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PTT GLOBAL CHEMICAL PUBLIC CO LTD THB10(NVDR) (PGCPF)

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  • 0.6800
  • 0.00000.00%
15min DelayClose Nov 3 10:03 ET
3.07BMarket Cap-8.95P/E (TTM)

PTT GLOBAL CHEMICAL PUBLIC CO LTD THB10(NVDR) (PGCPF) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2026
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
155.99%31.34B
26.32%40.83B
-190.02%-16.89B
2,554.02%39.21B
505.79%6.26B
10.77%12.24B
-32.99%32.32B
99.38%18.76B
-85.99%1.48B
-89.67%1.03B
Net income from continuing operations
196.04%2.51B
48.12%-15.57B
47.76%-6.14B
84.27%-3.07B
-304.16%-3.75B
-338.89%-2.61B
-3,569.71%-30.01B
-334.28%-11.75B
-1,496.11%-19.51B
132.78%1.84B
Operating gains losses
144.91%447.03M
-134.48%-3.13B
-75.12%1.37B
-138.39%-894.57M
-335.01%-2.61B
-154.76%-995.44M
219.49%9.06B
162.51%5.52B
-9.56%2.33B
-163.91%-599.34M
Depreciation and amortization
-8.23%6.17B
-10.50%26.38B
-10.78%6.38B
-8.72%6.69B
-15.33%6.59B
-6.80%6.72B
3.47%29.48B
-1.84%7.16B
1.79%7.33B
10.66%7.78B
Deferred tax
276.00%994.16M
149.42%577.19M
147.46%646.65M
23.10%-768.7M
-51.86%434.84M
-9.12%264.4M
-186.38%-1.17B
-213.63%-1.36B
-314.28%-999.65M
433.32%903.24M
Other non cash items
-47.69%1.33B
-12.05%8.21B
999.20%753.43M
-60.31%2.38B
1,085.04%2.54B
-17.21%2.54B
-5.02%9.33B
-94.08%68.54M
76.51%5.98B
-91.86%214.46M
Change In working capital
73.14%11.6B
142.73%21.98B
-212.66%-22.94B
1,445.62%34.94B
138.69%3.28B
2,877.15%6.7B
-50.75%9.05B
451.03%20.36B
34.70%-2.6B
-258.66%-8.47B
-Change in receivables
-1,029.29%-21.62B
-34.88%8.14B
-48.13%2.41B
-55.47%4.89B
-153.51%-1.49B
139.31%2.33B
204.45%12.5B
275.57%4.65B
189.01%10.99B
146.15%2.78B
-Change in inventory
-166.37%-5.93B
143.02%4.46B
-105.03%-497.62M
17.24%2.34B
200.68%4.84B
57.63%-2.23B
-81.40%1.84B
34.78%9.9B
168.45%2B
-306.17%-4.81B
-Change in payables and accrued expense
389.40%42.08B
240.45%15.17B
-6,477.30%-21.6B
267.96%27.87B
104.61%296.04M
-27.66%8.6B
-165.66%-10.8B
114.86%338.72M
-249.17%-16.59B
-261.49%-6.43B
-Change in other current assets
-269.74%-3.82B
-152.21%-234.1M
436.91%731.39M
-95.41%44.68M
-83.03%21.65M
-30.63%-1.03B
-85.94%448.38M
-72.92%136.22M
379.98%974.46M
-89.67%127.57M
-Change in other current liabilities
23.10%-45.59M
-191.06%-1.09B
-184.65%-1.02B
106.26%7.48M
-123.58%-19.29M
-290.06%-59.28M
335.93%1.19B
922.24%1.2B
-514.82%-119.47M
-71.13%81.83M
-Change in other working capital
202.63%932.77M
-215.42%-4.47B
-171.71%-2.96B
-240.09%-223.38M
-67.63%-375.26M
-366.72%-908.83M
580.93%3.87B
350.49%4.13B
324.20%159.46M
-105.67%-223.86M
