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Peraso Inc. (PRSO) 10-Year Financial Performance & Capital Metrics

PRSO • • Industrial / General
TechnologySemiconductorsConnectivity & Communication SemiconductorsWireless Connectivity
AboutPeraso Inc. operates as a fabless semiconductor company, develops, markets, and sells semiconductor devices and modules. It focuses on development of millimeter wavelength (mmWave) for the 60 gigahertz, spectrum, and for 5G cellular networks. The company's products include mmWave ICs, including baseband IC, various mmWave radio frequency, integrated circuits, as well as associated antenna technology; and mmWave modules. It also provides accelerator engine products, comprising bandwidth engine for high-performance applications where throughput is critical; and programmable hyperspeed engine to allow user-defined functions or algorithms. In addition, the company offers quad partition rate which allows for parallel accesses to multiple partitions of the memory simultaneously. Its mmWave products enable various applications, such as 5G with low latency and high reliability, multi-gigabit, mmWave links over 25 kilometers, as well as consumer applications, such as wireless video streaming, and untethered augmented reality and virtual reality. The company also licenses intellectual property, as well as offers non-recurring engineering services. It markets its products through direct sales personnel, as well as sells representatives and distributors. The company was formerly knowns as MoSys, Inc. and changed its name to Peraso Inc. in December 2021. Peraso Inc. was incorporated in 1991 and is based in San Jose, California.Show more
  • Revenue $15M +6.0%
  • EBITDA -$11M +42.5%
  • Net Income -$11M +36.1%
  • EPS (Diluted) -3.57 +86.3%
  • Gross Margin 51.69% +279.7%
  • EBITDA Margin -74.27% +45.7%
  • Operating Margin -85.33% +43.1%
  • Net Margin -73.62% +39.7%
  • ROE -284.22% -63.6%
  • ROIC -509.35% -198.6%
  • Debt/Equity 0.09 -47.4%
  • Interest Coverage -1243.50 -26.6%
Technical Analysis

Key Insights

Based on financial data analysis

✓Strengths

  • ✓Company is almost debt free
  • ✓Strong 5Y sales CAGR of 95.8%
  • ✓Trading at only 0.9x book value
  • ✓Efficient asset utilization: 2.0x turnover

✗Weaknesses

  • ✗Negative free cash flow
  • ✗Low quality earnings: Net income not backed by cash flow
  • ✗Shares diluted 100.0% in last year
  • ✗Trading more than 30% below 52-week high

* 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

10Y12.73%
5Y95.83%
3Y36.91%
TTM2.14%

Profit (Net Income) CAGR

10Y-
5Y-
3Y-
TTM72%

EPS CAGR

10Y-
5Y-
3Y-
TTM94.23%

ROCE

10Y Avg-108.17%
5Y Avg-139.3%
3Y Avg-177.01%
Latest-251.64%

Peer Comparison

Wireless Connectivity
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Quality & Returns
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Technical
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Sector-Specific
NameMarket CapCurrent PriceP/E RatioRevenue Growth 1YNet MarginROEFCF YieldDebt/Equity
QRVOQorvo, Inc.7.42B80.29138.43-1.34%5.95%6.21%6.53%0.46
QCOMQUALCOMM Incorporated177.03B165.2932.9913.66%12.51%26.13%7.24%0.70
NXPINXP Semiconductors N.V.60.17B239.0924.57-4.99%17.11%19.77%3.42%1.14
SWKSSkyworks Solutions, Inc.8.77B58.5018.99-2.18%11.67%8.29%12.61%0.21
SQNSSequans Communications S.A.85.6M5.490.289.56%-79.37%-11.09%0.30
PRSOPeraso Inc.9.4M1.01-0.285.99%-39%-140.79%0.09
MOBXMobix Labs, Inc.22.63M0.24-0.41426.31%-381.82%-98.68%0.88
GCTSGCT Semiconductor Holding, Inc.66.24M1.16-4.30-43.05%-10.1%

