PRTC (PRTC) Cash Ratio: Latest Data, Historical Trends & Peer Comparison
What is PRTC's (PRTC) Cash Ratio?
For fiscal FY'25 ended Dec 31, 2025, PRTC Cash Ratio was 6.27, representing a -31.78% change year over year.
Cash Ratio Historical Trend for PRTC
View PRTC's annual, quarterly, and TTM Cash Ratio data from 2014 to 2025, including historical growth rates and trend analysis.
PRTC Quarterly Data
| Metric | FY'14Dec 31, 2014 | FY'15Dec 31, 2015 | FY'16Dec 31, 2016 | FY'17Dec 31, 2017 | FY'18Dec 31, 2018 | FY'19Dec 31, 2019 | H1'20Jun 30, 2020 | FY'20Dec 31, 2020 | FY'21Dec 31, 2021 | FY'22Dec 31, 2022 | H1'23Jun 30, 2023 | FY'23Dec 31, 2023 | H1'24Jun 30, 2024 | FY'24Dec 31, 2024 | H1'25Jun 30, 2025 | FY'25Dec 31, 2025 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Cash Ratio YoY | 0.67 -- | 1.96 +190.74% | 1.38 -29.39% | 0.69 -49.94% | 0.94 +36.3% | 1.17 +23.62% | 2.18 -- | 2.23 +91.29% | 2.06 -7.75% | 3.61 +75.46% | 7.11 -- | 6.37 +76.24% | 3.62 -49.15% | 9.19 +44.3% | 7.88 +117.92% | 6.27 -31.78% |
PRTC (PRTC) : Definition & Explanation
Cash Ratio focuses on near-term balance sheet flexibility. It asks whether the company has enough liquid resources or current assets to deal with obligations coming due soon.
It matters because cash ratio can help investors judge short-term resilience, working capital pressure, and the risk that the company may need outside financing.
It is usually calculated from current balance sheet items such as cash, receivables, inventory, current assets, current liabilities, or sometimes operating cash flow.
Investors usually read cash ratio with cash balances, short-term debt, and operating cash flow. A stronger liquidity position can reduce risk, although an unusually high ratio can also suggest that capital is not being used very efficiently.
PRTC (PRTC) Cash Ratio Related Metrics
Explore key financial metrics related to PRTC's (PRTC) Cash Ratio. Click on the links below to dive deeper into similar and complementary indicators.
About PRTC (PRTC)
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