SMX (Security Matters) Plc Dossier
Financial Snapshot
Revenue, profitability, returns, debt, and capital allocation
Revenue $13KTTM through 31 Dec 2025
Net Income -$174.6MTTM through 31 Dec 2025
Free Cash Flow -$17MTTM through 31 Dec 2025
Margins
| Current | |
|---|---|
| Operating Margin | -1,125,300.0% |
| Net Margin | -1,343,000.0% |
Balance Sheet Health
Debt / Equity0.00x
Current Ratio0.59x
Net Debt-$12.2Mnet cash position
Cash & Equivalents$12.2M
Quality Metrics
Piotroski F-Score2 / 9
FCF Margin-130,938.5%
Multi-Year Trend
RevenueFY2020: $13K
Diluted EPSFY2025: $-844.04
Dividend
No dividend
Capital Allocation
Capex Intensity161.5%
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