Wolfspeed, Inc. (WOLF)
NYSE: WOLF · Real-Time Price · USD
19.72
-0.49 (-2.42%)
At close: Feb 27, 2026, 4:00 PM EST
19.17
-0.55 (-2.79%)
Pre-market: Mar 2, 2026, 6:06 AM EST

Wolfspeed Income Statement

Millions USD. Fiscal year is Jul - Jun.
Fiscal Quarter
Q2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022Q3 2022Q2 2022Q1 2022Q4 2021Q3 2021
Period Ending
Dec '25 Sep '25 Jun '25 Mar '25 Dec '24 Sep '24 Jun '24 Mar '24 Dec '23 Sep '23 Jun '23 Mar '23 Dec '22 Sep '22 Jun '22 Mar '22 Dec '21 Sep '21 Jun '21 Mar '21
168.5196.8197185.4180.5194.7200.7200.7208.4197.4202.7192.6173.8189.4-188173.1156.6145.8137.3
Revenue Growth (YoY)
-6.65%1.08%-1.84%-7.62%-13.39%-1.37%-0.99%4.21%19.91%4.22%-2.45%0.40%20.95%-36.93%36.30%35.58%34.50%20.54%
Cost of Revenue
246.8255.8125.6207.9217.7196.6198.3178.2180.6172.7144132.8117.1121.7-124116.1107.210293.3
Gross Profit
-78.3-5971.4-22.5-37.2-1.92.422.527.824.758.759.856.767.7-645749.443.844
Selling, General & Admin
29.437.936.141.151.162.261.655.864.964.170.355.150.450-51.5484946.644.2
Research & Development
24.931.737.642.244.450.96052.545.344.132.142.439.440.3-48.150.249.945.146
Amortization of Goodwill & Intangibles
---0.3---0.30.30.30.40.20.60.5-3.43.63.63.63.7
Other Operating Expenses
0.52.930.6-2.12.319.4-------------
Operating Expenses
54.872.5103.483.697.6115.4140.1108.6110.5108.5102.897.790.490.8-103101.8102.595.393.9
Operating Income
-133.1-131.5-32-106.1-134.8-117.3-137.7-86.1-82.7-83.8-44.1-37.9-33.7-23.1--39-44.8-53.1-51.5-49.9
Interest Expense
-58-0.7-84.8-85.4-80.5-64.5-60.8-59.5-64.3-61.7-15.9-14.1-7.8-4.8--5.1-5.3-6.7-9.2-11.2
Interest & Investment Income
9.68.9919.41722.226.130.138.240.620.122.211.64.3-2.82.42.63.31.9
Earnings From Equity Investments
--10.9------------------
Currency Exchange Gain (Loss)
-------------------2.50.1
Other Non Operating Income (Expenses)
57.410.621.5-6.8-1.5-15.412.4-5.6-0.5-103.6-1.3-1.10.5--1-0.2-0.20.50.1
EBT Excluding Unusual Items
-124.1-123.6-86.3-178.9-199.8-175-160-121.1-109.3-114.9-36.3-31.1-31-23.1--42.3-47.9-57.4-59.4-59
Merger & Restructuring Charges
-9.6-21.8-169.8-188.7-179.5-106.8-20.5-14.4-10.5-8.4-40.9-45.2-37.8-38.4--22.7-13.1-11.2-2.9-6.2
Impairment of Goodwill
---359.2-----------------
Gain (Loss) on Sale of Investments
--31.8-24.915.7-11.21.95.4-------0.10.20.51
Gain (Loss) on Sale of Assets
2.45.722.3124.10.8-1-0.6-0.3-0.1-1.9---0.1---0.50.2-0.1-0.1
Asset Writedown
---6.3----1.2---1.8-1.7-0.1--0.6---74.6-
Legal Settlements
----17----7.7------------
Other Unusual Items
1,049-503.8-111.9--9.5--4.9-6.9-11.2--13.7-4.8-3.147.6--1.7-27.3-1.6-3.6-5.2
Pretax Income
917.9-643.5-679.4-285.4-372.3-281.8-174.4-148.8-125.9-123.4-91-82.8-72-14--66.1-88.7-69.8-140.1-69.5
Income Tax Expense
