Portex Minerals, Inc. is a mineral development company, which focuses on acquisition and development of base and precious metal properties. The company is headquartered in Toronto, Ontario. The company went IPO on 2007-07-13. The firm plans to change its business strategy and exit the mining business and is in the process of evaluating other business opportunities. Its primary focus was the acquisition, exploration and development of viable base and precious metal properties.
Chiffres en millions de dollars américains. L'exercice financier va de février à janvier.
Breakdown
TTM
12/31/2025
12/31/2024
12/31/2023
12/31/2022
12/31/2021
Revenus
88,603
88,603
80,738
68,920
67,074
64,388
Croissance des revenus (H/H)
10%
10%
17%
3%
4%
14%
Coût des ventes
70,814
70,814
65,328
56,831
53,406
51,897
Bénéfice brut
17,789
17,789
15,410
12,089
13,668
12,491
Vente, Général et Administration
6,095
6,095
5,806
5,809
5,573
5,046
Recherche et développement
2,807
2,807
2,934
2,805
2,711
2,732
Frais d'exploitation
8,489
8,489
9,372
8,528
8,164
7,355
Autres revenus (charges) non opérationnels
1,173
1,182
1,524
1,828
1,843
1,916
Bénéfice avant impôts
8,733
8,733
6,194
3,836
6,117
5,109
Charge d'impôt sur le revenu
1,664
1,664
1,181
456
790
964
Bénéfice net
6,732
6,732
4,774
3,195
5,197
3,864
Croissance du bénéfice net
41%
41%
49%
-39%
35%
-210%
Actions en circulation (diluées)
1,361.7
1,356.4
1,343.6
1,435.4
1,485.9
1,508.5
Variation des actions (H-H)
1%
1%
-6%
-3%
-2%
11%
EPS (dilué)
4.96
4.96
3.55
2.23
3.51
2.58
Croissance du EPS
40%
40%
59%
-36%
36%
-200%
Flux de trésorerie libre
7,448
7,448
3,923
4,717
4,393
4,749
Flux de trésorerie libre par action
--
--
--
--
--
--
Marge brute
20.07%
20.07%
19.08%
17.54%
20.37%
19.39%
Marge opérationnelle
10.49%
10.49%
7.47%
5.16%
8.2%
7.97%
Marge bénéficiaire
7.59%
7.59%
5.91%
4.63%
7.74%
6%
Marge du flux de trésorerie libre
8.4%
8.4%
4.85%
6.84%
6.54%
7.37%
EBITDA
13,678
13,678
10,402
7,772
9,612
9,693
Marge EBITDA
15.43%
15.43%
12.88%
11.27%
14.33%
15.05%
D&A pour le résultat opérationnel
4,378
4,378
4,364
4,211
4,108
4,557
EBIT
9,300
9,300
6,038
3,561
5,504
5,136
Marge EBIT
10.49%
10.49%
7.47%
5.16%
8.2%
7.97%
Taux d'imposition effectif
19.05%
19.05%
19.06%
11.88%
12.91%
18.86%
Follow-Up Questions
Portex Minerals Inc'in temel mali tabloları nelerdir?
Son mali tabloya (Form-10K) göre, RTX Corp'in toplam varlıkları $171,079 olup, net bénéfice $6,732'dir.
STACF'ün temel finansal oranları nelerdir?
RTX Corp'in cari oranı 1.61, net kâr marjı 7.59, hisse başına satış $65.32'dir.
Portex Minerals Inc'in geliri segment veya coğrafya bazında nasıl dağılıyor?
Le segment de revenus le plus important est RTX Corp, avec un chiffre d'affaires de Collins Aerospace Systems lors du dernier rapport de résultats. En termes géographiques, United States est le marché principal pour RTX Corp, avec un chiffre d'affaires de 47,291,000,000.
Portex Minerals Inc kârlı mı?
oui, son mali tablolara göre RTX Corp'in net bénéfice $6,732'dir.
Portex Minerals Inc'in herhangi bir yükümlülüğü var mı?
oui, RTX Corp'in yükümlülüğü 105,834'dir.
Portex Minerals Inc'in tedavüldeki hisse sayısı kaçtır?
RTX Corp'in toplam tedavüldeki hisse sayısı 1,340.77'dir.