PCSC Perceptive Capital Solutions Corp

PCSC financial statements, revenue, balance sheet, cash flow, and SEC filings

CIK: 2017526 Exchange: Nasdaq SIC: 8071 (Services-Medical Laboratories)
Showing 1 of 1 annual and 0 of 8 quarterly periods. Full history available with a free account or via API.

▼ Company Profile

Filer Category
Non-accelerated filer<br>Smaller reporting company<br>Emerging growth company
Entity Type
Operating
Public Float
$91.60M (Jun 2025)
Industry (SIC)
8071 Services-Medical Laboratories
Incorporated
DE
Fiscal Year End
December (1231)
Phone
212-284-2300
EIN
000000000
Headquarters
BRISBANE, CA, 94005
Public Float History
Market value of shares held by public investors, reported in annual DEI filings.
Former Names: Perceptive Capital Solutions Corp (2024–2026)

▼ Key Metrics (TTM)

As of Jun 30, 2026
Financials
Revenue
-
Net Income
$-762.63K
Total Assets
$85.83M
Total Equity
$-6.30M
Total Debt
-
Free Cash Flow
-
Ratios
Return on Equity
12.1%
Return on Assets
-0.9%
Current Ratio
0.2x
Sources and calculation details

Reported values are preserved. Derived values use the listed inputs; unavailable inputs remain blank.

Field-level sources for this historical record are unavailable until it is rebuilt from SEC facts.

Annual (FY)
Quarterly 🔒
Chart 🔒
Annual financial statements for Perceptive Capital Solutions Corp
Metric FY2025 📄
Income Statement
REVENUE
OPERATING EXPENSES
SG&A Expense $2.98M
Operating Income $-2.98M
NON-OPERATING INCOME / EXPENSE
Interest Income $3.82M
Other Income/Expense $3.82M
Net Income $837.47K
PER SHARE & SUPPLEMENTAL
Balance Sheet
ASSETS
Cash & Equivalents $865.03K
Other Current Assets $42.54K
Current Assets $907.57K
Noncurrent Assets $91.87M
Total Assets $92.78M
LIABILITIES
Current Liabilities $2.25M
Noncurrent Liabilities $3.45M
Total Liabilities $5.70M
EQUITY
Retained Earnings $-4.80M
Total Equity $-4.80M
Total Liabilities & Equity $92.78M
SUPPLEMENTAL
Check: A − (L + E + NCI) $91.87M
Cash Flow Statement
Cash from Operations $-864.65K
Capital Expenditures -
Cash from Investing $600.00K
Cash from Financing $0
Free Cash Flow -
Beginning Cash (CFS) -
Net Change in Cash -
Effect of FX on Cash -
Calculated Ending Cash -
Cash per BS $865.03K
Cash scope difference (CFS − BS) -
Cash per CFS $865.03K

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▼ Frequently Asked Questions

Is Perceptive Capital Solutions Corp profitable?

No. Perceptive Capital Solutions Corp reported $-762.63K in net income for trailing twelve months. Profitability data is based on the company's most recent annual report filed with the SEC.