PTG Energy Public Co...
SET:PTG
฿ 8,40
฿-0,25 (-2,89%)
8,40 ฿
฿-0,25 (-2,89%)
End-of-day quote: 04/01/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

฿0,57
Earnings Per Share
฿135,22
Revenue Per Share
6,54%
Gross Margin %
฿14,03 B
Market Cap
฿3,07 B
Long-Term Debt
Earnings Per Share
฿0,57
Revenue Per Share
฿135,22
Gross Margin %
6,54%
Market Cap
฿14,03 B
Long-Term Debt
฿3,07 B

Financials

Year Year 2026 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013
EPS Earnings Per Share ฿0,57 ฿0,57 ฿0,57 ฿0,56 ฿0,60 ฿1,13 ฿0,93 ฿0,37 ฿0,55 ฿0,64 ฿0,39 ฿0,30 ฿0,21
Earnings Earnings ฿951,90M ฿951,90M ฿951,90M ฿935,20M ฿1,00B ฿1,89B ฿1,55B ฿617,90M ฿918,50M ฿1,07B ฿651,30M ฿501,00M ฿350,70M
RPS Revenue Per Share ฿0,00 ฿135,22 ฿135,22 ฿119,05 ฿107,44 ฿80,10 ฿62,53 ฿71,87 ฿64,57 ฿50,67 ฿38,68 ฿32,14 ฿32,99 ฿28,56
Revenue Revenue ฿0,00M ฿225,81B ฿225,81B ฿198,81B ฿179,42B ฿133,76B ฿104,42B ฿120,03B ฿107,83B ฿84,62B ฿64,59B ฿53,68B ฿55,10B ฿47,69B
OCF Operating Cash Flow ฿0,00M ฿4,47B ฿4,47B ฿5,94B ฿5,12B ฿5,34B ฿2,81B ฿3,68B ฿4,92B ฿2,79B ฿3,23B ฿2,08B ฿0,00M ฿0,00M
FCF Free Cash Flow ฿0,00M ฿984,00M ฿-417,71M ฿662,00M ฿2,54B ฿2,89B ฿927,00M ฿1,51B ฿1,57B ฿-537,22M ฿84,52M ฿1,12B ฿0,00M ฿0,00M
OM Operating Margin 0,00% 0,00% 0,84% 0,96% 1,25% 1,39% 2,66% 1,66% 0,68% 1,15% 1,74% 1,31% 0,94% 0,65%
GM % Gross Margin % 0,00% 0,00% 6,54% 6,50% 6,69% 7,57% 10,15% 8,25% 6,90% 7,39% 8,10% 7,37% 5,60% 4,78%
FCFS Free Cash Flow Per Share ฿0,00 ฿0,00 ฿-0,11 ฿1,96 ฿1,61 ฿1,81 ฿0,53 ฿-0,12 ฿-0,18 ฿-1,52 ฿0,00 ฿0,10 ฿-0,00 ฿-0,35
LT Debt Long-Term Debt N/A ฿3,07B ฿3,07B ฿3,62B ฿3,12B ฿3,84B ฿6,30B ฿3,86B ฿3,99B ฿3,83B ฿2,37B ฿495,38M N/A N/A
Sha. Stocks 1.670M 1.670M 1.670M 1.670M 1.670M 1.670M 1.670M 1.670M 1.670M 1.670M 1.670M 1.670M 1.670M 1.670M
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