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PGY Supporting Data

This data is derived from company filings and other reputable sources. It has not been generated by AI. It is intended to help verify and validate the AI analysis here. We believe this data to be accurate but we cannot guarentee that it is error free and it should not be relied upon for financial decisions.

Name Pagaya Technologies Ltd.
Asset Type Common Stock
Industry Finance Services
Market Capitalization 1215317000
Pe Ratio None
Peg Ratio 0.105
Book Value 4.392
Dividend Yield None
Eps -2.58
Analyst Target Price 22.56
Analyst Rating Strong Buy 2
Analyst Rating Buy 5
Analyst Rating Hold 3
Analyst Rating Sell 0
Analyst Rating Strong Sell 0
Trailing Pe
Forward Pe 8.91
Beta 6.12
Price To Sales Ratio 1.177
Price To Book Ratio 2.629

Annual Financial Statements

Ratios

2023-12-31 2022-12-31
Total Revenue 812.05M 748.93M
Cost of Goods Sold 767.64M 853.41M
Gross Profit 44.41M -104.48M
EBITDA -24.40M -270.08M
Free Cash Flow -10.61M -62.41M
Current Ratio 4.05 3.28
Quick Ratio 4.05 3.10
Debt to Equity Ratio 0.84 0.51
Interest Coverage Ratio N/A -4.35
Net Profit Margin -0.16 -0.40
Gross Profit Margin 0.05 -0.14
Return on Assets (ROA) -0.11 -0.29
Return on Equity (ROE) -0.23 -0.55
COGS Ratio 0.95 1.14
Inventory Turnover 767.64M 37.86
Receivables Turnover N/A 12.65
Asset Turnover 0.67 0.72
ROIC -0.03 -0.51

Income Statement

0 1
Fiscal Date Ending 2023-12-31 2022-12-31
Reported Currency USD USD
Gross Profit 44.41M -104.48M
Total Revenue 812.05M 748.93M
Cost Of Revenue 767.64M 853.41M
Costof Goods And Services Sold 508.94M 451.08M
Operating Income -24.40M -251.50M
Selling General And Administrative 253.12M 398.42M
Research And Development 74.38M 150.93M
Operating Expenses 333.08M 553.26M
Investment Income Net None None
Net Interest Income 45.60M 57.76M
Interest Income 45.60M 57.76M
Interest Expense None 57.76M
Non Interest Income 772.81M 685.41M
Other Non Operating Income -156.77M -24.87M
Depreciation 19.10M 6.30M
Depreciation And Amortization 19.13M 6.29M
Income Before Tax -112.87M -285.92M
Income Tax Expense 15.57M 16.40M
Interest And Debt Expense None None
Net Income From Continuing Operations -196.74M -292.77M
Comprehensive Income Net Of Tax -127.28M -303.03M
Ebit -24.40M -251.50M
Ebitda -24.40M -270.08M
Net Income -128.44M -302.32M

Balance Sheet

0 1 2
Fiscal Date Ending 2023-12-31 2022-12-31 2021-12-31
Reported Currency USD USD USD
Total Assets 1.21B 1.05B 590.26M
Total Current Assets 303.40M 419.82M 246.53M
Cash And Cash Equivalents At Carrying Value 186.48M 309.79M 190.78M
Cash And Short Term Investments 186.48M 309.79M 190.78M
Inventory 1.00 22.54M 10.35M
Current Net Receivables None 59.22M 32.33M
Total Non Current Assets 904.97M 625.26M 343.72M
Property Plant Equipment 41.56M 31.66M 7.65M
Accumulated Depreciation Amortization P P E 26.73M 7.54M 1.24M
Intangible Assets 13.49M 0.00 None
Intangible Assets Excluding Goodwill 2.55M 0.00 None
Goodwill 10.95M 0.00 None
Investments 743.18M 489.87M None
Long Term Investments 26.38M 25.89M 292.42M
Short Term Investments 2.49M 1.01M 10.16M
Other Current Assets 3.42M 1.38M 1.55M
Other Non Current Assets None None None
Total Liabilities 468.38M 279.66M 105.86M
Total Current Liabilities 74.92M 128.02M 28.67M
Current Accounts Payable 1.29M 1.74M 11.58M
Deferred Revenue None None None
Current Debt 37.69M 61.83M None
Short Term Debt 44.62M 70.36M None
Total Non Current Liabilities 393.45M 151.64M 77.19M
Capital Lease Obligations 50.87M 57.63M None
Long Term Debt 324.03M 92.80M 37.91M
Current Long Term Debt 37.69M 61.83M 0.00
Long Term Debt Noncurrent 324.03M 92.80M None
Short Long Term Debt Total 324.03M 92.80M 37.91M
Other Current Liabilities 28.56M 49.50M 17.09M
Other Non Current Liabilities 3.24M 1.40M 27.47M
Total Shareholder Equity 559.72M 553.52M 1.29M
Treasury Stock None None None
Retained Earnings -542.64M -414.20M -111.88M
Common Stock None None 3.0K
Common Stock Shares Outstanding 62.04M 683.31M 16.28M

