Palantir Technologies Inc Ordinary Shares - Class A (PLTR)

Industry Software - Infrastructure

This stock can be held in an Investment ISA and an Investment Account
Sell

$126.02

Buy

$126.05

arrow-down$-3.19 (-2.46%)

Palantir Technologies Inc. builds software platforms that help human experts perform collaborative analysis of data at scale. The company serves public institutions, private enterprises, and non-profit sector.
Prices updated at 19 May 2025, 21:10 EDT
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Prices in USD

Income statement

Year2018201920202021202220232024
595m743m1,093m1,542m1,906m2,225m2,866m
430m500m740m1,202m1,497m1,794m2,300m
-623m-576m-1,174m-411m-161m120m310m
--77.63-107.41-26.66-8.465.3910.83
-580m-580m-1,166m-520m-374m210m462m
-554m-552m-1,151m-470m-139m153m342m
Sales, General and administrative768m771m1,353m1,226m1,299m1,269m1,481m
Interest expenses3m3m14m4m---
Provision for income taxes9m12m-13m32m10m20m21m
Operating expenses1,053m1,077m1,914m1,614m1,659m1,674m1,989m
Income before taxes-571m-567m-1,179m-488m-361m237m489m
Net income available to common shareholders-598m-588m-1,166m-520m-374m210m462m
-0.837852-0.42-1.19-0.27-0.180.10.21
Net interest income7m12m-9m-2m20m133m197m
Advertising and promotion-------
Net investment income, net-------
Realised capital gains (losses), net-------
Total benefits, claims and expenses-------
Earnings per share (diluted)-0.88974-0.42-1.2-0.27-0.180.090.19
Free cash flow per share--0.02720.11310.09660.21250.4075
Book value/share--0.69851.10881.1371.44991.9233
Debt equity ratio--0.2809610.096090.0796410.0504140.03902

Balance sheet

Year2018201920202021202220232024
Current assets1,220m1,214m2,257m2,863m3,042m4,139m5,934m
Current liabilities532m729m604m660m588m746m996m
Total capital-1,751m-1,585m1,721m2,291m2,565m3,476m5,003m
Total debt-396m457m260m249m229m239m
Total equity-1,751m-1,981m1,523m2,291m2,565m3,476m5,003m
Total non current liabilities-------
Loans-396m198m----
Total assets1,431m1,594m2,691m3,247m3,461m4,522m6,341m
Total liabilities-------
Cash and cash equivalents1,116m1,079m2,011m2,291m2,599m831m2,099m
Common stock1,588m1,588m1,792m2,027m2,099m2,200m2,339m

Cash flow

Year2018201920202021202220232024
Cash at beginning of period1,270m1,267m1,402m2,128m2,367m2,627m850m
Cash dividends paid-------
-52m-178m-309m321m184m697m1,141m
Investments (gains) losses-7m-22m-15m-398m-45m-2,711m-341m
1,267m1,402m2,128m2,367m2,627m850m2,120m
Net income-------
-39m-165m-297m334m224m712m1,154m
-13m-13m-12m-13m-40m-15m-13m
The figures shown in the tables are quoted in the currency of the stock selected.
Please note that past performance is not a reliable indicator of future returns. Please use the interactive graph for benchmark comparison.


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