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NASDAQ:PCT

PureCycle Technologies, Inc.

PureCycle Technologies, Inc.'s revenue was $8.4M in fiscal 2025. Free cash flow was −$183.6M, −2197.3% of revenue, and the diluted share count rose 9.1%.Summary generated from PureCycle Technologies, Inc.'s SEC filings. Latest annual report filed Feb 26, 2026.

Revenue (FY25)$8.4M
Revenue growthn/a
Revenue, 5-yr CAGRn/a
Gross marginn/a
Operating margin−2171.6%
Net margin−2185.1%
ROICn/a
Return on equity−161.3%
Debt / equityn/a
Free cash flow−$183.6M
FCF margin−2197.3%
Share count change+9.1%

Financials

Fiscal years, $M
Item20212022202320242025
Revenuen/an/a008
Operating incomen/an/a−114−145−181
Net income−78−85−102−289−183
Free cash flow−192−353−249−200−184

Recent filings

From SEC EDGAR

Peers

Plastic materials, synth resins & nonvulcan elastomers