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Market Cap: $1.05B

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POET Technologies Inc.

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© 2026 Cashu Technologies Pty Ltd. All rights reserved. Cashu Finance is a trademark of Cashu Technologies Pty Ltd.

The content published on Cashu Finance is for informational purposes only and should not be construed as investment advice, a recommendation, or an offer to buy or sell any securities. All opinions expressed are those of the authors and do not reflect the official position of Cashu Technologies Pty Ltd or its affiliates. Past performance is not indicative of future results. Investing involves risk, including the possible loss of principal. Always conduct your own research and consult with a qualified financial advisor before making any investment decisions.

Cashu Finance and its contributors may hold positions in securities mentioned in published content. Any such holdings will be disclosed at the time of publication. Market data is provided on an "as-is" basis and may be delayed. Cashu Technologies Pty Ltd does not guarantee the accuracy, completeness, or timeliness of any information presented.

Financials

Profitability
Gross Profit Margin-67.98%
EBITDA Margin-47.09%
EBIT Margin-49.30%
Pre-tax Margin-44.21%
Net Profit Margin-44.21%
Earnings Yield-5.87%
Valuation Multiples
Price / Book1.52
Price / Sales612.69
Price / Earnings-11.14
PEG2.30
Forward PEG0.37
EV / Sales364.73
EV / EBITDA-7.74
EV / Operating Cash Flow-17.68
EV / Free Cash Flow-15.45
Price / Free Cash Flow-25.96
Price / Operating Cash Flow-36.52
Cash Flow & Capital
Free Cash Flow / Share-$0.25
Operating Cash Flow / Share-$0.22
Free Cash Flow Yield-3.85%
Capex / Revenue2.94%
Capex / Operating Cash Flow-14.27%
Capex / Depreciation1.33
Stock Compensation / Revenue1.30%
Dividend Payout Ratio0.00%
Dividend Yield0.00%
Liquidity & Leverage
Current Ratio24.46
Quick Ratio24.46
Cash Ratio13.23
Debt / Assets0.01
Debt / Capital0.01
Debt / Equity0.01
Long-Term Debt / Capital0.00
Debt / Market Cap0.59%
Net Debt / EBITDA5.27
Solvency Ratio-2.10
Financial Leverage1.04
Efficiency & Working Capital
Asset Turnover0.00
Fixed Asset Turnover0.10
Inventory Turnover0.00
Receivables Turnover4.39
Payables Turnover1.20
Days Sales Outstanding83.05
Days Inventory Outstanding0
Days Payables Outstanding303.61
Operating Cycle83.05
Cash Conversion Cycle-220.56
Working Capital Turnover0.00
Returns & Quality
Return on Equity-19.59%
Return on Assets-8.59%
Return on Invested Capital-6.69%
ROCE-6.74%
Return on Tangible Assets-8.59%
Operating Return on Assets-8.52%
Income Quality0.47
Tax Burden1.00
Interest Burden0.90
Balance Sheet & Intrinsic Metrics
Enterprise Value$624.77M
Invested Capital$785M
Working Capital$766.79M
Tangible Asset Value$846.93M
Net Current Asset Value$765.19M
Graham Net-Net$4.7
Book Value / Share$5.22
Tangible Book Value / Share$5.22
Cash / Share$4.9
Financial Health Scores
Piotroski Score2
Altman Z-Score17.77
Revenue$1.71M
EBIT$-84.45M
Market Cap$1B
Working Capital$766.79M
Retained Earnings$-320.78M
Total Assets$881.81M
Total Liabilities$34.3M