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Trade Perma-Fix Inc - PESI CFD

3.78
0.8%
  • Summary
  • Historical Data
  • Events
  • Income Statement
  • Balance Sheet
  • Cash Flow
  • Ownership
Trading Conditions
Spread 0.15
Long position overnight fee

Long position overnight fee


Margin. Your investment $1,000.00
Overnight fee -0.0308 %
Charges from borrowed part ($-1.23)
Trade size with leverage ~ $5,000.00
Money from leverage ~ $4,000.00

Go to platform
-0.0308%
Short position overnight fee

Short position overnight fee


Margin. Your investment $1,000.00
Overnight fee -0.0308 %
Charges from borrowed part ($-1.23)
Trade size with leverage ~ $5,000.00
Money from leverage ~ $4,000.00

Go to platform
-0.0137%
Overnight fee time 22:00 (UTC)
Min traded quantity 1
Currency USD
Margin 20%
Stock exchange United States of America
Commission on trade 0%

*Information provided by Capital.com

Key Stats
Prev. Close* 3.75
Open* 3.76
1-Year Change* -2.34%
Day's Range* 3.71 - 3.71
52 wk Range 3.6381-7.3
Average Volume (10 days) 0.01548
Average Volume (3 months) 0.44065
Market Cap 51.3003
P/E Ratio N/A
Shares Outstanding 13324800
Revenue 70.958
EPS -0.30461
Dividend (Yield %) N/A
Beta 0.90962
Next Earnings Date Mar 29, 2023

All data is provided by Refinitiv, except for data marked with an asterisk, which is *data provided by Capital.com

  • Last Week
  • Last Month
  • Last Year
  • Last two Years
  • Max
  • Daily
  • Weekly
  • Monthly
Date Close Change Change (%) Open High Low
Nov 25, 2022 3.78 0.02 0.53% 3.76 3.86 3.71
Nov 23, 2022 3.75 -0.08 -2.09% 3.83 3.83 3.69
Nov 22, 2022 3.81 -0.11 -2.81% 3.92 4.02 3.70
Nov 21, 2022 3.93 0.03 0.77% 3.90 4.13 3.90
Nov 18, 2022 3.95 0.08 2.07% 3.87 3.96 3.87
Nov 17, 2022 3.94 0.07 1.81% 3.87 3.98 3.87
Nov 16, 2022 3.98 -0.02 -0.50% 4.00 4.04 3.98
Nov 15, 2022 4.09 0.11 2.76% 3.98 4.13 3.98
Nov 14, 2022 4.08 -0.04 -0.97% 4.12 4.19 4.00
Nov 11, 2022 4.11 -0.06 -1.44% 4.17 4.18 4.04
Nov 10, 2022 4.10 0.20 5.13% 3.90 4.13 3.90
Nov 9, 2022 3.93 0.05 1.29% 3.88 3.94 3.88
Nov 8, 2022 3.89 0.01 0.26% 3.88 3.96 3.88
Nov 7, 2022 3.90 0.05 1.30% 3.85 3.90 3.85
Nov 4, 2022 3.95 -0.04 -1.00% 3.99 4.04 3.84
Nov 3, 2022 4.03 0.04 1.00% 3.99 4.14 3.99
Nov 2, 2022 4.03 0.00 0.00% 4.03 4.04 4.03
Nov 1, 2022 3.98 -0.15 -3.63% 4.13 4.16 3.98
Oct 31, 2022 4.14 -0.09 -2.13% 4.23 4.23 4.03
Oct 28, 2022 4.26 0.28 7.04% 3.98 4.26 3.98