Cash from discontinued investing activities
Operating cash flow
155.99%31.34B
26.32%40.83B
-190.02%-16.89B
2,554.02%39.21B
505.79%6.26B
10.77%12.24B
-32.99%32.32B
99.38%18.76B
-85.99%1.48B
-89.67%1.03B
Investing cash flow
Cash flow from continuing investing activities
405.54%5.68B
-200.26%-11.68B
10.44%-4.16B
-136.59%-3.26B
-125.92%-2.4B
73.82%-1.86B
67.98%-3.89B
-45.89%-4.65B
68.89%-1.38B
8,043.02%9.24B
Net PPE purchase and sale
152.91%1.23B
15.15%-13.37B
27.01%-3.71B
-26.65%-3.86B
-10.45%-3.48B
48.14%-2.32B
-4.50%-15.76B
-30.82%-5.09B
20.86%-3.05B
-32.27%-3.15B
Net business purchase and sale
--4.4B
-53.62%424.75M
1,573.29%790.05M
--0
-137.68%-365.3M
--0
-14.60%915.75M
-104.65%-53.63M
--0
1,307.94%969.38M
Net investment purchase and sale
-58.43%86.04M
-118.47%-1.66B
-300.06%-2.01B
-101.27%-14.69M
-98.39%160.43M
106.50%206.95M
496.69%8.97B
161.09%1B
204.38%1.16B
4,534.82%9.99B
Net other investing changes
---363.03M
108.50%63.14M
--0
----
----
----
-226.54%-742.85M
-190.85%-800M
--0
--0
Cash from discontinued investing activities
Investing cash flow
405.54%5.68B
-200.26%-11.68B
10.44%-4.16B
-136.59%-3.26B
-125.92%-2.4B
73.82%-1.86B
67.98%-3.89B
-45.89%-4.65B
68.89%-1.38B
8,043.02%9.24B
Financing cash flow
Cash flow from continuing financing activities
56.89%-2.96B
-24.02%-41.84B
242.13%7.24B
-3,103.63%-29.49B
48.66%-12.72B
-134.29%-6.88B
-34.29%-33.74B
38.17%-5.1B
-117.05%-920.37M
-90.76%-24.78B
Net issuance payments of debt
76.39%-1.01B
-66.62%-30.9B
410.43%8.56B
-1,231.41%-27.33B
58.71%-7.86B
-607.55%-4.26B
-42.18%-18.55B
56.10%-2.76B
-72.97%2.42B
-95.55%-19.04B
Cash dividends paid
9.37%-18.12M
28.14%-2.52B
--0
-755.15%-123.49M
29.80%-2.37B
53.27%-20M
-176.03%-3.5B
-6,422,307,400.00%-64.22M
73.20%-14.44M
-180.61%-3.38B
Net other financing activities
----
--195M
----
----
----
----
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
56.89%-2.96B
-24.02%-41.84B
242.13%7.24B
-3,103.63%-29.49B
48.66%-12.72B
-134.29%-6.88B
-34.29%-33.74B
38.17%-5.1B
-117.05%-920.37M
-90.76%-24.78B
Net cash flow
Beginning cash position
-42.20%18.93B
-12.26%32.75B
38.08%34.11B
0.46%27.63B
-7.70%36.73B
-12.26%32.75B
43.87%37.32B
-38.28%24.7B
-2.93%27.5B
29.91%39.8B
Current changes in cash
871.33%34.06B
-139.21%-12.69B
-253.19%-13.81B
888.47%6.47B
38.96%-8.86B
246.04%3.51B
-148.39%-5.3B
545.51%9.01B
-107.12%-820.25M
-368.52%-14.51B
Effect of exchange rate changes
175.19%1.33B
-243.43%-1.05B
-33.78%-1.3B
100.70%13.82M
-111.09%-245.59M
-67.17%481.57M
75.79%731.01M
-41.37%-970.51M
-1,193.12%-1.98B
178.42%2.21B
End cash Position
47.88%54.32B
-42.20%18.93B
-42.20%18.93B
38.08%34.11B
0.46%27.63B