Profit & Loss

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Sales/Revenue+4.39M6.02M8.84M16.6M506K9.09M5.68M14.87M13.75M14.57M
Revenue Growth %-0%0.37%0.47%0.88%-0.97%16.96%-0.38%1.62%-0.08%0.06%
Cost of Goods Sold+2.79M3.19M4.81M6.46M477.43K1.75M3.27M8.91M11.88M7.04M
COGS % of Revenue0.64%0.53%0.54%0.39%0.94%0.19%0.58%0.6%0.86%0.48%
Gross Profit+1.59M2.84M4.04M10.14M28.57K7.34M2.41M5.95M1.87M7.53M
Gross Margin %0.36%0.47%0.46%0.61%0.06%0.81%0.42%0.4%0.14%0.52%
Gross Profit Growth %-0.59%0.78%0.42%1.51%-1%256%-0.67%1.47%-0.69%3.02%
Operating Expenses+33.09M23.67M12.75M8.11M17.73M15.49M18.49M38.26M22.5M19.97M
OpEx % of Revenue7.54%3.93%1.44%0.49%35.04%1.7%3.26%2.57%1.64%1.37%
Selling, General & Admin6.3M5.69M4.7M4.09M5.76M7.2M0000
SG&A % of Revenue1.43%0.95%0.53%0.25%11.39%0.79%----
Research & Development26.79M17.98M8.05M4.02M10.32M8.29M11.47M19.77M14.4M9.23M
R&D % of Revenue6.1%2.98%0.91%0.24%20.39%0.91%2.02%1.33%1.05%0.63%
Other Operating Expenses00001.65M07.02M18.5M8.1M10.74M
Operating Income+-31.49M-31.36M-10.03M2.03M-17.7M-8.14M-16.08M-32.31M-20.63M-12.44M
Operating Margin %-7.17%-5.21%-1.13%0.12%-34.98%-0.9%-2.83%-2.17%-1.5%-0.85%
Operating Income Growth %-0.26%0%0.68%1.2%-9.72%0.54%-0.97%-1.01%0.36%0.4%
EBITDA+-30.56M-30.25M-9.17M2.74M-15.84M-6.48M-15.02M-30.65M-18.81M-10.82M
EBITDA Margin %-6.96%-5.02%-1.04%0.17%-31.3%-0.71%-2.65%-2.06%-1.37%-0.74%
EBITDA Growth %-0.3%0.01%0.7%1.3%-6.78%0.59%-1.32%-1.04%0.39%0.42%
D&A (Non-Cash Add-back)928K1.11M859K709K1.87M1.66M1.06M1.66M1.81M1.61M
EBIT-31.4M-31.32M-9.97M-10.81M-17.95M-8.13M-16.08M-24.92M-21.03M-10.37M
Net Interest Income+0000-16.71K-2.1M-2.98M-16K-21K-10K
Interest Income0000000000
Interest Expense0687K927K-582K16.71K2.1M2.98M16K21K10K
Other Income/Expense94K-11.17M-2.19M-570K-268.03K-2.08M5.17M-86K3.83M1.71M
Pretax Income+-31.4M-32M-10.9M-11.4M-17.97M-10.23M-10.91M-32.4M-16.8M-10.73M
Pretax Margin %-7.15%-5.31%-1.23%-0.69%-35.51%-1.13%-1.92%-2.18%-1.22%-0.74%
Income Tax+86K45K-233K13K000000
Effective Tax Rate %1%1%0.98%1%1%1%1%1%1%1%
Net Income+-31.48M-32.05M-10.67M-11.41M-17.97M-10.23M-10.91M-32.4M-16.8M-10.73M
Net Margin %-7.17%-5.32%-1.21%-0.69%-35.51%-1.13%-1.92%-2.18%-1.22%-0.74%
Net Income Growth %-0.27%-0.02%0.67%-0.07%-0.58%0.43%-0.07%-1.97%0.48%0.36%
Net Income (Continuing)-31.48M-32.05M-10.67M-11.41M-17.97M-10.23M-10.91M-32.4M-16.8M-10.73M
Discontinued Operations0000000000
Minority Interest0000000000
EPS (Diluted)+-4030.02-3884.02-1163.04-592.95-56.88-144.00-74.40-64.40-26.00-3.57
EPS Growth %-0.01%0.04%0.7%0.49%0.9%-1.53%0.48%0.13%0.6%0.86%
EPS (Basic)-4030.02-3884.02-1163.04-592.95-56.88-30.92-74.40-64.40-26.00-3.57
Diluted Shares Outstanding7.81K8.25K9.17K19.24K493.84K106.05K146.72K502.5K646K3M
Basic Shares Outstanding7.81K8.25K9.17K19.24K493.84K493.84K146.72K502.5K646K3M
Dividend Payout Ratio----------

