$POET
POET TECHNOLOGIES INC.
CIK:0001437424|SEC Filings
Consolidated Statements of Financial Position - USD ($) |
Dec. 31, 2025 |
Dec. 31, 2024 |
Dec. 31, 2023 |
|---|---|---|---|
| Current | |||
| Cash and cash equivalents | $ 39,959,201 | $ 37,143,759 | $ 3,019,069 |
| Short-term investments (Note 2) | 273,439,102 | 16,672,811 | |
| Accounts receivable (Notes 3) | 7,257 | ||
| Prepaids and other current assets (Note 4) | 1,063,528 | 1,658,207 | 150,676 |
| Total current assets | 314,461,831 | 55,482,034 | 3,169,745 |
| Long term deposit (Note 15) | 208,125 | 107,890 | |
| Property and equipment (Note 6) | 12,233,828 | 12,757,682 | 4,623,228 |
| Patents and licenses (Note 7) | 556,375 | 606,708 | 502,055 |
| Right of use asset (Note 8) | 1,112,279 | 698,135 | 482,389 |
| Total assets | 328,572,438 | 69,652,449 | 8,777,417 |
| Current | |||
| Accounts payable and accrued liabilities (Note 9) | 1,639,543 | 5,970,537 | 2,301,457 |
| Convertible debt (Note 5) | 5,800,000 | 6,500,000 | |
| Lease liability (Note 8) | 236,304 | 115,793 | 204,939 |
| Derivative warrant liability (Note 10 and 11(b)) | 135,631,585 | 35,750,607 | 1,002,264 |
| Contract liabilities (Note 3) | 445,840 | ||
| Covid-19 government support loans (Note 23) | 30,200 | ||
| Total current liabilities | 143,753,272 | 48,336,937 | 3,538,860 |
| Non-current lease liability (Note 8) | 1,029,894 | 626,625 | 307,141 |
| Total liabilities | 144,783,166 | 48,963,562 | 3,846,001 |
| Shareholders’ Equity | |||
| Share capital (Note 11(b)) | 443,076,163 | 223,742,335 | 165,705,423 |
| Warrants and compensation options (Note 12) | 30,599,602 | 11,157,738 | 670,115 |
| Contributed surplus (Note 13) | 9,329,724 | 58,724,750 | 55,447,961 |
| Accumulated other comprehensive loss | (2,121,883) | (1,949,088) | (2,601,058) |
| Deficit | (297,094,334) | (270,986,848) | (214,291,025) |
| Total shareholders’ equity | 183,789,272 | 20,688,887 | 4,931,416 |
| Total shareholders’ equity and liabilities | $ 328,572,438 | $ 69,652,449 | $ 8,777,417 |