PALATIN TECHNOLOGIES INC (PTN)

↓ Download CSV

CIK 0000911216 · Nasdaq · Pharmaceutical Preparations

  • Sector Manufacturing
  • Incorporated NJ
  • Fiscal year ends Jun 30

In fiscal 2025, PALATIN TECHNOLOGIES INC reported revenue of $0, down 100.0% from the prior year. The company ran a net loss. It held $3.27M in total assets against $8.04M in total liabilities.

Key ratios (FY2025)

-100.0%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$0$4.49M$4.85M$1.47M-$188.6K$118.0K$60.30M$67.13M$67.13M$0
Cost of Revenue$97.6K$418.5K$217.5K$147.8K$0
Operating Income-$17.46M-$22.50M-$32.46M-$36.59M-$33.38M-$23.61M$35.74M$25.93M$25.93M-$49.25M
Net Income-$17.31M-$29.74M-$24.04M-$36.20M-$33.60M-$22.43M$35.77M$24.70M$24.70M-$51.71M
EPS (Diluted)$-32.15$-101.16$-0.10$0.16$0.12$0.12$-0.33
Total Assets$3.27M$10.74M$17.94M$36.07M$67.30M$85.05M$104.74M$39.02M$56.83M$10.86M
Total Liabilities$8.04M$10.85M$19.66M$19.80M$17.65M$4.88M$4.19M$12.05M$62.00M$28.44M
Shareholders' Equity-$4.78M-$111.5K-$1.98M$16.27M$49.65M$80.17M$100.55M$26.96M-$5.16M-$17.59M
Cash & Equivalents$2.56M$9.53M$10.98M$29.94M$60.10M$82.85M$43.51M$38.00M$40.20M$8.00M
Operating Cash Flow-$21.31M-$31.46M-$29.27M-$29.92M-$93.6K$41.33M-$21.78M$1.70M$12.88M-$47.36M
Capital Expenditures$0$42.5K$433.9K$261.4K$5.7K$62.9K$36.1K$22.5K$133.4K$17.7K
Shares Outstanding929.6K358.5K11.66M9.27M9.20M229.26M226.82M200.55M160.52M68.57M