Power REIT (PW-PA)

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CIK 0001532619 · NYSE · Real Estate Investment Trusts

  • Sector Finance & Real Estate
  • Incorporated MD
  • Fiscal year ends Dec 31

In fiscal 2025, Power REIT reported revenue of $2.01M, down 34.0% from the prior year. The company ran a net loss, with a net margin of -109.1%. It held $26.92M in total assets against $21.79M in total liabilities.

Key ratios (FY2025)

2038.0%
Operating margin
-109.1%
Net margin
-42.7%
Return on equity
-34.0%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$2.01M$3.05M$2.22M$8.52M$8.46M$4.27M$2.18M$1.97M$1.98M
Operating Income$41.00M$30.80M$24.50M$24.80M$22.70M
Net Income-$2.20M-$24.71M-$14.37M-$14.25M$5.14M$2.17M$946.9K$838.8K$718.5K$247.2K
EPS (Diluted)$-0.83$-7.48$-4.43$-4.41$1.38$0.96$0.36
Total Assets$26.92M$46.10M$70.21M$86.20M$85.32M$40.54M$37.71M$21.90M$21.46M$21.21M
Total Liabilities$21.79M$39.35M$39.44M$41.95M$27.01M$25.33M$24.64M$9.70M$10.05M$10.44M
Shareholders' Equity$5.14M$6.75M$30.77M$44.25M$49.82M$11.72M$9.57M$8.70M$7.92M$7.28M
Cash & Equivalents$2.24M$2.19M$2.20M$2.85M$3.17M$5.60M$15.84M$1.77M$1.15M$717.1K
Operating Cash Flow-$68.3K-$1.39M-$2.62M$6.84M$8.00M$2.96M$1.37M$1.27M$1.05M$884.2K
Capital Expenditures$15.0K
Shares Outstanding3.66M3.39M3.39M3.39M3.37M1.92M1.87M1.87M1.83M1.78M