12.25M378.19M293.37M247.53M272M-109.17M
Debt Issued (Net)-------
Equity Issued (Net)-------
Dividends Paid0000000
Share Repurchases-------
Other Financing1.19M-249.44K-14.31M-4.39M43.1M-11.14M26M
Net Change in Cash-------
Free Cash Flow+-16.55M-12.31M-47.77M-191.9M-352.67M-248.81M-200.41M
FCF Margin %-------
FCF Growth %-0.26%-2.88%-3.02%-0.84%0.29%0.19%
FCF per Share-0.14-0.10-1.66-1.86-2.26-1.52-1.22
FCF Conversion (FCF/Net Income)1.32x0.32x0.34x0.70x0.77x0.93x0.50x
Interest Paid002.14M0000
Taxes Paid0000000

Key Ratios

Metric2018201920202021202220232024
Return on Equity (ROE)-66.28%-466.41%-92.86%-31.42%-18.99%-21.85%-96.27%
Return on Invested Capital (ROIC)--62.88%-16.83%-11.72%-9.55%-10.76%-14.97%
Debt / Equity2.36x8.36x2.35x0.61x0.49x1.29x2.22x
Interest Coverage--17.75x-4.68x-10.46x-30.79x-3.63x-2.56x
FCF Conversion1.32x0.32x0.34x0.70x0.77x0.93x0.50x

Frequently Asked Questions

Growth & Financials

PureCycle Technologies, Inc. (PCT) reported $5.7M in revenue for fiscal year 2024.

PureCycle Technologies, Inc. (PCT) grew revenue by 0.0% over the past year. Growth has been modest.

PureCycle Technologies, Inc. (PCT) reported a net loss of $228.5M for fiscal year 2024.

Dividend & Returns

PureCycle Technologies, Inc. (PCT) has a return on equity (ROE) of -96.3%. Negative ROE indicates the company is unprofitable.

PureCycle Technologies, Inc. (PCT) had negative free cash flow of $195.0M in fiscal year 2024, likely due to heavy capital investments.

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