-7.70%36.73B
-12.26%32.75B
-12.26%32.75B
-38.28%24.7B
-2.93%27.5B
Free cash flow
198.75%27.73B
62.53%26.81B
-251.20%-20.6B
2,333.84%35.34B
231.10%2.78B
41.25%9.28B
-42.43%16.49B
229.29%13.63B
-123.88%-1.58B
-146.34%-2.12B
Currency Unit
THB
THB
THB
THB
THB
THB
THB
THB
THB
THB
(Q1)Mar 31, 2026(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 155.99%31.34B26.32%40.83B-190.02%-16.89B2,554.02%39.21B505.79%6.26B10.77%12.24B-32.99%32.32B99.38%18.76B-85.99%1.48B-89.67%1.03B
Net income from continuing operations 196.04%2.51B48.12%-15.57B47.76%-6.14B84.27%-3.07B-304.16%-3.75B-338.89%-2.61B-3,569.71%-30.01B-334.28%-11.75B-1,496.11%-19.51B132.78%1.84B
Operating gains losses 144.91%447.03M-134.48%-3.13B-75.12%1.37B-138.39%-894.57M-335.01%-2.61B-154.76%-995.44M219.49%9.06B162.51%5.52B-9.56%2.33B-163.91%-599.34M
Depreciation and amortization -8.23%6.17B-10.50%26.38B-10.78%6.38B-8.72%6.69B-15.33%6.59B-6.80%6.72B3.47%29.48B-1.84%7.16B1.79%7.33B10.66%7.78B
Deferred tax 276.00%994.16M149.42%577.19M147.46%646.65M23.10%-768.7M-51.86%434.84M-9.12%264.4M-186.38%-1.17B-213.63%-1.36B-314.28%-999.65M433.32%903.24M
Other non cash items -47.69%1.33B-12.05%8.21B999.20%753.43M-60.31%2.38B1,085.04%2.54B-17.21%2.54B-5.02%9.33B-94.08%68.54M76.51%5.98B-91.86%214.46M
Change In working capital 73.14%11.6B142.73%21.98B-212.66%-22.94B1,445.62%34.94B138.69%3.28B2,877.15%6.7B-50.75%9.05B451.03%20.36B34.70%-2.6B-258.66%-8.47B
-Change in receivables -1,029.29%-21.62B-34.88%8.14B-48.13%2.41B-55.47%4.89B-153.51%-1.49B139.31%2.33B204.45%12.5B275.57%4.65B189.01%10.99B146.15%2.78B
-Change in inventory -166.37%-5.93B143.02%4.46B-105.03%-497.62M17.24%2.34B200.68%4.84B57.63%-2.23B-81.40%1.84B34.78%9.9B168.45%2B-306.17%-4.81B
-Change in payables and accrued expense 389.40%42.08B240.45%15.17B-6,477.30%-21.6B267.96%27.87B104.61%296.04M-27.66%8.6B-165.66%-10.8B114.86%338.72M-249.17%-16.59B-261.49%-6.43B
-Change in other current assets -269.74%-3.82B-152.21%-234.1M436.91%731.39M-95.41%44.68M-83.03%21.65M-30.63%-1.03B-85.94%448.38M-72.92%136.22M379.98%974.46M-89.67%127.57M
-Change in other current liabilities 23.10%-45.59M-191.06%-1.09B-184.65%-1.02B106.26%7.48M-123.58%-19.29M-290.06%-59.28M335.93%1.19B922.24%1.2B-514.82%-119.47M-71.13%81.83M
-Change in other working capital 202.63%932.77M-215.42%-4.47B-171.71%-2.96B-240.09%-223.38M-67.63%-375.26M-366.72%-908.83M580.93%3.87B350.49%4.13B324.20%159.46M-105.67%-223.86M
Cash from discontinued investing activities
Operating cash flow 155.99%31.34B26.32%40.83B-190.02%-16.89B2,554.02%39.21B505.79%6.26B10.77%12.24B-32.99%32.32B99.38%18.76B-85.99%1.48B-89.67%1.03B
Investing cash flow