Perma-Fix Inc Events

Time (UTC) Country Event
No events scheduled
View all events
  • Annual
  • Quarterly
2016 2017 2018 2019 2020 2021
Total revenue 51.219 49.769 49.539 73.459 105.426 72.191
Revenue 51.219 49.769 49.539 73.459 105.426 72.191
Cost of Revenue, Total 44.135 41.149 41.078 57.875 89.533 65.367
Gross Profit 7.084 8.62 8.461 15.584 15.893 6.824
Total Operating Expense 67.011 54.505 53.143 70.49 102.125 74.641
Selling/General/Admin. Expenses, Total 10.561 11.018 10.664 11.821 11.733 12.812
Research & Development 2.046 1.595 1.37 0.75 0.762 0.746
Depreciation / Amortization 0.163 0.083 0.077 0.041 0.041 0.033
Unusual Expense (Income) 10.106 0.66 -0.046 0.003 0.056 -4.317
Operating Income -15.792 -4.736 -3.604 2.969 3.301 -2.45
Interest Income (Expense), Net Non-Operating -0.487 -0.21 0.006 -0.303 -0.552 -0.262
Other, Net 0.022 0.123 1.588 0.223 0.211 -0.086
Net Income Before Taxes -16.257 -4.823 -2.01 2.889 2.96 -2.798
Net Income After Taxes -13.263 -5.233 -1.074 2.732 3.149 1.092
Minority Interest 0.588 0.45 0.32 0.124 0.123 0.164
Net Income Before Extra. Items -12.675 -4.783 -0.754 2.856 3.272 1.256
Total Extraordinary Items -0.73 1.103 -0.667 -0.541 -0.412 -0.421
Net Income -13.405 -3.68 -1.421 2.315 2.86 0.835
Income Available to Common Excl. Extra. Items -12.675 -4.783 -0.754 2.856 3.272 1.256
Income Available to Common Incl. Extra. Items -13.405 -3.68 -1.421 2.315 2.86 0.835
Diluted Net Income -13.405 -3.68 -1.421 2.315 2.86 0.835
Diluted Weighted Average Shares 11.608 11.706 11.855 12.06 12.347 12.673
Diluted EPS Excluding Extraordinary Items -1.09192 -0.40859 -0.0636 0.23682 0.265 0.09911
Diluted Normalized EPS -0.52603 -0.37195 -0.06612 0.23705 0.26795 -0.12231
Q1 2021 Q2 2021 Q3 2021 Q4 2021 Q1 2022
Total revenue 23.133 16.145 15.797 17.116 15.915
Revenue 23.133 16.145 15.797 17.116 15.915
Cost of Revenue, Total 20.777 15.179 13.573 15.838 14.279
Gross Profit 2.356 0.966 2.224 1.278 1.636
Total Operating Expense 24.132 12.939 17.165 20.404 17.798
Selling/General/Admin. Expenses, Total 3.199 2.991 3.342 3.279 3.405
Research & Development 0.15 0.144 0.243 0.208 0.096
Depreciation / Amortization 0.006 0.006 0.006 0.016 0.017
Unusual Expense (Income) 0 -5.381 0.001 1.063 0.001
Operating Income -0.999 3.206 -1.368 -3.288 -1.883
Interest Income (Expense), Net Non-Operating -0.057 -0.072 -0.086 -0.048 -0.037
Other, Net 0.001 0 -0.001 -0.086 -0.002
Net Income Before Taxes -1.055 3.134 -1.455 -3.422 -1.922
Net Income After Taxes -1.038 3.121 1.381 -2.372 -1.249
Minority Interest 0.03 0.029 0.064 0.041 0
Net Income Before Extra. Items -1.008 3.15 1.445 -2.331 -1.249
Total Extraordinary Items -0.115 -0.127 -0.043 -0.136 -0.094
Net Income -1.123 3.023 1.402 -2.467 -1.343
Income Available to Common Excl. Extra. Items -1.008 3.15 1.445 -2.331 -1.249
Income Available to Common Incl. Extra. Items -1.123 3.023 1.402 -2.467 -1.343
Diluted Net Income -1.123 3.023 1.402 -2.467 -1.343
Diluted Weighted Average Shares 12.165 12.44 12.406 13.189 13.234
Diluted EPS Excluding Extraordinary Items -0.08286 0.25322 0.11648 -0.17674 -0.09438
Dividends per Share - Common Stock Primary Issue 0 0 0 0
Diluted Normalized EPS -0.08286 -0.02795 0.11653 -0.12435 -0.09433
  • Annual
  • Quarterly
2016 2017 2018 2019 2020 2021
