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INDICATIVE · SAMPLE DATA
PLAS.CD56

PlasCred Circular Innovations Inc

Environmental Services & EquipmentVerified

PlasCred operates with a capital structure that shows a current ratio of 0.76, indicating that its current assets are less than its current liabilities. The company has a negative operating cash flow of $211,230 and a free cash flow of -$616,760, suggesting that it is not generating sufficient cash from operations to fund its activities. The company's liquidity position is rated as medium, with a key flag indicating that net cash is negative after subtracting total debt. Profitability metrics for PlasCred are negative, with a return on equity of -1.2558 and a return on assets of -0.3564. These figures are below the industry median for Environmental Services & Equipment, which typically shows positive returns, indicating that the company is underperforming relative to its peers. The company's net income is -$662,690, and its operating income is also -$662,690, reflecting a lack of profitability. The company's revenue concentration is not disclosed in the available data, but its geographic exposure is limited to the regions where it operates. There is no indication of significant diversification across segments or geographies. The company's capital expenditure of -$35,270 suggests minimal investment in long-term assets, which may limit its ability to scale operations or improve efficiency. PlasCred's growth trajectory is uncertain, with no specific numeric deltas provided for the current or next fiscal year. The company's negative operating and free cash flows suggest that it may struggle to fund growth initiatives without external financing. The company's debt-to-equity ratio is 0.0, indicating that it is not leveraging debt to finance operations, but this also suggests a lack of financial leverage to drive growth. The company's risk profile includes a medium liquidity risk, with a key flag indicating that net cash is negative after subtracting total debt. The dilution risk is rated as low, and there are no immediate signs of dilution pressure from recent issuance or shelf registration. The company's financial performance and negative returns suggest that it may face challenges in maintaining or improving its market position. Recent events for PlasCred include the filing of its latest financial results, which show continued losses and negative cash flows. There are no recent transcripts or filings indicating significant changes in strategy or operations. The company's performance suggests that it may need to implement cost-cutting measures or seek additional financing to remain viable.

30-day price · PLAS.CD-0.01 (-3.0%)
Low$0.14High$0.17Close$0.16As of17 May, 00:00 UTC
Profile
CompanyPlasCred Circular Innovations Inc
TickerPLAS.CD
SectorIndustrials
BusinessIndustrial & Commercial Services
Industry groupIndustrial & Commercial Services
IndustryEnvironmental Services & Equipment
AI analysis

Business. PlasCred Circular Innovations Inc provides industrial services focused on environmental solutions, including waste management and recycling technologies.

Classification. PlasCred is classified under the Environmental Services & Equipment industry within the Industrial & Commercial Services business sector, with a confidence level of 0.92.