Cash flow from continuing investing activities 405.54%5.68B-200.26%-11.68B10.44%-4.16B-136.59%-3.26B-125.92%-2.4B73.82%-1.86B67.98%-3.89B-45.89%-4.65B68.89%-1.38B8,043.02%9.24B
Net PPE purchase and sale 152.91%1.23B15.15%-13.37B27.01%-3.71B-26.65%-3.86B-10.45%-3.48B48.14%-2.32B-4.50%-15.76B-30.82%-5.09B20.86%-3.05B-32.27%-3.15B
Net business purchase and sale --4.4B-53.62%424.75M1,573.29%790.05M--0-137.68%-365.3M--0-14.60%915.75M-104.65%-53.63M--01,307.94%969.38M
Net investment purchase and sale -58.43%86.04M-118.47%-1.66B-300.06%-2.01B-101.27%-14.69M-98.39%160.43M106.50%206.95M496.69%8.97B161.09%1B204.38%1.16B4,534.82%9.99B
Net other investing changes ---363.03M108.50%63.14M--0-------------226.54%-742.85M-190.85%-800M--0--0
Cash from discontinued investing activities
Investing cash flow 405.54%5.68B-200.26%-11.68B10.44%-4.16B-136.59%-3.26B-125.92%-2.4B73.82%-1.86B67.98%-3.89B-45.89%-4.65B68.89%-1.38B8,043.02%9.24B
Financing cash flow
Cash flow from continuing financing activities 56.89%-2.96B-24.02%-41.84B242.13%7.24B-3,103.63%-29.49B48.66%-12.72B-134.29%-6.88B-34.29%-33.74B38.17%-5.1B-117.05%-920.37M-90.76%-24.78B
Net issuance payments of debt 76.39%-1.01B-66.62%-30.9B410.43%8.56B-1,231.41%-27.33B58.71%-7.86B-607.55%-4.26B-42.18%-18.55B56.10%-2.76B-72.97%2.42B-95.55%-19.04B
Cash dividends paid 9.37%-18.12M28.14%-2.52B--0-755.15%-123.49M29.80%-2.37B53.27%-20M-176.03%-3.5B-6,422,307,400.00%-64.22M73.20%-14.44M-180.61%-3.38B
Net other financing activities ------195M--------------------------------
Cash from discontinued financing activities
Financing cash flow 56.89%-2.96B-24.02%-41.84B242.13%7.24B-3,103.63%-29.49B48.66%-12.72B-134.29%-6.88B-34.29%-33.74B38.17%-5.1B-117.05%-920.37M-90.76%-24.78B
Net cash flow
Beginning cash position -42.20%18.93B-12.26%32.75B38.08%34.11B0.46%27.63B-7.70%36.73B-12.26%32.75B43.87%37.32B-38.28%24.7B-2.93%27.5B29.91%39.8B
Current changes in cash 871.33%34.06B-139.21%-12.69B-253.19%-13.81B888.47%6.47B38.96%-8.86B246.04%3.51B-148.39%-5.3B545.51%9.01B-107.12%-820.25M-368.52%-14.51B
Effect of exchange rate changes 175.19%1.33B-243.43%-1.05B-33.78%-1.3B100.70%13.82M-111.09%-245.59M-67.17%481.57M75.79%731.01M-41.37%-970.51M-1,193.12%-1.98B178.42%2.21B
End cash Position 47.88%54.32B-42.20%18.93B-42.20%18.93B38.08%34.11B0.46%27.63B-7.70%36.73B-12.26%32.75B-12.26%32.75B-38.28%24.7B-2.93%27.5B
Free cash flow 198.75%27.73B62.53%26.81B-251.20%-20.6B2,333.84%35.34B231.10%2.78B41.25%9.28B-42.43%16.49B229.29%13.63B-123.88%-1.58B-146.34%-2.12B
Currency Unit THBTHBTHBTHBTHBTHBTHBTHBTHBTHB
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