Palatin Technologies Inc
0KF3.L
$6.50 13.04%
Exchange: LSE | Sector: Healthcare | Industry: Medical Pharmaceuticals
Q3 2024
Published: May 15, 2024

Earnings Highlights

  • EPS of $-0.53 increased by 13.1% from previous year
  • Net income of -8.44M
  • "N/A" - N/A

Palatin Technologies Inc (0KF3.L) QQ3 2024 Results – Heavy R&D burn with no near-term revenue; solid cash runway supports pipeline advancement

Executive Summary

Palatin Technologies reported QQ3 2024 with no reported revenue and a pronounced R&D-driven burn. The quarter showed a net loss of $8.44 million and an EBITDA of about $βˆ’8.26 million, amidst $7.16 million in research and development expense and $1.86 million in SG&A. The company generated negative operating cash flow of $8.61 million, while financing activities provided a cash inflow of $9.14 million, yielding a modest net increase in cash and ending cash of $10.01 million. The balance sheet reflects a robust cash position relative to near-term liabilities, with total assets of $11.41 million and net debt well into negative territory driven by cash on hand, implying substantial liquidity to fund ongoing pipeline activities. However, the absence of revenue and ongoing large R&D outlays underscore the high-risk, development-stage profile common to Palatin’s therapeutic programs. The company’s near-term investment thesis hinges on the progression of its MC receptor agonist programs (notably PL8177, PL9643) and potential partnering or licensing milestones that could monetize the pipeline beyond internal development timelines.

Key Performance Indicators

Operating Income

-9.19M
QoQ: -38.24% | YoY:-25.91%

Net Income

-8.44M
QoQ: -7.54% | YoY:-20.54%

EPS

-0.53
QoQ: 5.36% | YoY:13.11%

Revenue Trend

Margin Analysis

Key Insights

  • Revenue: not reported (null); Gross profit: βˆ’$171,789; Gross margin: not disclosed (βˆ’100% implied by basic figures)
  • Operating expense: $9,021,307; R&D: $7,159,686; SG&A: $1,861,621; EBITDA: βˆ’$8,262,605; Operating income: βˆ’$9,193,100
  • Net income: βˆ’$8,435,650; EPS: βˆ’$0.53; Weighted avg shares: 15,792,421
  • Cash flow: net cash from operating activities βˆ’$8,606,906; free cash flow βˆ’$8,606,910; net cash provided by financing activities +$9,135,742; net change in cash: +$528,836; cash at end: $10,014,088; cash at beginning: $9,485,252
  • Balance sheet: total assets $11,406,237; total liabilities $9,827,302; total stockholders’ equity $1,578,935 (reporting inconsistencies exist in post-2019 equity components; cash balance remains the clearest liquidity metric)

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q3 2025 0.00 -0.18 +0.0% View
Q2 2025 0.00 -0.12 +0.0% View
Q1 2025 0.00 -0.39 +0.0% View
Q4 2024 0.35 -0.56 -80.1% View
Q3 2024 0.00 -0.53 +0.0% View