PlasCred operates with a capital structure that shows a current ratio of 0.76, indicating that its current assets are less than its current liabilities. The company has a negative operating cash flow of $211,230 and a free cash flow of -$616,760, suggesting that it is not generating sufficient cash from operations to fund its activities. The company's liquidity position is rated as medium, with a key flag indicating that net cash is negative after subtracting total debt. Profitability metrics for PlasCred are negative, with a return on equity of -1.2558 and a return on assets of -0.3564. These figures are below the industry median for Environmental Services & Equipment, which typically shows positive returns, indicating that the company is underperforming relative to its peers. The company's net income is -$662,690, and its operating income is also -$662,690, reflecting a lack of profitability. The company's revenue concentration is not disclosed in the available data, but its geographic exposure is limited to the regions where it operates. There is no indication of significant diversification across segments or geographies. The company's capital expenditure of -$35,270 suggests minimal investment in long-term assets, which may limit its ability to scale operations or improve efficiency. PlasCred's growth trajectory is uncertain, with no specific numeric deltas provided for the current or next fiscal year. The company's negative operating and free cash flows suggest that it may struggle to fund growth initiatives without external financing. The company's debt-to-equity ratio is 0.0, indicating that it is not leveraging debt to finance operations, but this also suggests a lack of financial leverage to drive growth. The company's risk profile includes a medium liquidity risk, with a key flag indicating that net cash is negative after subtracting total debt. The dilution risk is rated as low, and there are no immediate signs of dilution pressure from recent issuance or shelf registration. The company's financial performance and negative returns suggest that it may face challenges in maintaining or improving its market position. Recent events for PlasCred include the filing of its latest financial results, which show continued losses and negative cash flows. There are no recent transcripts or filings indicating significant changes in strategy or operations. The company's performance suggests that it may need to implement cost-cutting measures or seek additional financing to remain viable.
Key takeaways
  • PlasCred is operating at a loss with negative operating and free cash flows, indicating poor financial health.
  • The company's return on equity and return on assets are significantly below industry medians, suggesting underperformance.
  • The company's liquidity position is medium, with a current ratio of 0.76 and negative net cash after debt.
  • There is no indication of significant revenue diversification or geographic expansion.
  • The company's capital expenditure is minimal, which may hinder its ability to scale or improve efficiency.
  • --
  • ## RATIONALES
  • ```json
Financial snapshot
PeriodHA-latest
CurrencyUSD
Revenue
Gross profit
Operating income-$662.7k
Net income-$662.7k
R&D
SG&A
D&A
SBC
Operating cash flow-$211.2k
CapEx-$35.3k
Free cash flow-$616.8k
Total assets$1.9M
Total liabilities$1.3M
Total equity$527.7k
Cash & equivalents
Long-term debt$1.3k
Annual history (last 5)
PeriodRevenueOp IncomeNet IncomeFCF
FY-4-$8.6M-$8.6M
FY-3-$2.1M-$2.4M
FY-2-$10.1M-$10.1M-$10.7M
FY-1-$3.1M-$3.1M-$3.0M
FY0
PeriodGross %Op %Net %FCF %
FY-4
FY-3
FY-2
FY-1
FY0
PeriodAssetsEquityCashDebt
FY-4$2.1M$983.4k
FY-3$314.4k-$848.8k
FY-2$2.1M$786.8k
FY-1$851.8k-$547.8k
FY0-$1.1M
PeriodOCFCapExFCFSBC
FY-4-$3.1M$0.00
FY-3-$1.1M
FY-2-$1.5M-$637.8k-$10.7M
FY-1-$575.0k-$210.0k-$3.0M
FY0-$674.6k-$55.8k
Quarterly history (last 4)
PeriodRevenueOp IncomeNet IncomeFCF
FQ-7-$662.7k-$662.7k-$616.8k
FQ-6-$676.8k-$676.8k-$603.5k
FQ-5-$509.8k-$505.6k-$489.6k
FQ-4-$1.2M-$1.2M-$1.2M
FQ-3-$517.0k-$517.0k-$465.6k
FQ-2-$454.7k-$454.7k-$389.7k
FQ-1-$441.5k-$441.5k-$365.9k
FQ0
PeriodGross %Op %Net %FCF %
FQ-7
FQ-6
FQ-5
FQ-4
FQ-3
FQ-2
FQ-1
FQ0
PeriodAssetsEquityCashDebt
FQ-7$1.9M$527.7k
FQ-6$1.5M-$10.0k
FQ-5$911.9k-$102.6k
FQ-4$851.8k-$547.8k
FQ-3$1.1M-$774.5k
FQ-2$976.6k-$779.0k
FQ-1$944.5k-$827.2k
FQ0-$1.1M
PeriodOCFCapExFCFSBC
FQ-7-$211.2k-$35.3k-$616.8k
FQ-6-$448.1k-$43.2k-$603.5k
FQ-5-$403.7k-$108.4k-$489.6k
FQ-4-$575.0k-$210.0k-$1.2M
FQ-3-$29.1k-$30.0k-$465.6k
FQ-2-$343.6k-$46.3k-$389.7k
FQ-1-$668.3k-$52.5k-$365.9k
FQ0-$674.6k-$55.8k
Valuation
Market price
Market cap
Enterprise value
P/E
Reported non-GAAP P/E
EV/Revenue
EV/Op income
EV/OCF
P/B
P/Tangible book
Tangible book$527.7k
Net cash-$1.3k
Current ratio0.8
Debt/Equity0.0
ROA-35.6%
ROE-1.3%
Cash conversion32.0%
CapEx/Revenue
SBC/Revenue
Asset intensity
Dilution ratio0.0%
Risk assessment
Dilution riskLow
Liquidity riskMedium
  • Net cash is negative after subtracting total debt.
Industry benchmarks
Activity: Industrial Services · cohort 626 companies
MetricPLAS.CDActivity
Op margin6.0% medp25 -2.1% · p75 13.4%
Net margin4.1% medp25 -2.2% · p75 10.8%
Gross margin28.8% medp25 19.4% · p75 44.6%
R&D / revenue2.7% medp25 2.4% · p75 3.1%
CapEx / revenue-5.0% medp25 -12.8% · p75 -1.9%
Debt / equity0.0%26.4% medp25 5.2% · p75 66.7%bottom quartile
Source data
Underlying data the analysis-pipeline pulls and audits. Fetch timestamps + content hashes show when each source was last refreshed.
Company fundamentalsperiod FQ-7 · history via verified-market-data
no public URL
2026-05-05 01:27 UTC#1a877fc5
Source: analysis-pipeline (hybrid)Generated: 2026-05-29 00:04 UTCJob: 5ae9c7fe