Equity (Tables)
|
12 Months Ended |
Dec. 31, 2025 |
| Equity [Abstract] |
|
| Schedule of Share Capital |
On December 31,
2025, the Company’s share capital consisted of 814,216,001 class A common shares and 294,842,184 class B common shares (2,218,116,370
common shares on December 31, 2024), totaling US$35,114 (US$13,177,841 on December 31, 2024).
| | |
December 31, 2025 | |
| | |
Quantity | | |
US$ thousand | |
| Initial balance | |
| 1,109,058,185 | | |
| 35,114 | |
| Final balance | |
| 1,109,058,185 | | |
| 35,114 | |
|
| Schedule of Treasury Shares |
Treasury share activity were as follows:
| | |
December 31, 2025 | |
| | |
Quantity | | |
US$ thousand | |
| Balance at the beginning of the period | |
| — | | |
| — | |
| Corporate restructuring | |
| 624,500,000 | | |
| 6,544 | |
| Purchase of treasury shares | |
| 41,008,292 | | |
| 600,000 | |
| Stock based compensation | |
| (458,984 | ) | |
| (2,157 | ) |
| Transfer of treasury shares | |
| (590,181,486 | ) | |
| (6,156 | ) |
| Repurchase of treasury shares | |
| 19,669,712 | | |
| 192 | |
| Balance at the end of the period | |
| 94,537,534 | | |
| 598,423 | |
|
| Schedule of Net Sales, Net Income, Cash Provided by Operations, Total Assets and Total Liabilities |
Below
are the PPC total net sales, net income, cash provided by operations, total assets and total liabilities for the years indicated.
| | |
2025 | | |
2024 | | |
2023 | |
| | |
| | |
| | |
| |
| Net Revenue | |
| 18,497,553 | | |
| 17,878,291 | | |
| 17,362,217 | |
| Net Income | |
| 1,083,344 | | |
| 1,087,200 | | |
| 322,317 | |
| Net cash provided by operating activities | |
| 1,371,650 | | |
| 1,990,100 | | |
| 677,877 | |
| | |
| | | |
| | | |
| | |
| | |
| | | |
| | | |
| | |
| Total assets | |
| 10,343,530 | | |
| 10,650,576 | | |
| 9,810,361 | |
| Total liabilities | |
| 6,649,799 | | |
| 6,397,180 | | |
| 6,465,784 | |
| Total equity | |
| 3,693,731 | | |
| 4,253,396 | | |
| 3,344,577 | |
|