Total Current Assets 14.607 17.313 14.758 25.126 36.635 29.974
Cash and Short Term Investments 0.163 1.063 0.81 0.39 7.924 4.44
Cash 0.163 1.063 0.81 0.39 7.924 4.44
Total Receivables, Net 11.631 12.487 10.84 21.162 24.112 20.367
Accounts Receivable - Trade, Net 8.705 7.94 7.735 13.178 9.659 11.372
Total Inventory 0.37 0.393 0.449 0.487 0.61 0.68
Prepaid Expenses 2.358 3.281 2.552 2.983 3.967 4.472
Other Current Assets, Total 0.085 0.089 0.107 0.104 0.022 0.015
Total Assets 65.335 59.538 57.442 66.515 78.919 77.301
Property/Plant/Equipment, Total - Net 17.115 14.87 15.739 19.121 20.07 21.069
Property/Plant/Equipment, Total - Gross 70.438 71.253 42.271 46.04 47.978 50.001
Accumulated Depreciation, Total -53.323 -56.383 -26.532 -26.919 -27.908 -28.932
Intangibles, Net 10.195 9.906 9.721 9.855 9.797 10.37
Note Receivable - Long Term 0.428 0.184 0
Other Long Term Assets, Total 22.99 17.265 17.224 12.413 12.417 15.888
Total Current Liabilities 16.738 19.581 21.511 25.1 32.963 25.914
Accounts Payable 4.244 3.537 5.497 9.277 15.382 11.975
Accrued Expenses 6.533 9.644 7.698 7.602 7.949 7.127
Notes Payable/Short Term Debt 0 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 1.184 1.184 1.365 1.771 4.12 0.726
Other Current Liabilities, Total 4.777 5.216 6.951 6.45 5.512 6.086
Total Liabilities 32.454 29.917 29.814 35.66 44.726 36.717
Total Long Term Debt 7.649 2.663 2.386 3.046 3.796 1.484
Long Term Debt 7.649 2.663 2.118 2.58 3.134 0.6
Deferred Income Tax 2.362 1.694 0.586 0.59 0.471 0
Minority Interest -0.725 -1.175 -1.495 -1.619 -1.742 0
Other Liabilities, Total 6.43 7.154 6.826 8.543 9.238 9.319
Total Equity 32.881 29.621 27.628 30.855 34.193 40.584
Redeemable Preferred Stock 1.285 1.285 0
Common Stock 0.011 0.012 0.012 0.012 0.012 0.013
Additional Paid-In Capital 106.048 106.417 107.548 108.457 108.931 114.307
Retained Earnings (Accumulated Deficit) -74.213 -77.893 -79.63 -77.315 -74.455 -73.62
Treasury Stock - Common -0.088 -0.088 -0.088 -0.088 -0.088 -0.088
Other Equity, Total -0.162 -0.112 -0.214 -0.211 -0.207 -0.028
Total Liabilities & Shareholders’ Equity 65.335 59.538 57.442 66.515 78.919 77.301
Total Common Shares Outstanding 11.6694 11.731 11.9366 12.1159 12.1539 13.2149
Total Preferred Shares Outstanding 1.28473 1.28473 0 0
Capital Lease Obligations 0.268 0.466 0.662 0.884
Preferred Stock - Non Redeemable, Net 0 0 0
Mar 2021 Jun 2021 Sep 2021 Dec 2021 Mar 2022
Total Current Assets 34.486 27.532 29.427 29.974 24.579
Cash and Short Term Investments 0.713 7.312 7.222 4.44 3.925
Cash 0.713 7.312 7.222 4.44 3.925
Total Receivables, Net 29.35 16.576 17.512 20.367 15.597
Accounts Receivable - Trade, Net 20.121 9.244 11.816 11.372 10.322
Total Inventory 0.593 0.701 0.543 0.68 0.953
Prepaid Expenses 3.81 2.926 4.132 4.472 4.077
Other Current Assets, Total 0.02 0.017 0.018 0.015 0.027
Total Assets 76.81 70.059 75.404 77.301 72.176
Property/Plant/Equipment, Total - Net 20.042 20.127 20.933 21.069 20.99
Property/Plant/Equipment, Total - Gross 48.266 48.701 49.839 50.001 50.157
Accumulated Depreciation, Total -28.224 -28.574 -28.906 -28.932 -29.167
Intangibles, Net 9.867 10.003 10.205 10.37 10.338
Other Long Term Assets, Total 12.415 12.397 14.839 15.888 16.269
Total Current Liabilities 33.483 24.138 22.28 25.914 22.238
