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POET POET Technologies

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  • 4.480
  • +0.060+1.36%
Close May 9 16:00 ET
  • 4.382
  • -0.098-2.19%
Post 20:01 ET
342.75MMarket Cap-4.77P/E (TTM)

POET Technologies Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-51.17%-23.29M
-197.47%-8.69M
-34.57%-5.5M
-11.76%-4.49M
-5.24%-4.6M
-25.00%-15.41M
-6.73%-2.92M
-60.66%-4.09M
-18.61%-4.02M
-19.78%-4.38M
Net income from continuing operations
-179.74%-56.7M
-453.08%-30.26M
-148.04%-12.74M
-81.91%-7.98M
-8.40%-5.72M
3.66%-20.27M
12.88%-5.47M
-27.10%-5.14M
16.96%-4.39M
2.94%-5.27M
Operating gains losses
82,843.03%20.62M
--12.44M
--6.18M
--1.38M
--622.41K
-98.30%24.87K
----
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----
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Depreciation and amortization
5.10%2.02M
-6.05%475.28K
3.44%525.96K
10.16%509.76K
14.42%509.2K
48.64%1.92M
48.35%505.89K
51.13%508.48K
47.52%462.74K
47.36%445.04K
Other non cash items
12,814.47%6.92M
50,579.29%6.87M
-2.57%17.85K
85.78%20.83K
87.57%19.75K
-40.27%53.61K
-73.77%13.55K
56.50%18.32K
-11.19%11.21K
-23.66%10.53K
Change In working capital
-21.65%-1.63M
-60.30%379.29K
-38.26%-1.01M
98.31%-13.61K
-29.93%-987.57K
-194.11%-1.34M
-17.36%955.47K
-290.44%-731.17K
-438.25%-806.43K
-2,213.27%-760.06K
-Change in receivables
-111.70%-7.26K
---7.26K
--0
--0
--0
201.47%62K
--0
--10.08K
--20.33K
--31.59K
-Change in prepaid assets
-1,407.44%-1.66M
-199.95%-316.76K
-312.82%-868.03K
-400.46%-316.01K
-87.08%-158.82K
135.64%126.94K
165.25%316.92K
-780.64%-210.27K
236.00%105.17K
-148.25%-84.89K
-Change in payables and accrued expense
102.71%34.07K
-5.91%703.3K
73.09%-142.88K
139.44%302.4K
-17.26%-828.75K
-178.72%-1.26M
-59.50%747.48K
-273.83%-530.97K
-84.98%-766.67K
-404.86%-706.76K
-Change in other working capital
----
----
----
----
----
-211.08%-274.19K
23.67%-108.93K
--0
----
----
Cash from discontinued investing activities
Operating cash flow
-51.17%-23.29M
-197.47%-8.69M
-34.57%-5.5M
-11.76%-4.49M
-5.24%-4.6M
-25.00%-15.41M
-6.73%-2.92M
-60.66%-4.09M
-18.61%-4.02M
-19.78%-4.38M
Investing cash flow
Cash flow from continuing investing activities
-1,797.38%-23.66M
-58,232.97%-20.67M
-1.21%-1.02M
-3,023.82%-1.86M
27.65%-102.42K
-137.87%-1.25M
97.85%-35.44K
-155.52%-1.01M
-101.69%-59.65K
65.25%-141.55K
Net PPE purchase and sale
-480.65%-6.78M
-10,967.61%-3.92M
6.27%-947.08K
-3,023.82%-1.86M
21.42%-49.06K
61.22%-1.17M
97.85%-35.44K
-105.06%-1.01M
87.86%-59.65K
83.65%-62.44K
Net intangibles purchase and sale
-149.01%-197K
-6,808,600.00%-68.09K
---75.56K
--0
32.56%-53.35K
-26.63%-79.11K
---1
--0
--0
-769.34%-79.11K
Net business purchase and sale
--97.83K
----
----
----
----
--0
----
----
----
----
Net investment purchase and sale
---16.78M
----
----
----
----
--0
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
-1,797.38%-23.66M
-58,232.97%-20.67M
-1.21%-1.02M
-3,023.82%-1.86M
27.65%-102.42K
-137.87%-1.25M
