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Permian Basin Royalty Trust

PBT

13.940USD

+0.660+4.97%
Market hours ETQuotes delayed by 15 min
649.73MMarket Cap
28.85P/E TTM
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
FY2017Q4
FY2017Q3
FY2017Q2
FY2017Q1
FY2016Q4
FY2016Q3
FY2016Q2
FY2016Q1
FY2015Q4
FY2015Q3
FY2015Q2
FY2015Q1
FY2014Q2
FY2014Q1
FY2012Q4
FY2012Q3
FY2012Q2
FY2012Q1
Operating cash flows (indirect method)
Cash flow from continuing operating activities
-52.64%2.60M
-76.20%3.41M
154.31%8.04M
47.26%8.42M
16.59%5.48M
-5.81%14.34M
-88.37%3.16M
-22.14%5.72M
26.41%4.70M
369.06%15.22M
815.18%27.18M
177.66%7.35M
103.21%3.72M
77.39%3.25M
139.22%2.97M
37.92%2.65M
-69.07%1.83M
-62.74%1.83M
-79.08%1.24M
-55.43%1.92M
39.99%5.92M
-33.25%4.91M
-15.77%5.94M
-38.79%4.31M
-54.51%4.23M
1.57%7.36M
19.74%7.05M
1.15%7.03M
1.33%9.29M
2.09%7.24M
-5.58%5.89M
90.62%6.95M
299.29%9.17M
149.65%7.09M
13.71%6.23M
3.93%3.65M
-44.99%2.30M
--2.84M
--5.48M
-75.12%3.51M
-64.28%4.17M
--14.11M
--11.69M
--9.26M
--8.94M
--15.64M
--20.07M
Net income from continuing operations
-52.73%2.60M
-75.95%3.43M
151.51%8.05M
46.44%8.44M
15.85%5.49M
-6.41%14.27M
-88.23%3.20M
-21.71%5.76M
26.93%4.74M
370.80%15.25M
811.40%27.20M
176.82%7.36M
103.00%3.73M
76.46%3.24M
137.91%2.98M
37.87%2.66M
-68.98%1.84M
-62.69%1.84M
-78.91%1.25M
-55.32%1.93M
39.98%5.93M
-33.26%4.92M
-15.71%5.95M
-38.78%4.31M
-54.50%4.24M
1.50%7.37M
19.60%7.06M
1.10%7.05M
1.33%9.31M
1.82%7.26M
-5.50%5.90M
90.23%6.97M
298.61%9.19M
150.27%7.13M
13.65%6.24M
4.09%3.66M
-44.90%2.31M
--2.85M
--5.49M
-75.07%3.52M
-64.24%4.18M
--14.13M
--11.70M
--9.28M
--8.95M
--15.66M
--20.10M
Other non-cash items
94.58%-642.00
-134.20%-21.22K
70.00%-12.00K
70.00%-12.00K
70.38%-11.85K
302.05%62.04K
-150.83%-40.00K
-282.41%-40.00K
-147.79%-40.00K
-663.93%-30.71K
-13.18%-15.95K
10.77%-10.46K
-64.37%-16.14K
182.95%5.45K
-10.60%-14.09K
-26.74%-11.72K
24.90%-9.82K
39.11%-6.56K
2.53%-12.74K
1.32%-9.25K
-32.79%-13.08K
37.92%-10.78K
-25.90%-13.07K
34.88%-9.37K
49.03%-9.85K
20.00%-17.36K
32.13%-10.38K
18.30%-14.39K
0.67%-19.32K
46.51%-21.71K
-34.49%-15.30K
-4.86%-17.62K
-120.78%-19.45K
-340.84%-40.58K
10.57%-11.38K
-55.66%-16.80K
7.67%-8.81K
---9.21K
---12.72K
42.56%-10.79K
33.61%-9.54K
---18.79K
---14.37K
---12.29K
---13.03K
---18.25K
---22.05K
Cash from non-recurring investing activities
Cash from operating activities
-52.64%2.60M
-76.20%3.41M
