Puma Vct 13 plc (PU13)

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PU13London Stock Exchange
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Financial charts

Net income

Free cash flow

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Total cash / debt

CashTotal debt

Financial statements

5 annual periodsNewest to oldest
20262025202420232022
Revenue£5.6M£1.4M−£7.4M£3.2M
Operating expenses£1.3M£1.1M£740,000£511,000
Net income£4.2M£217,000−£8.1M£2.7M
Net profit margin76.38%16.04%84.11%
Basic EPSper basic share£0.00-£0.09£0.05£0.36
Diluted EPSper diluted share£0.00-£0.09£0.05£0.36

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