Propanc Biopharma Inc
PPCB
$1.185 11.79%
Exchange: OTC | Sector: Healthcare | Industry: Biotechnology
Q4 2024
Published: Sep 30, 2024

Earnings Highlights

  • EPS of $-95.95 decreased by 73% from previous year
  • Net income of -358.58K
  • "N/A" - N/A

Propanc Biopharma Inc (PPCB) QQ4 2024 Results Analysis — Preclinical Biotech with Minimal Revenue, Elevated Burn, and Leverage Risk in OTC Market

Executive Summary

Propanc Biopharma Inc. (PPCB) reported QQ4 2024 with no reported revenue and a pronounced operating burn. The quarter shows a net loss of $358.6k on a per-share basis of -$95.95, driven by ongoing R&D and substantial G&A expenses, and a meaningful interest burden. Cash burn persisted, with operating cash flow negative by $259.97k and little to no cash generated from operations, while financing activities provided a modest $250.97k, yielding a net cash increase of only $14.86k for the quarter. The balance sheet reveals a fragile liquidity position: total assets of $72.4k versus total liabilities of $3.85 million and negative shareholder equity of nearly $3.78 million. Liquidity metrics are severely depressed (current ratio ~0.0067, cash ratio ~0.0056), underscoring a precarious financial runway reliant on continued external funding. The company continues to operate at the preclinical stage with PRP as the lead program and faces the standard biotech financing and regulatory risk that accompanies such an enterprise. No earnings call transcript was provided in the data, limiting the ability to extract management insights directly from an earnings call. Investors should focus on runway, liquidity improvements, potential milestone-based partnerships, and any new clinical or licensing catalysts in upcoming disclosures.

Key Performance Indicators

Operating Income

-259.90K
QoQ: 38.25% | YoY:-23.76%

Net Income

-358.58K
QoQ: 31.92% | YoY:52.06%

EPS

-95.95
QoQ: 67.67% | YoY:-73 707.69%

Revenue Trend

Margin Analysis

Key Insights

  • Net cash provided by operating activities: -$259,966.
  • Net change in cash: +$14,863; cash at end of period: $21,085; cash at beginning of period: $6,222.
  • Free cash flow: -$259,966 (equivalent to CFO given no capex in the period).
  • Total assets: $72,365; cash and cash equivalents: $21,085; total current assets: $25,441; net property, plant & equipment: $17,799; non-current assets: $46,924.
  • Total liabilities: $3,851,424; total current liabilities: $3,792,782; short-term debt: $889,629; long-term debt: $58,642; total debt: $948,271; net debt: $927,186.

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q3 2025 0.00 -12.50 +0.0% View
Q2 2025 0.00 -32.23 +0.0% View
Q1 2025 0.00 -287.82 +0.0% View
Q4 2024 0.00 -95.95 +0.0% View
Q3 2024 0.00 -296.77 +0.0% View