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PTC Inc.
PTC
NASDAQ
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Income
Balance
Cash Flow
Annual
Quarterly
3Y
5Y
10Y
All
Revenue
$3B
↑19%
Gross Profit
$2B
↑24%
Operating Income
$982M
↑67%
Net Income
$734M
↑95%
EBITDA
$1B
↑55%
EPS Diluted
6.1
Cost of Revenue
$445M
Gross Margin %
83.8%
R&D Expenses
$458M
SG&A Expenses
$793M
Operating Expenses
$1B
Operating Margin %
35.9%
Interest Expense
$77M
Income Before Tax
$920M
Income Tax Expense
$186M
Net Margin %
26.8%
EPS
6.1
Shares Out (Diluted)
120.8M
Shares Out (Basic)
120.0M
Total Costs & Expenses
$2B
Interest Income
$3M
EBITDA Margin %
41.3%
Pre-Tax Margin %
33.6%
Other Income/Expenses
$-62M
Revenue CAGR (5Y)
+13.4%
Margin Trend
stable
Free Cash Flow
$0.9B
Profitability
Profitable
Metric
Sep 21
Sep 22
Sep 23
Sep 24
Sep 25
Revenue
1,807
1,933
↑7.0%
2,097
↑8.5%
2,298
↑9.6%
2,739
↑19.2%
Gross Profit
1,436
1,547
↑7.8%
1,656
↑7.0%
1,854
↑11.9%
2,294
↑23.8%
Operating Income
381
447
↑17.5%
458
↑2.5%
588
↑28.3%
982
↑67.1%
Net Income
477
313
↓34.4%
246
↓21.6%
376
↑53.3%
734
↑95.0%
EBITDA
565
573
↑1.5%
599
↑4.5%
730
↑21.8%
1,133
↑55.1%
EPS Diluted
4.03
2.65
↓34.2%
2.06
↓22.3%
3.12
↑51.5%
6.08
↑94.9%
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Values in millions except EPS · Ratios shown as percentages