POET Technologies Inc. Common Shares (POET) Financials
Key financial figures for POET Technologies Inc. Common Shares (Q2 2026).
POET Technologies Inc. reported revenue of $569.9 thousand for Q2 FY2026, up 112.3% from the same period a year earlier. The company posted a net loss of $11.3 million, or -$0.07 per share. Operating margin came to -3542.65%, against -3261.86% a year earlier. Free cash flow for the period was -$15.2 million. Across the last 5 reported quarters, quarterly revenue has risen from $268.5 thousand in Q2 FY2025 to $569.9 thousand in Q2 FY2026. The figures above are as filed, and the full income statement, balance sheet and cash flow history for POET Technologies Inc. are on the SentiSense financials page.
- Revenue
- $570K
- Net Income
- -$11M
- EPS
- $-0.07
- Total Assets
- $882M
- Operating Cash Flow
- -$12M
Recent quarters
| Period | Revenue | Net Income | EPS | Operating Margin | Free Cash Flow |
|---|---|---|---|---|---|
| Q2 FY2026 | $570K | -$11M | -$0.07 | -3542.65% | -$15M |
| Q1 FY2026 | $503K | -$12M | -$0.08 | -3549.97% | -$11M |
| Q4 FY2025 | $341K | -$43M | -$0.46 | -2816.81% | |
| Q3 FY2025 | $298K | -$9M | -$0.10 | -3201.6% | -$3M |
| Q2 FY2025 | $268K | -$17M | -$0.21 | -3261.86% | -$10M |
Recent fiscal years
| Period | Revenue | Net Income | EPS | Operating Margin | Free Cash Flow |
|---|---|---|---|---|---|
| FY2025 | $1M | -$63M | -$0.68 | -3150.5% | -$33M |
| FY2024 | $41K | -$57M | -$0.94 | -72572.56% | -$30M |
| FY2023 | $466K | -$20M | -$0.51 | -4381.35% | -$17M |
Frequently asked questions
What was POET Technologies Inc.'s revenue last quarter?
POET Technologies Inc. reported revenue of $569.9 thousand for Q2 FY2026, up 112.3% from the same period a year earlier.
Is POET Technologies Inc. profitable?
Not in its most recent reported period. POET Technologies Inc. reported a net loss of $11.3 million for Q2 FY2026, a net margin of -1989.4% on revenue.
How has POET Technologies Inc.'s margin trended?
Operating margin was -3542.65% in Q2 FY2026, compared with -3261.86% in the same period a year earlier. The quarter by quarter series is on the SentiSense financials page.
How much free cash flow did POET Technologies Inc. generate?
POET Technologies Inc. generated free cash flow of -$15.2 million in Q2 FY2026, after capital expenditure.
Full income statement, balance sheet and cash flow for POET Technologies Inc. Common Shares on SentiSense, with up to forty quarters and twenty fiscal years of history.