154.31%8.04M
47.26%8.42M
16.59%5.48M
-5.81%14.34M
-88.37%3.16M
-22.14%5.72M
26.41%4.70M
369.06%15.22M
815.18%27.18M
177.66%7.35M
103.21%3.72M
77.39%3.25M
139.22%2.97M
37.92%2.65M
-69.07%1.83M
-62.74%1.83M
-79.08%1.24M
-55.43%1.92M
39.99%5.92M
-33.25%4.91M
-15.77%5.94M
-38.79%4.31M
-54.51%4.23M
1.57%7.36M
19.74%7.05M
1.15%7.03M
1.33%9.29M
2.09%7.24M
-5.58%5.89M
90.62%6.95M
299.29%9.17M
149.65%7.09M
13.71%6.23M
3.93%3.65M
-44.99%2.30M
--2.84M
--5.48M
-75.12%3.51M
-64.28%4.17M
--14.11M
--11.69M
--9.26M
--8.94M
--15.64M
--20.07M
Investing cash flow
Cash from non-current investing activities
Financing cash flow
Cash flow from continuous financing activities
52.73%-2.60M
75.95%-3.43M
-151.51%-8.05M
-46.44%-8.44M
-15.85%-5.49M
6.41%-14.27M
88.23%-3.20M
21.71%-5.76M
-26.93%-4.74M
-370.80%-15.25M
-811.40%-27.20M
-176.82%-7.36M
-103.22%-3.73M
-76.46%-3.24M
-137.91%-2.98M
-37.87%-2.66M
69.01%-1.84M
62.69%-1.84M
78.91%-1.25M
55.32%-1.93M
-39.98%-5.93M
33.26%-4.92M
15.71%-5.95M
38.78%-4.31M
54.50%-4.24M
-1.50%-7.37M
-19.60%-7.06M
-1.10%-7.05M
-1.33%-9.31M
-1.82%-7.26M
5.50%-5.90M
-90.23%-6.97M
-298.61%-9.19M
-150.27%-7.13M
-13.65%-6.24M
-4.09%-3.66M
44.90%-2.31M
---2.85M
---5.49M
75.07%-3.52M
64.24%-4.18M
---14.13M
---11.70M
---9.28M
---8.95M
---15.66M
---20.10M
Cash dividend payments
-52.73%2.60M
-75.95%3.43M
151.51%8.05M
46.44%8.44M
15.85%5.49M
-6.41%14.27M
-88.23%3.20M
-21.71%5.76M
26.93%4.74M
370.80%15.25M
811.40%27.20M
176.82%7.36M
103.22%3.73M
76.46%3.24M
137.91%2.98M
37.87%2.66M
-69.01%1.84M
-62.69%1.84M
-78.91%1.25M
-55.32%1.93M
39.98%5.93M
-33.26%4.92M
-15.71%5.95M
-38.78%4.31M
-54.50%4.24M
1.50%7.37M
19.60%7.06M
1.10%7.05M
1.33%9.31M
1.82%7.26M
-5.50%5.90M
90.23%6.97M
298.61%9.19M
150.27%7.13M
13.65%6.24M
4.09%3.66M
-44.90%2.31M
--2.85M
--5.49M
-75.07%3.52M
-64.24%4.18M
--14.13M
--11.70M
--9.28M
--8.95M
--15.66M
--20.10M
Net cash flow from other financing activities
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--1.00
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Net cash from non-recurrent financing activities
Net cash from financing activities
52.73%-2.60M
75.95%-3.43M
-151.51%-8.05M
-46.44%-8.44M
-15.85%-5.49M
6.41%-14.27M
88.23%-3.20M
21.71%-5.76M
-26.93%-4.74M
-370.80%-15.25M
-811.40%-27.20M
-176.82%-7.36M
-103.22%-3.73M
-76.46%-3.24M
-137.91%-2.98M
-37.87%-2.66M
69.01%-1.84M
62.69%-1.84M
78.91%-1.25M
55.32%-1.93M
-39.98%-5.93M
33.26%-4.92M