97.85%-35.44K
-155.52%-1.01M
-101.69%-59.65K
65.25%-141.55K
Financing cash flow
Cash flow from continuing financing activities
703.28%81.9M
1,839.94%25.74M
2,324.44%26.77M
1,513.32%24.21M
-17.42%5.17M
196.79%10.2M
-54.12%1.33M
2,611.30%1.1M
657.10%1.5M
1,956.68%6.26M
Net issuance payments of debt
-10.21%-277.85K
41.47%-46.29K
-1.45%-71.73K
-27.18%-70.53K
-90.54%-89.3K
-23.27%-252.1K
-76.67%-79.08K
-50.73%-70.7K
-3.34%-55.46K
20.82%-46.87K
Net common stock issuance
686.56%82.18M
1,734.11%25.78M
2,184.68%26.85M
1,460.37%24.29M
-16.62%5.26M
187.04%10.45M
-52.13%1.41M
1,240.83%1.18M
517.83%1.56M
1,634.89%6.31M
Cash from discontinued financing activities
Financing cash flow
703.28%81.9M
1,839.94%25.74M
2,324.44%26.77M
1,513.32%24.21M
-17.42%5.17M
196.79%10.2M
-54.12%1.33M
2,611.30%1.1M
657.10%1.5M
1,956.68%6.26M
Net cash flow
Beginning cash position
-67.29%3.02M
833.39%41.78M
149.91%21.26M
-68.70%3.43M
-67.29%3.02M
-38.23%9.23M
-56.41%4.48M
-25.36%8.51M
-2.17%10.97M
-38.23%9.23M
Current changes in cash
641.03%34.95M
-122.47%-3.63M
606.84%20.25M
792.10%17.86M
-73.37%465.05K
-15.38%-6.46M
-9.32%-1.63M
-483.76%-4M
-873.66%-2.58M
146.49%1.75M
Effect of exchange rate changes
-430.62%-820.75K
-687.23%-1.01M
852.51%271.35K
-124.60%-28.76K
-879.77%-50.26K
317.73%248.25K
-61.80%172.52K
91.90%-36.06K
178.27%116.92K
-117.87%-5.13K
End cash Position
1,130.31%37.14M
1,130.31%37.14M
833.39%41.78M
149.91%21.26M
-68.70%3.43M
-67.29%3.02M
-67.29%3.02M
-56.41%4.48M
-25.36%8.51M
-2.17%10.97M
Free cash flow
-81.75%-30.27M
-328.86%-12.68M
-27.96%-6.53M
-55.78%-6.36M
-4.21%-4.71M
-8.15%-16.65M
32.54%-2.96M
-64.97%-5.1M
-5.13%-4.08M
-11.70%-4.52M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
Unqualified Opinion with Explanatory Notes
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--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -51.17%-23.29M-197.47%-8.69M-34.57%-5.5M-11.76%-4.49M-5.24%-4.6M-25.00%-15.41M-6.73%-2.92M-60.66%-4.09M-18.61%-4.02M-19.78%-4.38M
Net income from continuing operations -179.74%-56.7M-453.08%-30.26M-148.04%-12.74M-81.91%-7.98M-8.40%-5.72M3.66%-20.27M12.88%-5.47M-27.10%-5.14M16.96%-4.39M2.94%-5.27M
Operating gains losses 82,843.03%20.62M--12.44M--6.18M--1.38M--622.41K-98.30%24.87K----------------
Depreciation and amortization 5.10%2.02M-6.05%475.28K3.44%525.96K10.16%509.76K14.42%509.2K48.64%1.92M48.35%505.89K51.13%508.48K47.52%462.74K47.36%445.04K
Other non cash items 12,814.47%6.92M50,579.29%6.87M-2.57%17.85K85.78%20.83K87.57%19.75K-40.27%53.61K-73.77%13.55K56.50%18.32K-11.19%11.21K-23.66%10.53K
Change In working capital -21.65%-1.63M-60.30%379.29K-38.26%-1.01M98.31%-13.61K-29.93%-987.57K-194.11%-1.34M-17.36%955.47K-290.44%-731.17K-438.25%-806.43K-2,213.27%-760.06K
-Change in receivables -111.70%-7.26K---7.26K--0--0--0201.47%62K--0--10.08K--20.33K--31.59K
-Change in prepaid assets -1,407.44%-1.66M-199.95%-316.76K-312.82%-868.03K-400.46%-316.01K-87.08%-158.82K135.64%126.94K165.25%316.92K-780.64%-210.27K236.00%105.17K-148.25%-84.89K
