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Soitec SA SOI.PA

FR · Euronext Paris · XPAR · stock · Technology · website

Soitec SA financials (annual)

Revenue
€1.09B €977.9M €890.9M €592.3M 2023202420252026
Net income
€233.0M €178.3M €91.8M -€220.0M 2023202420252026
Free cash flow
€34.9M -€59.9M €2.0M €74.3M 2023202420252026

Bars are annual figures from 2023 to 2026; red bars are negative (a loss or cash outflow).

MetricFY2026FY2025FY2024FY2023
Revenue€592.3M€890.9M€977.9M€1.1B
Gross profit€96.4M€285.7M€332.1M€402.4M
R&D expense€45.1M€84.8M€61.0M€64.2M
SG&A expense€55.6M€61.7M€62.7M€71.0M
Operating income-€19.8M€133.0M€205.3M€267.8M
Interest expense€22.6M€21.0M€19.6M€13.5M
Income tax€60.8M€19.3M€22.7M€26.2M
Net income-€220.0M€91.8M€178.3M€233.0M
EPS (diluted)€-6.17€2.56€4.88€6.41
Operating cash flow€202.2M€201.5M€165.3M€262.4M
Free cash flow€74.3M€2.0M-€59.9M€34.9M
Cash & equivalents€562.0M€687.7M€708.2M€787.9M
Inventory€220.3M€268.3M€236.5M€175.3M
Goodwill€17.5M€17.5M€24.9M€24.9M
Total assets€2.3B€2.8B€2.7B€2.4B
Total debt€611.8M€780.1M€742.7M€638.9M
Total liabilities€954.5M€1.2B€1.2B€1.1B
Shareholders' equity€1.3B€1.6B€1.5B€1.3B

Growth · year-over-year · Revenue CAGR -18.4%

MetricFY2026FY2025FY2024FY2023
Revenue growth-33.5%-8.9%-10.2%
Net income growth-339.6%-48.5%-23.5%
EPS growth-341.0%-47.5%-23.9%
Free cash flow growth+3530.9%-271.8%

Each column is the change versus the prior fiscal year. Growth off a negative or zero base is shown as “—”. CAGR is the compound annual revenue growth across the years shown.

Computed from company filings · FR · as of 2026-03-31. Figures in EUR. Facts plus Stocktoria's own computed scores — not investment advice.