Balance Sheet

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Total Current Assets+23.27M12.25M8.66M10.8M5.68M6.58M23.68M12.71M5.54M6.29M
Cash & Short-Term Investments20.24M9.77M3.87M7.1M6.35M1.71M15.16M2.91M1.58M3.34M
Cash Only5.64M8.77M3.87M7.1M6.05M1.71M5.89M1.83M1.58M3.34M
Short-Term Investments14.6M1M00300K09.27M1.08M00
Accounts Receivable777K576K1.68M1.71M1.24M922K3.54M3.29M767K682K
Days Sales Outstanding64.634.969.3937.56891.5837.02227.280.6420.3617.08
Inventory1.6M1.45M1.77M1.15M1.11M1.6M3.82M5.35M2.61M2.08M
Days Inventory Outstanding208.55166.23134.1264.89846.93334.72426.84218.9680.09107.79
Other Current Assets519K90K87K61K-4M2.22M167K738K28K99K
Total Non-Current Assets+25.43M14.89M14.48M959K4.5M3.4M24.27M9.77M5.17M913K
Property, Plant & Equipment1.63M1.27M827K279K4.29M3.35M2.97M3.37M1.77M779K
Fixed Asset Turnover2.69x4.73x10.69x59.50x0.12x2.71x1.91x4.41x7.76x18.71x
Goodwill23.13M13.28M13.28M420K009.95M000
Intangible Assets334K223K111K0153.84K08.36M6.28M3.28M13K
Long-Term Investments0000002.93M000
Other Non-Current Assets329K121K263K260K52.56K53K78K123K123K121K
Total Assets+48.69M27.14M23.14M11.76M10.18M9.99M47.95M22.49M10.71M7.21M
Asset Turnover0.09x0.22x0.38x1.41x0.05x0.91x0.12x0.66x1.28x2.02x
Asset Growth %-0.07%-0.44%-0.15%-0.49%-0.13%-0.02%3.8%-0.53%-0.52%-0.33%
Total Current Liabilities+3.6M3.33M6.62M1.91M1.72M2.35M5.59M4.68M4.53M3.5M
Accounts Payable940K561K170K236K218K1.09M1.94M1.84M2.45M1.04M
Days Payables Outstanding122.7564.2712.9113.34166.66226.77216.2175.575.2353.71
Short-Term Debt138K000166K581K0330K00
Deferred Revenue (Current)31K01000K573K166K0375K332K1000K341K
Other Current Liabilities2.53M2.77M1.74M1.05M909.18K1K01.02M206K1.99M
Current Ratio6.46x3.67x1.31x5.65x3.31x2.80x4.23x2.72x1.22x1.80x
Quick Ratio6.01x3.24x1.04x5.05x2.67x2.12x3.55x1.57x0.65x1.20x
Cash Conversion Cycle150.4136.86190.689.111.57K144.98437.83224.1125.2271.16
Total Non-Current Liabilities+247K8.48M9.18M2.69M3.88M11.56M288K2.55M2.1M237K
Long-Term Debt08.25M9.16M2.67M1.63M4.32M0000
Capital Lease Obligations0000742.06K532K288K470K349K182K
Deferred Tax Liabilities0000000000
Other Non-Current Liabilities247K233K18K17K1.5M6.71M02.08M1.75M55K
Total Liabilities3.85M11.82M15.79M4.6M5.59M13.91M5.88M7.23M6.63M3.74M
Total Debt+138K8.25M9.16M2.67M2.8M5.66M667K1.49M719K321K
Net Debt-5.5M-516K5.29M-4.43M-3.26M3.95M-5.23M-341K-864K-3.02M
Debt / Equity0.00x0.54x1.25x0.37x0.61x-0.02x0.10x0.18x0.09x
Debt / EBITDA---0.98x------
Net Debt / EBITDA----1.62x------
Interest Coverage--45.65x-10.82x--1059.34x-3.88x-5.40x-2019.50x-982.14x-1243.50x
Total Equity+44.84M15.33M7.35M7.16M4.59M-3.92M42.07M15.26M4.08M3.47M
Equity Growth %-0.09%-0.66%-0.52%-0.03%-0.36%-1.85%11.73%-0.64%-0.73%-0.15%
Book Value per Share5740.021857.71800.87371.979.29-36.97286.7230.366.321.15
Total Shareholders' Equity44.84M15.33M7.35M7.16M4.59M-3.92M42.07M15.26M4.08M3.47M
Common Stock655K7K8K43K137.92K5K12K14K1K3K
Retained Earnings-181.97M-214.02M-224.69M-235.87M-96.06M-106.29M-117.2M-149.6M-166.39M-177.12M
Treasury Stock0000000000
Accumulated OCI-16K000-17.58M00-25K01.19M
Minority Interest0000000000