Cash Flow Statement

0 1
Fiscal Date Ending 2023-12-31 2022-12-31
Reported Currency USD USD
Operating Cashflow 9.58M -40.00M
Payments For Operating Activities 31.88M 15.53M
Proceeds From Operating Activities None None
Change In Operating Liabilities -4.16M -18.65M
Change In Operating Assets 7.83M 69.68M
Depreciation Depletion And Amortization 19.13M 6.29M
Capital Expenditures 20.19M 22.41M
Change In Receivables 20.74M 46.45M
Change In Inventory None 46.45M
Profit Loss -196.74M -292.77M
Cashflow From Investment -412.69M -265.42M
Cashflow From Financing 289.10M 437.92M
Proceeds From Repayments Of Short Term Debt None None
Payments For Repurchase Of Common Stock None None
Payments For Repurchase Of Equity None None
Payments For Repurchase Of Preferred Stock None None
Dividend Payout None None
Dividend Payout Common Stock None None
Dividend Payout Preferred Stock None None
Proceeds From Issuance Of Common Stock None None
Proceeds From Issuance Of Long Term Debt And Capital Securities Net 468.47M 181.51M
Proceeds From Issuance Of Preferred Stock 0.00 0.00
Proceeds From Repurchase Of Equity 32.23M 1.62M
Proceeds From Sale Of Treasury Stock None None
Change In Cash And Cash Equivalents None None
Change In Exchange Rate None None
Net Income -128.44M -302.32M

Quarterly Financial Statements

Ratios

2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30
Total Revenue 257.23M 250.34M 245.28M 218.04M 211.76M
Cost of Goods Sold 218.19M 223.38M 218.61M 193.48M 193.56M
Gross Profit 39.04M 26.96M 26.66M 24.56M 18.20M
EBITDA 21.55M 4.32M 5.74M 14.01M 16.72M
Free Cash Flow -5.74M 11.11M 15.32M 14.31M 11.08M
Current Ratio 1.17 1.50 2.36 4.05 3.77
Quick Ratio N/A N/A 2.36 4.05 3.54
Debt to Equity Ratio 1.63 1.45 1.09 0.84 0.78
Interest Coverage Ratio N/A N/A N/A 0.63 0.01
Net Profit Margin -0.26 -0.30 -0.09 -0.07 -0.10
Gross Profit Margin 0.15 0.11 0.11 0.11 0.09
Return on Assets (ROA) -0.05 -0.05 -0.01 -0.01 -0.02
Return on Equity (ROE) -0.15 -0.14 -0.03 -0.03 -0.04
COGS Ratio 0.85 0.89 0.89 0.89 0.91
Inventory Turnover N/A N/A 218.61M 193.48M 7.37
Receivables Turnover N/A N/A N/A N/A 3.11
Asset Turnover 0.19 0.17 0.17 0.18 0.18
ROIC 0.02 0.01 0.01 0.02 0.00

Income Statement

0 1 2 3 4
Fiscal Date Ending 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30
Reported Currency USD USD USD USD USD
Gross Profit 39.04M 26.96M 26.66M 24.56M 18.20M
Total Revenue 257.23M 250.34M 245.28M 218.04M 211.76M
Cost Of Revenue 218.19M 223.38M 218.61M 193.48M 193.56M
Costof Goods And Services Sold 148.97M 145.60M 144.88M 134.48M 128.79M
Operating Income 22.38M 5.03M 7.69M 10.65M 162.0K
Selling General And Administrative 69.23M 77.78M 73.33M 55.36M 64.76M
Research And Development 16.66M 21.93M 19.38M 17.55M 18.04M
Operating Expenses 85.89M 99.72M 93.11M 76.55M 82.80M
Investment Income Net None None None None None
Net Interest Income 8.73M 8.19M 7.74M 7.78M 10.38M
Interest Income 8.73M 8.19M 7.74M 7.78M 10.38M
Interest Expense None None None 16.96M 16.96M
Non Interest Income 249.28M 242.59M 237.00M 210.13M 201.45M
Other Non Operating Income -108.14M -73.19M -34.35M -25.63M -47.26M
Depreciation None None None None None
Depreciation And Amortization 7.12M 7.04M 6.32M 6.32M 5.97M
Income Before Tax -79.00M -60.27M -16.22M -9.36M -22.91M
Income Tax Expense -11.52M 14.51M 5.00M 5.06M -1.16M
Interest And Debt Expense None None None None None
Net Income From Continuing Operations -74.23M -82.68M -31.66M -20.04M -45.94M
Comprehensive Income Net Of Tax -86.86M -121.56M -45.95M -17.96M -19.73M
Ebit 22.38M 5.03M 7.69M 10.65M 162.0K
Ebitda 21.55M 4.32M 5.74M 14.01M 16.72M
Net Income -67.48M -74.78M -21.22M -14.42M -21.75M