Accounts Payable 15.426 11.511 9.717 11.975 10.329
Accrued Expenses 8.471 7.041 8.143 7.127 7.662
Notes Payable/Short Term Debt 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 5.663 0.837 0.653 0.726 0.738
Other Current Liabilities, Total 3.923 4.749 3.767 6.086 3.509
Total Liabilities 43.596 33.651 32.481 36.717 32.684
Total Long Term Debt 2.07 1.374 1.478 1.484 1.411
Long Term Debt 1.461 0.819 0.702 0.6 0.491
Capital Lease Obligations 0.609 0.555 0.776 0.884 0.92
Deferred Income Tax 0.471 0.474 0 0
Minority Interest -1.772 -1.801 -1.865 0
Other Liabilities, Total 9.344 9.466 10.588 9.319 9.035
Total Equity 33.214 36.408 42.923 40.584 39.492
Preferred Stock - Non Redeemable, Net 0 0 0 0
Common Stock 0.012 0.012 0.012 0.013 0.013
Additional Paid-In Capital 109.055 109.206 109.954 114.307 114.532
Retained Earnings (Accumulated Deficit) -75.578 -72.555 -71.153 -73.62 -74.963
Treasury Stock - Common -0.088 -0.088 -0.088 -0.088 -0.088
Other Equity, Total -0.187 -0.167 4.198 -0.028 -0.002
Total Liabilities & Shareholders’ Equity 76.81 70.059 75.404 77.301 72.176
Total Common Shares Outstanding 12.1657 12.1806 12.2966 13.2149 13.2344
  • Annual
  • Quarterly
2016 2017 2018 2019 2020 2021
Net income/Starting Line -13.993 -4.13 -1.741 2.191 2.737 0.671
Cash From Operating Activities 0.104 0.442 1.96 -4.683 7.368 -6.837
Cash From Operating Activities 4.165 3.803 1.455 1.342 1.596 1.687
Deferred Taxes -3.062 -0.668 -1.108 0.004 -0.119 -3.86
Non-Cash Items 10.072 1.472 -1.108 0.901 0.639 -3.667
Cash Taxes Paid 0.041 0.058 0.16 0.245 0.07 0.047
Cash Interest Paid 0.424 0.318 0.248 0.422 0.366 0.23
Changes in Working Capital 2.922 -0.035 4.462 -9.121 2.515 -1.668
Cash From Investing Activities -0.415 -0.34 -1.318 -1.412 -1.593 -1.564
Capital Expenditures -0.436 -0.439 -1.432 -1.535 -1.715 -1.577
Other Investing Cash Flow Items, Total 0.021 0.099 0.114 0.123 0.122 0.013
Cash From Financing Activities -0.956 -5.022 -0.58 0.992 1.892 4.943
Financing Cash Flow Items -0.122 -0.112 -0.085 -0.048
Issuance (Retirement) of Stock, Net 0.22 0 0.036 0.133 0.006 5.765
Issuance (Retirement) of Debt, Net -1.054 -5.022 -0.616 0.971 1.971 -0.774
Foreign Exchange Effects -0.005 0.009 -0.02 0.019 0.006 -0.001
Net Change in Cash -1.272 -4.911 0.042 -5.084 7.673 -3.459
Mar 2021 Jun 2021 Sep 2021 Dec 2021 Mar 2022
Net income/Starting Line -1.153 1.841 3.179 0.671 -1.343
Cash From Operating Activities -6.604 0.488 -4.327 -6.837 0.006
Cash From Operating Activities 0.4 0.799 1.208 1.687 0.456
Non-Cash Items 0.083 -5.175 -4.902 -3.667 0.136
Cash Taxes Paid 0 0.015 0.015 0.047 0.006
Cash Interest Paid 0.054 0.106 0.163 0.23 0.034
Changes in Working Capital -5.934 3.02 -0.881 -1.668 1.43
Cash From Investing Activities -0.36 -0.649 -1.131 -1.564 -0.321
Capital Expenditures -0.361 -0.65 -1.132 -1.577 -0.345
Other Investing Cash Flow Items, Total 0.001 0.001 0.001 0.013 0.024
Cash From Financing Activities -0.223 -0.439 4.783 4.943 -0.189
Issuance (Retirement) of Stock, Net 0 5.434 5.765
Issuance (Retirement) of Debt, Net -0.223 -0.424 -0.611 -0.774 -0.168
Foreign Exchange Effects -0.006 0.009 -0.004 -0.001 0
Net Change in Cash -7.193 -0.591 -0.679 -3.459 -0.504
Deferred Taxes 0.003 -2.931 -3.86 -0.673
Financing Cash Flow Items -0.015 -0.04 -0.048 -0.021