Cash Flow

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Cash from Operations+-27.47M-17.94M-7.58M335K-14.07M-10.24M-12.02M-16.02M-4.69M-4.58M
Operating CF Margin %-6.26%-2.98%-0.86%0.02%-27.8%-1.13%-2.12%-1.08%-0.34%-0.31%
Operating CF Growth %-0.21%0.35%0.58%1.04%-42.99%0.27%-0.17%-0.33%0.71%0.02%
Net Income-31.48M-32.05M-10.67M-11.41M-17.97M-10.23M-10.91M-32.4M-16.8M-10.73M
Depreciation & Amortization928K1.11M859K709K1.87M1.66M1.37M3.06M3.81M3.91M
Stock-Based Compensation3.65M2.15M719K719K1.9M1.71M4.48M5.73M5.21M3.59M
Deferred Taxes1.01M103K1.84M1.84M0-96.27K-8.1M000
Other Non-Cash Items6.51M15.03M5.21M14.56M19.71K1.75M1.88M10.01M241K-1.29M
Working Capital Changes-569K292K580K-3.08M118.26K-5.04M-737K-2.42M2.84M-61K
Change in Receivables-552K170K-1.12M289K1.05M-4.03M-848K352K2.67M51K
Change in Inventory-716K146K-315K618K-414.97K-165.7K-1.42M-1.52M-816K168K
Change in Payables261K-419K-402K66K0-142K804K-94K604K-1.41M
Cash from Investing+6.88M12.97M714K-50K-1.09M-38.13K6.63M10.04M1.01M0
Capital Expenditures-1.2M-646K-300K-50K-1.09M-38.13K-236K-988K-94K0
CapEx % of Revenue0.27%0.11%0.03%0%2.15%0%0.04%0.07%0.01%-
Acquisitions----------
Investments----------
Other Investing0012K12K0-300K-165K-21K00
Cash from Financing+23.13M8.1M1.97M2.95M7.88M10.08M9.57M1.92M3.44M6.34M
Debt Issued (Net)----------
Equity Issued (Net)----------
Dividends Paid0000000000
Share Repurchases----------
Other Financing000-46K9.73K573.76K0-120K-49K2.58M
Net Change in Cash----------
Free Cash Flow+-28.68M-18.59M-7.88M285K-15.16M-10.28M-12.25M-17.03M-4.78M-4.58M
FCF Margin %-6.53%-3.09%-0.89%0.02%-29.95%-1.13%-2.16%-1.15%-0.35%-0.31%
FCF Growth %-0.26%0.35%0.58%1.04%-54.18%0.32%-0.19%-0.39%0.72%0.04%
FCF per Share-3670.76-2252.94-858.9814.81-30.69-96.96-83.50-33.89-7.41-1.53
FCF Conversion (FCF/Net Income)0.87x0.56x0.71x-0.03x0.78x1.00x1.10x0.49x0.28x0.43x
Interest Paid0000000000
Taxes Paid0000000000