-Change in payables and accrued expense 102.71%34.07K-5.91%703.3K73.09%-142.88K139.44%302.4K-17.26%-828.75K-178.72%-1.26M-59.50%747.48K-273.83%-530.97K-84.98%-766.67K-404.86%-706.76K
-Change in other working capital ---------------------211.08%-274.19K23.67%-108.93K--0--------
Cash from discontinued investing activities
Operating cash flow -51.17%-23.29M-197.47%-8.69M-34.57%-5.5M-11.76%-4.49M-5.24%-4.6M-25.00%-15.41M-6.73%-2.92M-60.66%-4.09M-18.61%-4.02M-19.78%-4.38M
Investing cash flow
Cash flow from continuing investing activities -1,797.38%-23.66M-58,232.97%-20.67M-1.21%-1.02M-3,023.82%-1.86M27.65%-102.42K-137.87%-1.25M97.85%-35.44K-155.52%-1.01M-101.69%-59.65K65.25%-141.55K
Net PPE purchase and sale -480.65%-6.78M-10,967.61%-3.92M6.27%-947.08K-3,023.82%-1.86M21.42%-49.06K61.22%-1.17M97.85%-35.44K-105.06%-1.01M87.86%-59.65K83.65%-62.44K
Net intangibles purchase and sale -149.01%-197K-6,808,600.00%-68.09K---75.56K--032.56%-53.35K-26.63%-79.11K---1--0--0-769.34%-79.11K
Net business purchase and sale --97.83K------------------0----------------
Net investment purchase and sale ---16.78M------------------0----------------
Cash from discontinued investing activities
Investing cash flow -1,797.38%-23.66M-58,232.97%-20.67M-1.21%-1.02M-3,023.82%-1.86M27.65%-102.42K-137.87%-1.25M97.85%-35.44K-155.52%-1.01M-101.69%-59.65K65.25%-141.55K
Financing cash flow
Cash flow from continuing financing activities 703.28%81.9M1,839.94%25.74M2,324.44%26.77M1,513.32%24.21M-17.42%5.17M196.79%10.2M-54.12%1.33M2,611.30%1.1M657.10%1.5M1,956.68%6.26M
Net issuance payments of debt -10.21%-277.85K41.47%-46.29K-1.45%-71.73K-27.18%-70.53K-90.54%-89.3K-23.27%-252.1K-76.67%-79.08K-50.73%-70.7K-3.34%-55.46K20.82%-46.87K
Net common stock issuance 686.56%82.18M1,734.11%25.78M2,184.68%26.85M1,460.37%24.29M-16.62%5.26M187.04%10.45M-52.13%1.41M1,240.83%1.18M517.83%1.56M1,634.89%6.31M
Cash from discontinued financing activities
Financing cash flow 703.28%81.9M1,839.94%25.74M2,324.44%26.77M1,513.32%24.21M-17.42%5.17M196.79%10.2M-54.12%1.33M2,611.30%1.1M657.10%1.5M1,956.68%6.26M
Net cash flow
Beginning cash position -67.29%3.02M833.39%41.78M149.91%21.26M-68.70%3.43M-67.29%3.02M-38.23%9.23M-56.41%4.48M-25.36%8.51M-2.17%10.97M-38.23%9.23M
Current changes in cash 641.03%34.95M-122.47%-3.63M606.84%20.25M792.10%17.86M-73.37%465.05K-15.38%-6.46M-9.32%-1.63M-483.76%-4M-873.66%-2.58M146.49%1.75M
Effect of exchange rate changes -430.62%-820.75K-687.23%-1.01M852.51%271.35K-124.60%-28.76K-879.77%-50.26K317.73%248.25K-61.80%172.52K91.90%-36.06K178.27%116.92K-117.87%-5.13K
End cash Position 1,130.31%37.14M1,130.31%37.14M833.39%41.78M149.91%21.26M-68.70%3.43M-67.29%3.02M-67.29%3.02M-56.41%4.48M-25.36%8.51M-2.17%10.97M
Free cash flow -81.75%-30.27M-328.86%-12.68M-27.96%-6.53M-55.78%-6.36M-4.21%-4.71M-8.15%-16.65M32.54%-2.96M-64.97%-5.1M-5.13%-4.08M-11.70%-4.52M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--------

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