Balance Sheet

0 1 2 3 4
Fiscal Date Ending 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-06-30
Reported Currency USD USD USD USD USD
Total Assets 1.37B 1.45B 1.48B 1.21B 1.19B
Total Current Assets 298.46M 361.20M 399.09M 303.40M 421.38M
Cash And Cash Equivalents At Carrying Value 147.10M 233.59M 274.50M 186.48M 304.05M
Cash And Short Term Investments 147.10M 233.59M 274.50M 186.48M 304.05M
Inventory None None 1.00 1.00 26.28M
Current Net Receivables None None None None 68.03M
Total Non Current Assets 1.07B 1.09B 1.08B 904.97M 765.70M
Property Plant Equipment 39.36M 40.63M 42.76M 41.56M 38.03M
Accumulated Depreciation Amortization P P E None None None 26.73M None
Intangible Assets 11.58M 12.22M 12.86M 13.49M 9.78M
Intangible Assets Excluding Goodwill 638.0K 1.27M 1.91M 2.55M 3.19M
Goodwill 10.95M 10.95M 10.95M 10.95M 9.78M
Investments 949.16M 938.02M 921.06M 743.18M 617.07M
Long Term Investments 25.78M 26.59M 26.91M 26.38M 26.61M
Short Term Investments 11.25M 1.66M 1.30M 1.30M 249.0K
Other Current Assets 151.36M 32.48M 11.97M 3.42M 27.35M
Other Non Current Assets None None None None None
Total Liabilities 753.75M 763.15M 683.03M 468.38M 409.71M
Total Current Liabilities 254.45M 241.25M 169.38M 74.92M 111.71M
Current Accounts Payable 5.83M 7.30M 3.14M 1.29M 3.79M
Deferred Revenue None None None None None
Current Debt 208.21M 188.97M 120.80M 37.69M 66.11M
Short Term Debt 213.70M 195.40M 127.47M 127.47M 50.41M
Total Non Current Liabilities 499.30M 521.90M 513.64M 393.45M 298.00M
Capital Lease Obligations 33.18M 45.96M 48.50M 50.87M 51.09M
Long Term Debt 230.17M 232.59M 235.05M 324.03M 240.47M
Current Long Term Debt 208.21M 188.97M 120.80M 37.69M 66.11M
Long Term Debt Noncurrent 445.69M 443.84M 445.40M 324.03M 240.47M
Short Long Term Debt Total 230.17M 232.59M 235.05M 324.03M 240.47M
Other Current Liabilities 32.55M 36.09M 36.71M 36.71M 28.03M
Other Non Current Liabilities None None None 3.24M 3.83M
Total Shareholder Equity 462.31M 525.98M 626.83M 559.72M 523.18M
Treasury Stock None None None None None
Retained Earnings -706.12M -638.64M -563.86M -563.86M -528.22M
Common Stock None None None None -74.25M
Common Stock Shares Outstanding 72.73M 71.77M 64.50M 62.04M 708.91M

Cash Flow Statement

0 1 2 3 4
Fiscal Date Ending 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30
Reported Currency USD USD USD USD USD
Operating Cashflow -1.50M 15.49M 20.47M 18.95M 16.14M
Payments For Operating Activities None None None None None
Proceeds From Operating Activities None None None None None
Change In Operating Liabilities 1.30M 2.50M 361.0K 2.65M -5.71M
Change In Operating Assets 11.82M 916.0K 10.81M 1.97M 2.84M
Depreciation Depletion And Amortization 7.12M 7.04M 6.32M 5.97M 5.18M
Capital Expenditures 4.24M 4.38M 5.14M 4.63M 5.06M
Change In Receivables 2.61M 3.85M 8.88M 13.07M 64.0K
Change In Inventory None None None -7.67M -7.67M
Profit Loss -74.23M -82.68M -31.66M -20.04M -45.94M
Cashflow From Investment -111.39M -120.40M -230.89M -96.61M -125.22M
Cashflow From Financing 25.47M 63.69M 298.74M 12.33M 63.40M
Proceeds From Repayments Of Short Term Debt None None None None None
Payments For Repurchase Of Common Stock None None None None None
Payments For Repurchase Of Equity None None None None None
Payments For Repurchase Of Preferred Stock None None None None None
Dividend Payout None None None None None
Dividend Payout Common Stock None None None None None
Dividend Payout Preferred Stock None None None None None
Proceeds From Issuance Of Common Stock 0.00 18.0K 89.94M 0.00 None
Proceeds From Issuance Of Long Term Debt And Capital Securities Net 62.58M 109.87M 386.17M 0.00 131.86M
Proceeds From Issuance Of Preferred Stock None None None None None
Proceeds From Repurchase Of Equity 8.93M 616.0K 95.44M 0.00 4.90M
Proceeds From Sale Of Treasury Stock None None None None None
Change In Cash And Cash Equivalents None None None None None
Change In Exchange Rate None None None None None
Net Income -67.48M -74.78M -21.22M -14.42M -21.75M

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