POET Technologies Free Cash Flow 2016-2023 | POET

POET Technologies free cash flow from 2016 to 2023. Free cash flow can be defined as a measure of financial performance calculated as operating cash flow minus capital expenditures.
POET Technologies Annual Free Cash Flow
2023 -16.58
2022 -15.34
2021 -12.01
2020 -10.96
2019 -9.84
2018 -9.29
2017 -10.13
2016 -11.13
2015 -6.94
POET Technologies Quarterly Free Cash Flow
2023-12-31 -16.58
2023-09-30 -13.62
2023-06-30 -8.52
2023-03-31 -4.44
2022-12-31 -15.34
2022-09-30 -10.96
2022-06-30 -7.92
2022-03-31 -4.04
2021-12-31 -12.01
2021-09-30 -8.72
2021-06-30 -5.81
2021-03-31 -2.60
2020-12-31 -10.96
2020-09-30 -8.03
2020-06-30 -4.50
2020-03-31 -2.20
2019-12-31 -9.84
2019-09-30 -5.76
2019-06-30 -4.37
2019-03-31 -1.47
2018-12-31 -9.29
2018-09-30 -5.95
2018-06-30 -3.27
2018-03-31 -1.48
2017-12-31 -10.13
2017-09-30 -7.65
2017-06-30 -5.42
2017-03-31 -3.36
2016-12-31 -11.13
2016-09-30 -8.05
2016-06-30 -4.78
2016-03-31 -2.30
2015-12-31
Sector Industry Market Cap Revenue
Computer and Technology Semiconductors $0.104B $0.000B
POET Technologies Inc. and its subsidiaries are developers of opto-electronic and photonic fabrication processes, devices and products. It offers photonic sensing and optical light source products. The company operates primarily in the United States, Canada and Singapore. POET Technologies Inc. is headquartered in Toronto, Canada.
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