4.70.1-10.10.1-0.10.40.50.10.30.20.20.30.10.1-0.480.35.1-3
Earnings From Continuing Operations
913.2-643.6-669.3-285.5-372.2-282.2-174.9-148.9-126.2-123.6-91.2-83.1-72.1-14.1--66.5-96.7-70.1-145.2-66.5
Earnings From Discontinued Operations
---------18.5-272.1-22.1-16.4-18.8-12.1-----2.4-42.4
Net Income to Company
913.2-643.6-669.3-285.5-372.2-282.2-174.9-148.9-144.7-395.7-113.3-99.5-90.9-26.2--66.5-96.7-70.1-147.6-108.9
Net Income
913.2-643.6-669.3-285.5-372.2-282.2-174.9-148.9-144.7-395.7-113.3-99.5-90.9-26.2--66.5-96.7-70.1-147.6-108.9
Net Income to Common
913.2-643.6-669.3-285.5-372.2-282.2-174.9-148.9-144.7-395.7-113.3-99.5-90.9-26.2--66.5-96.7-70.1-147.6-108.9
Shares Outstanding (Basic)
271111111111111-11111
Shares Outstanding (Diluted)
281111111111111-11111
Shares Change (YoY)
2484.28%23.24%23.28%22.31%2.72%1.30%1.26%1.12%1.01%0.86%-0.68%6.08%7.00%-9.48%5.90%5.66%6.48%4.42%
EPS (Basic)
33.22-493.39-514.91-222.12-345.41-266.61-165.88-141.68-137.94-378.70-108.80-95.74-87.53-25.29--64.42-98.77-72.41-152.85-115.50
EPS (Diluted)
32.79-493.39-515.25-222.12-345.41-266.61-165.88-141.68-137.94-378.95-109.08-95.74-87.53-25.29--64.42-98.77-72.41-153.09-115.50
Free Cash Flow
-100.7-98.3-454.4-362.8-596.9-569-883.8-713.7-812.7-589.4-476.6-301.8-193.4-120.4--162.3-174.8-321.8-226.5-186.1
Free Cash Flow Per Share
-3.62-75.36-349.58-282.26-553.94-537.57-838.20-679.11-774.72-564.09-457.69-290.38-186.23-116.22--157.22-178.55-332.38-234.56-197.38
Gross Margin
-46.47%-29.98%36.24%-12.14%-20.61%-0.98%1.20%11.21%13.34%12.51%28.96%31.05%32.62%35.74%-34.04%32.93%31.55%30.04%32.05%
Operating Margin
-78.99%-66.82%-16.24%-57.23%-74.68%-60.25%-68.61%-42.90%-39.68%-42.45%-21.76%-19.68%-19.39%-12.20%--20.75%-25.88%-33.91%-35.32%-36.34%
Profit Margin
541.96%-327.03%-339.75%-153.99%-206.21%-144.94%-87.14%-74.19%-69.43%-200.46%-55.89%-51.66%-52.30%-13.83%--35.37%-55.86%-44.76%-101.24%-79.31%
Free Cash Flow Margin
-59.76%-49.95%-230.66%-195.69%-330.69%-292.24%-440.36%-355.61%-389.97%-298.58%-235.13%-156.70%-111.28%-63.57%--86.33%-100.98%-205.49%-155.35%-135.54%
EBITDA
-106.1-67.821.8-55-85.5-65-92.6-39.4-34.7-43.7-3.4-1.60.29.9--9.8-13.3-19.9-20.6-18.9
EBITDA Margin
-62.97%-34.45%11.07%-29.67%-47.37%-33.38%-46.14%-19.63%-16.65%-22.14%-1.68%-0.83%0.11%5.23%--5.21%-7.68%-12.71%-14.13%-13.76%
D&A For EBITDA
2763.753.851.149.352.345.146.74840.140.736.333.93330.529.231.533.230.931
EBIT
-133.1-131.5-32-106.1-134.8-117.3-137.7-86.1-82.7-83.8-44.1-37.9-33.7-23.1--39-44.8-53.1-51.5-49.9
EBIT Margin
-78.99%-66.82%-16.24%-57.23%-74.68%-60.25%-68.61%-42.90%-39.68%-42.45%-21.76%-19.68%-19.39%-12.20%--20.75%-25.88%-33.91%-35.32%-36.34%
Effective Tax Rate
0.51%-------------------
Updated Dec 28, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.
SEC Filings: 10-K · 10-Q