15.71%-5.95M
38.78%-4.31M
54.50%-4.24M
-1.50%-7.37M
-19.60%-7.06M
-1.10%-7.05M
-1.33%-9.31M
-1.82%-7.26M
5.50%-5.90M
-90.23%-6.97M
-298.61%-9.19M
-150.27%-7.13M
-13.65%-6.24M
-4.09%-3.66M
44.90%-2.31M
---2.85M
---5.49M
75.07%-3.52M
64.24%-4.18M
---14.13M
---11.70M
---9.28M
---8.95M
---15.66M
---20.10M
Net cash flow
Beginning cash balance
-25.77%164.41K
16.43%185.63K
-0.91%197.63K
-12.45%209.63K
-20.74%221.47K
-48.59%159.43K
-38.84%199.43K
-28.86%239.43K
-20.77%279.43K
-10.69%310.14K
-9.75%326.08K
-9.79%336.55K
-7.88%352.69K
-10.84%347.24K
-10.16%361.33K
-9.33%373.06K
-9.81%382.88K
-10.53%389.44K
-10.30%402.18K
-10.12%411.43K
-9.21%424.51K
-10.24%435.29K
-9.48%448.36K
-10.20%457.73K
-11.62%467.58K
-11.95%484.94K
-12.49%495.33K
-12.67%509.72K
-12.28%529.04K
-14.44%550.75K
-13.59%566.05K
-13.13%583.67K
-11.40%603.12K
-6.70%643.70K
-6.77%655.07K
-5.82%671.88K
-5.85%680.69K
--689.89K
--702.61K
-6.93%713.40K
-7.42%722.95K
--766.50K
--780.87K
--838.24K
--851.28K
--869.52K
--891.58K
Current period cash flow changes
94.58%-642.00
-134.20%-21.22K
70.00%-12.00K
70.00%-12.00K
70.38%-11.85K
302.05%62.04K
-150.85%-40.00K
-282.41%-40.00K
-147.79%-40.00K
-663.93%-30.71K
-13.17%-15.95K
10.77%-10.46K
-106.41%-16.14K
182.95%5.45K
-10.60%-14.09K
-26.74%-11.72K
40.20%-7.82K
39.11%-6.56K
2.53%-12.74K
-1575.12%-9.25K
-32.79%-13.08K
37.92%-10.78K
-25.90%-13.07K
104.36%627.00
49.03%-9.85K
20.00%-17.36K
32.13%-10.38K
18.30%-14.39K
0.67%-19.32K
46.51%-21.71K
-34.49%-15.30K
-4.86%-17.62K
-120.78%-19.45K
-340.84%-40.58K
10.57%-11.38K
-55.66%-16.80K
7.67%-8.81K
---9.21K
---12.72K
42.56%-10.79K
33.61%-9.54K
---18.79K
---14.37K
---12.29K
---13.03K
---18.25K
---22.05K
Ending cash balance
-21.88%163.76K
-25.77%164.41K
16.43%185.63K
-0.91%197.63K
-12.45%209.63K
-20.74%221.47K
-48.59%159.43K
-38.84%199.43K
-28.86%239.43K
-20.77%279.43K
-10.69%310.14K
-9.75%326.08K
-9.79%336.55K
-7.88%352.69K
-10.84%347.24K
-10.16%361.33K
-9.33%373.06K
-9.81%382.88K
-10.53%389.44K
-12.26%402.18K
-10.12%411.43K
-9.21%424.51K
-10.24%435.29K
-7.46%458.36K
-10.20%457.73K
-11.62%467.58K
-11.95%484.94K
-12.49%495.33K
-12.67%509.72K
-12.28%529.04K
-14.44%550.75K
-13.59%566.05K
-13.13%583.67K
-11.40%603.12K
-6.70%643.70K
-6.77%655.07K
-5.82%671.88K
--680.69K
--689.89K
-6.03%702.61K
-6.93%713.40K
--747.71K
--766.50K
--825.95K
--838.24K
--851.28K
--869.52K
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