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Perma-Fix Inc Company profile

About Perma-Fix Environmental Services, Inc.

Perma-Fix Environmental Services, Inc. is an environmental technology know-how company. The Company operates in three segments: Treatment segment, Services segment and Medical segment: Treatment segment includes nuclear, low-level radioactive, mixed waste, hazardous and non-hazardous waste treatment, processing and disposal services through licensed and permitted treatment and storage facilities, such as Perma-Fix of Florida (PFF), Inc., Diversified Scientific Services (DSSI), Inc., Perma-Fix Northwest Richland (PFNWR), Inc. and Oak Ridge Environmental Waste Operations Center (EWOC). The Research & Development (R&D) activities identity's, develops and implements waste processing techniques for problematic waste streams. Service segment includes technical services and nuclear services. Medical segment, which is involved on a limited basis in the R&D of the Company’s medical isotope production technology, has not generated any revenue.

Financial summary

BRIEF: For the nine months ended 30 September 2021, Perma-Fix Environmental Services, Inc. revenues decreased 29% to $55.1M. Net income before extraordinary items increased 14% to $3.6M. Revenues reflect Service segment decrease of 41% to $31M, Treatment segment decrease of 2% to $24.1M. Net Income benefited from Gain (loss) on extinguishment of debt decrease from $27K (expense) to $5.4M (income).

Equity composition

Common Stock $.001 Par, 12/10, 75M auth., 55,106,180 issd., less 38,210 shs. in Treas. @ $88K. Insiders control 7.98%. IPO 12/92, 1.6M shs @ $4.50 by D.H. Blair. *5/99, Company issd. 6,119,135 shares of Common Stock to RBB Bank. FY'00 & '01 A's & FY'02 Q's are reclass. 6/03=6M. 10/13, 1-for-5 Reverse Stock split.

Industry: Waste Management, Disposal & Recycling Services

Suite 250
8302 Dunwoody Place
ATLANTA
GEORGIA 30350
US

Income Statement

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