Key Ratios

Metric2015201620172018201920202021202220232024
Return on Equity (ROE)-66.71%-106.53%-94.1%-157.33%-306.03%-3072.4%-57.2%-113.03%-173.68%-284.22%
Return on Invested Capital (ROIC)-55.07%-86.88%-54.83%19.82%-654.86%-899.88%-65.41%-93.64%-170.6%-509.35%
Gross Margin36.33%47.11%45.65%61.1%5.65%80.77%42.42%40.04%13.62%51.69%
Net Margin-717.15%-532.01%-120.65%-68.73%-3551.31%-112.51%-192.13%-217.9%-122.15%-73.62%
Debt / Equity0.00x0.54x1.25x0.37x0.61x-0.02x0.10x0.18x0.09x
Interest Coverage--45.65x-10.82x--1059.34x-3.88x-5.40x-2019.50x-982.14x-1243.50x
FCF Conversion0.87x0.56x0.71x-0.03x0.78x1.00x1.10x0.49x0.28x0.43x
Revenue Growth-0.18%37.22%46.78%87.74%-96.95%1696.44%-37.52%161.81%-7.53%5.99%

Revenue by Segment

20192020202120232024
Product9.38M5.93M4.91M12.85M14.25M
Product Growth--36.73%-17.31%161.99%10.85%
License And Other--773K--
License And Other Growth-----
Royalty And Other709K862K---
Royalty And Other Growth-21.58%---

Revenue by Geography

20192020202120232024
North America7.58M5.45M1.97M-12.48M
North America Growth--28.09%-63.92%--
Rest Of World Member---1.64M1.38M
Rest Of World Member Growth-----15.72%
HONG KONG--2.96M689K474K
HONG KONG Growth----76.68%-31.20%
TAIWAN---2.63M238K
TAIWAN Growth-----90.96%
UNITED STATES---8.79M-
UNITED STATES Growth-----
TAIWAN, PROVINCE OF CHINA345K459K693K--
TAIWAN, PROVINCE OF CHINA Growth-33.04%50.98%--
Rest Of World422K207K63K--
Rest Of World Growth--50.95%-69.57%--
JAPAN1.73M675K---
JAPAN Growth--61.07%---

Frequently Asked Questions

Growth & Financials

Peraso Inc. (PRSO) reported $13.0M in revenue for fiscal year 2024. This represents a 8% decrease from $14.1M in 2011.

Peraso Inc. (PRSO) grew revenue by 6.0% over the past year. This is steady growth.

Peraso Inc. (PRSO) reported a net loss of $5.1M for fiscal year 2024.

Dividend & Returns

Peraso Inc. (PRSO) has a return on equity (ROE) of -284.2%. Negative ROE indicates the company is unprofitable.

Peraso Inc. (PRSO) had negative free cash flow of $5.3M in fiscal year 2024, likely due to heavy capital investments.

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