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Financial Statements — PTC

Balance Sheet

(in billions USD)
MetricQ3 2026Q2 2026Q1 2026Q3 2025Q2 2025Q1 2025Q3 2024Q2 2024Q1 2024Q3 2023Q1 2023Q3 2022Q2 2022Q1 2022Q3 2021Q2 2021Q1 2021
Cash & Equivalents0.350.440.210.200.240.200.250.250.260.280.320.320.310.390.370.330.40
Accounts Receivable0.820.850.800.710.720.690.670.710.680.630.640.470.510.560.430.430.42
Total Current Assets1.371.501.391.091.131.081.091.151.131.101.170.950.971.130.920.900.94
Property, Plant & Equipment0.060.050.060.070.070.070.080.080.090.090.090.090.090.100.090.100.10
Goodwill3.403.403.413.503.443.423.443.453.463.383.372.382.192.392.202.191.64
Intangible Assets0.770.780.800.840.860.870.910.930.950.960.980.400.360.370.390.410.23
Total Non-current Assets*5.145.035.045.145.034.995.045.055.145.105.133.663.413.673.293.282.51
Total Assets6.516.546.436.236.166.086.136.216.276.216.304.614.384.804.214.183.45
Accounts Payable0.030.010.020.010.010.020.050.020.010.020.040.020.020.040.020.020.03
Total Current Liabilities1.341.221.141.231.151.561.571.520.951.611.590.770.780.790.750.770.71
Long-term Debt1.401.171.171.211.361.021.291.492.251.741.921.431.271.351.481.510.99
Total Non-current Liabilities*1.711.461.451.491.631.281.541.752.512.002.191.681.511.611.741.761.24
Total Liabilities3.042.682.582.722.782.853.113.263.463.613.782.452.292.402.482.531.95
Retained Earnings2.962.842.251.741.591.431.221.151.040.930.870.620.550.800.120.07(0.04)
Total Stockholder Equity3.473.863.843.513.393.233.012.942.812.602.522.162.082.401.721.651.49

* Derived from reported values

Income Statement

(in millions USD) (except per-share rows)
MetricQ3 2026Q2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q1 2023Q4 2022Q3 2022Q2 2022Q1 2022Q4 2021Q3 2021
Total Revenue600.05774.30685.83893.80643.94636.37565.13626.55518.64603.07550.21546.62542.34542.18507.93462.47505.23465.91480.66435.67
Cost of Revenue109.58113.62117.75116.90110.03106.26111.80112.83111.92110.06110.02115.86115.85113.5195.53102.0093.3495.7999.7595.08
Gross Profit490.47660.69568.08776.90533.91530.10453.33513.72406.72493.02440.19430.76426.49428.68412.40360.48411.89370.12380.91340.59
Research & Development115.71124.13119.98114.51116.65111.02115.52110.01110.25107.00105.78102.03103.82100.3588.1888.1781.9488.1878.4078.13
Selling, General & Admin59.9788.6574.0063.6054.1554.9953.3251.9949.6661.5369.2159.5757.0665.9250.7154.6247.4750.9748.5947.08
Total Operating Expenses323.96364.88346.95343.33324.08306.64337.81319.75310.90313.46321.48309.63316.59306.14266.38280.50252.70265.22265.77267.01
Operating Income166.51295.80221.13433.57209.83223.46115.52193.9795.82179.56118.71121.13109.90122.54146.0279.98159.19104.90115.1473.58
Interest Expense15.7715.3317.2616.9618.4019.6122.0524.9527.7931.5935.3335.7035.8441.5315.2913.7612.2416.3612.8613.18
Pretax Income152.44746.80202.98428.10193.68205.2593.15170.2567.37145.7585.6088.5576.5381.07137.38100.78103.5786.42169.5258.47
Tax Provision33.66156.0836.4680.3152.3542.6110.9243.72(1.60)31.3019.2142.9415.1317.5730.5430.3013.8911.39(123.42)7.27
Net Income118.78590.72166.52347.79141.33162.6482.23126.5268.98114.4566.3945.6061.4063.50106.8470.4889.6875.04292.9451.20
Basic EPS1.045.001.402.911.181.350.681.040.580.960.560.380.520.540.910.600.770.642.500.44
Diluted EPS1.034.981.392.881.171.350.681.050.570.950.550.380.510.530.900.600.760.632.480.43

Cash Flow Statement

(in millions USD)
MetricQ3 2026Q2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q1 2023Q4 2022Q3 2022Q2 2022Q1 2022Q4 2021Q3 2021
Operating Cash Flow260.63320.92269.75104.03243.93281.31238.4398.11213.80250.73187.3449.77561.09391.8738.50116.77280.06180.9245.3288.03
Capital Expenditures11.282.672.343.551.892.812.774.541.643.644.565.7818.0412.959.524.47(3.67)9.1813.053.42
Free Cash Flow*249.35318.25267.40100.48242.04278.50235.6693.58212.16247.09182.7843.99543.06378.9228.98112.30283.73171.7432.2784.61
Investing Cash Flow(55.16)534.140.86(9.74)(35.24)(18.86)25.54(25.34)4.411.48(105.37)0.02(866.14)(859.74)(8.26)(236.98)44.04(20.13)(13.05)(4.49)
Financing Cash Flow(289.56)(622.75)(244.07)(106.95)(250.46)(226.77)(324.32)(59.85)(216.53)(262.38)(111.96)(39.22)307.53507.00(70.84)146.74(339.98)(53.99)(69.73)(44.97)

* Derived from reported values