63 EUR
1.5
2.33%
Last update Dec 16, 7:31 PM CET
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Day range
63
63
Previous close
64.5
Open
63
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Ptc Therapeutics Inc.
63.00
1.50
2.33%

Financials

Cash flow

Fundamentals currency is USD
Fiscal date 2024 2023 2022 2021
Operating activities -275.5M -423.0M -412.3M -346.8M
Net income -309.6M -626.6M -559.0M -523.9M
Depreciation 64.5M 236.6M 128.8M 64.1M
Deferred taxes -47.7M -46.9M -34.3M 377K
StockBased compensation 63.6M 131.2M 110.3M 103.5M
Other non cash items -67.3M -104.7M 186K 63.0M
Accounts receivable 1.5M -1.5M -48.5M -45.0M
Accounts payable
Other assets liabilities 19.5M -11.0M -9.9M -8.9M
Investing activities 95.4M -84.6M 410.6M 276.3M
Capital expenditures 18.4M -28.4M -32.0M -28.2M
Net intangibles -57.7M -92.2M -120.4M -57.1M
Net acquisitions
Purchase of investments -568.8M -212.5M -75.6M -543.3M
Sale of investments 517.9M 156.4M 518.2M 847.8M
Other investing activity 127.8M
Financing activities 189.3M 616.4M 146.9M -2.2M
Long term debt issuance 0 0 300M 0
Long term debt payments -1.3M -301.4M -151.3M -2.2M
Short term debt issuance
Common stock issuance 0 0 50M 0
Common stock repurchase
Common dividends
Other financing charges 190.6M 917.8M -51.9M
End cash position 677.8M 610.3M 295.9M 197.2M
Income tax paid 15.0M 14.2M 4.9M 7.7M
Interest paid 5.0M 36.1M 18.5M 9.6M
Free cash flow -155.1M -279.0M -509.1M -336.7M
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