PLUG POWER INCPLUG

時価総額
$14.7億
PER
2011年
12月31日
2013年
12月31日
2014年
12月31日
2015年
12月31日
2016年
12月31日
2017年
12月31日
2018年
12月31日
2019年
12月31日
2020年
12月31日
2021年
12月31日
2022年
12月31日
2023年
12月31日
Sales of fuel cell systems, related infrastructure and equipment------107150-94393559-
Sales of equipment, related infrastructure and other-----------711
Services performed on fuel cell systems and related infrastructure------2225-10273539
Power purchase agreements------232627354764
Power purchase agreements------232627354764
Fuel delivered to customers and related equipment----------5766
Fuel delivered to customers and related equipment----------5766
Other-------001311
Other-------001311
Net revenue2826,601,4286410386133175230-93502701891
Sales of fuel cell systems, related infrastructure and equipment------8497171307468-
Sales of equipment, related infrastructure and other-----------766
Services performed on fuel cell systems and related infrastructure------242943645975
Provision for loss contracts related to service--------35-27-
Power purchase agreements------364065102145219
Power purchase agreements------364065102145219
Fuel delivered to customers and related equipment----------194246
Fuel delivered to customers and related equipment----------194246
Other-------00137
Other-------00137
Cost of revenue31-----172202376---
Total cost of revenue3120,414,08435113821311722023766748961,399
Provision for Loan, Lease, and Other Loss-----------86
Total cost of revenue3120,414,08435113821311722023766748961,399
Gross loss-3,043,6606,187,34429-104-28328-469-171-194-508
Research and development63,121,007615212934342865100114
Selling, general and administrative1512,325,46622343445384479180364422
Impairment of long-lived assets---------105-
Impairment-----------20
Change in fair value of contingent consideration--------1111630
Impairment of goodwill-----------250
Total operating expenses2835,151,915674955747278115266485836
Change in fair value of contingent consideration--------1111630
Total operating expenses2835,151,915674955747278115266485836
Operating loss-31,127,101-28,964,571-37,931,536-59-52-102-69-50-584-437-680-1,344
Interest income---------43756
Interest expense---------433945
Other expense, net-----------2-0
Realized loss on investments, net----------0-1-13
Change in fair value of equity securities-----------1811
Loss on extinguishment of debt--------18--1-
Loss on equity method investments----------6-20-42
Other gain---------01-
Loss before income taxes---88,812,503-56-58-127-87-85-627-476-723-1,376
Loss before income taxes---88,812,503-56-58-127-87-85-627-476-723-1,376
Income tax benefit/(expense)-410,259-324,680--0--9--31-161-7
Income tax expense/(benefit)-410,259-324,680--0--9--31-161-7
Net loss-27,453,954-62,790,800-88,487,823-56-57-127-78-85-596-460-724-1,369
Net loss-27,453,954-62,790,800-88,487,823-56-57-127-78-85-596-460-724-1,369
Earnings Per Share, Basic----------0.82-1.25-2.3
Earnings Per Share, Diluted----------0.82-1.25-2.3
Preferred stock dividends declared--155,877003000---
Net loss attributable to common stockholders---88,643,700-56-58----596-460-724-
Earnings Per Share, Basic----------0.82-1.25-2.3
Earnings Per Share, Diluted----------0.82-1.25-2.3