PureCycle Technologies, Inc.

PCTTU ·Basic Materials, Specialty Chemicals, United States
Financial Statements › Cash Flow Statement
Annual Quarterly

Cash Flow Statement

Line Item FY2025 FY2024 FY2023 FY2022 FY2021 FY2020
Operating Activities
Net Income $-182.6M $-289.1M $-101.7M $-84.7M $-77.5M $-53.0M
Depreciation & Amortization — — — — — —
Depreciation $29.1M $31.3M $15.9M $3.6M $2.3M $1.9M
Amortization — — — — — —
Stock-Based Compensation $14.9M $11.7M $11.8M $10.8M $22.6M $5.6M
Net Cash from Operating Activities $-142.7M $-144.8M $-94.9M $-65.5M $-54.5M $-18.0M
Investing Activities
Capital Expenditures $40.8M $55.6M $153.9M $287.2M $137.4M $29.8M
Business Acquisitions — — — — — —
Net Cash from Investing Activities $-54.5M $-7.0M $-102.1M $-218.4M $-305.6M $-29.8M
Financing Activities
Dividends Paid — — — — — —
Stock Repurchases $4.9M $1.6M $1.4M $1.6M $1.7M $0
Net Cash from Financing Activities $323.7M $-109.2M $272.0M $247.5M $293.4M $378.2M
Net Change in Cash $126.5M $-261.0M $75.0M $-36.3M $-66.7M $330.4M
Free Cash Flow $-183.6M $-200.4M $-248.8M $-352.7M $-191.9M $-47.8M