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BETA Technologies, Inc.

CIK: 1784570 SIC: 3721
$35.62M
Revenue
$-745.87M
Net Income
72.20%
Gross Margin
-1046.35%
Op. Margin
$-313.25M
Free Cash Flow
Financial Statements Quarterly (10-Q)
Showing 2 of 1 quarterly reports available
Breakdown Q4 2025
(Dec 31, 2025)
Q3 2025
(Sep 30, 2025)
+ Total Revenue $11.13M $8.92M
Revenue Growth % (YoY) nan% nan%
Cost of Revenue $4.23M $2.74M
+ Gross Profit $6.90M $6.18M
Gross Margin % 62.0% 69.3%
Operating Expenses $141.66M $86.75M
Research & Development $89.41M $56.37M
+ Operating Income $-134.76M $-80.57M
Operating Margin % -1210.4% -903.5%
Interest Expense $2.93M $7.95M
Interest Income $12.80M $2.63M
Other Income/Expense $-15.03M $-356.39M
Income Before Tax $-149.78M $-436.96M
Income Tax Expense $176.00K $253.00K
+ Net Income $-149.96M $-437.21M
Net Margin % -1347.0% -4902.6%
Basic EPS nan -9.83
Diluted EPS nan -9.83
Basic Shares Outstanding 29.2M 45.9M
Diluted Shares Outstanding 29.2M 45.9M
Breakdown Q4 2025
(Dec 31, 2025)
Q3 2025
(Sep 30, 2025)
Cash & Cash Equivalents $1.71B $687.63M
Accounts Receivable $5.75M $7.68M
Other Current Assets $23.49M $17.20M
Total Current Assets $1.74B $712.51M
Property Plant & Equipment $348.54M $331.71M
Other Non-current Assets $1.84M -
Total Assets $2.11B $1.07B
Accounts Payable $24.50M $13.17M
Accrued Liabilities $35.11M -
Deferred Revenue $3.70M $3.62M
Other Current Liabilities $5.82M -
Total Current Liabilities $76.39M $68.31M
Long-term Debt $185.51M $179.10M
Other Non-current Liabilities $2.85M $2.61M
Total Liabilities $288.43M $279.45M
Retained Earnings $-1.91B $-1.59B
Total Stockholders Equity $1.82B $789.89M
Total Liabilities & Equity $2.11B $1.07B
Breakdown Q4 2025
(Dec 31, 2025)
Q3 2025
(Sep 30, 2025)
Net Income $-149.96M $-437.21M
Depreciation & Amortization $5.71M $5.79M
Stock-based Compensation $17.94M $16.82M
Change in Receivables $-1.94M $5.53M
Operating Cash Flow $-84.41M $-183.39M
Capital Expenditure $19.78M $25.66M
Investing Cash Flow $-19.71M $-24.37M
Debt Repayment $1.65M $2.10M
Stock Issued - $2.10M
Stock Repurchased - -
Financing Cash Flow $1.13B $598.38M
Net Change in Cash $1.02B $390.61M
SEC Filing Format - Data shown as it appears in the Q3 2025 (10-Q) filing Period ended: Sep 30, 2025
Condensed Consolidated Statements of Operations
Description Sep 30, 2025 Sep 30, 2025
Current Prior Year Current YTD Prior Year YTD
Total Revenue $8.92M $3.07M $24.48M $10.65M
Cost of Revenue $2.74M $1.19M $5.67M $3.30M
Gross Profit $6.18M $1.88M $18.81M $7.36M
Operating Expenses $86.75M $74.88M $256.73M $203.55M
Research & Development $56.37M $54.04M $170.48M $146.15M
Operating Income $-80.57M $-73.00M $-237.91M $-196.19M
Interest Expense $3.46M $2.91M $7.95M $6.84M
Interest Income $2.63M $1.03M $7.35M $5.74M
Other Income/Expense $-356.39M $-1.87M $-357.42M $-2.76M
Income Before Tax $-436.96M $-74.87M $-595.33M $-198.96M
Income Tax Expense $253.00K $191.00K $580.00K $246.00K
Net Income $-437.21M $-75.06M $-595.91M $-199.20M
Basic EPS -9.83 -1.81 -13.86 -4.85
Diluted EPS -9.83 -1.81 -13.86 -4.85
Basic Shares Outstanding $45.95M $45.27M $45.81M $45.17M
Diluted Shares Outstanding $45.95M $45.27M $45.81M $45.17M
Condensed Consolidated Balance Sheets
Description Sep 30, 2025 Dec 31, 2024
Cash & Cash Equivalents $687.63M $301.40M
Accounts Receivable $7.68M $2.15M
Other Current Assets $17.20M $23.79M
Total Current Assets $712.51M $327.34M
Property Plant & Equipment $331.71M $319.59M
Total Assets $1.07B $666.37M
Accounts Payable $13.17M $16.23M
Deferred Revenue $3.62M $6.40M
Total Current Liabilities $68.31M $56.55M
Long-term Debt $179.10M $149.23M
Other Non-current Liabilities $2.61M $1.60M
Total Liabilities $279.45M $230.43M
Retained Earnings $-1.59B $-969.28M
Total Stockholders Equity $789.89M $435.94M
Total Liabilities & Equity $1.07B $666.37M
Condensed Consolidated Statements of Cash Flows
Description Sep 30, 2025 Sep 30, 2025
Current Prior Year Current YTD Prior Year YTD
Net Income $-437.21M $-75.06M $-595.91M $-199.20M
Depreciation & Amortization $5.79M $3.89M $16.31M $11.31M
Stock-based Compensation - - $16.82M $9.17M
Change in Receivables - - $5.53M $2.63M
Operating Cash Flow - - $-183.39M $-165.26M
Capital Expenditure - - $25.66M $51.68M
Investing Cash Flow - - $-24.37M $-51.30M
Debt Repayment - - $2.10M $685.00K
Stock Issued - - $2.10M $1.23M
Stock Repurchased - - - $530.00K
Financing Cash Flow - - $598.38M $15.33M
Net Change in Cash - - $390.61M $-201.26M

All values are in USD (United States Dollars). Data is sourced from SEC EDGAR 10-Q filings.

Quarterly data represents single quarter results (Q1-Q4). Some items may show year-to-date values if quarterly breakdown is unavailable.

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