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WATT

Energous Corporation

Price Chart
Latest Quote

$9.15

Current Price
Previous Close $7.90
Open $8.88
Day High $9.62
Day Low $8.59
Volume 687,755
Fetched: 2026-02-03T13:32:07
Stock Information
Shares Outstanding 2.18M
Total Debt $1.31M
Cash Equivalents $12.90M
Revenue $3.02M
Net Income $-12.40M
Sector Technology
Industry Communication Equipment
Market Cap $19.90M
EPS (TTM) $-17.31
Exchange NCM
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📊 Custom Metrics & Score
Score: 9/42
Debt to Equity -1.38
Debt to Earnings 123.83
Current Ratio 0.60
Quick Ratio 0.29
Avg Revenue Growth 0.37%
Profit Margin -2395.57%
Return on Equity 1708.26%
Avg FCF Growth -9.79%
FCF Yield -88.91%
Score Explanation: The perfect score is 42/42 based on debt levels, profitability, growth rates, and cash flow metrics. FCF Yield is weighted most heavily as it shows what return the business currently generates.
Recent Price History
Date Close Volume
2026-02-02 $9.15 695,500
2026-01-30 $7.90 131,800
2026-01-29 $7.90 309,000
2026-01-28 $6.99 350,300
2026-01-27 $6.90 107,200
2026-01-26 $6.58 134,200
2026-01-23 $7.06 179,500
2026-01-22 $7.03 293,000
2026-01-21 $6.65 362,100
2026-01-20 $6.30 389,100
2026-01-16 $5.50 416,100
2026-01-15 $5.06 173,500
2026-01-14 $5.16 245,300
2026-01-13 $5.19 5,922,800
2026-01-12 $5.53 47,500
2026-01-09 $5.11 42,100
2026-01-08 $5.09 55,400
2026-01-07 $4.89 105,200
2026-01-06 $4.97 135,200
2026-01-05 $4.22 125,600
About Energous Corporation

Energous Corporation provides wireless charging system solutions in the United States. The company develops over-the-air Wireless Power Network (WPN) technology that integrates advanced semiconductor chipsets, software controls, hardware designs, and antenna systems to enable radio frequency (RF) based charging for Internet of Things (IoT) devices. Its applications include retail sensors, electronic shelf labels, asset trackers, air quality monitors, motion detectors, and other smart monitoring solutions. The company's products are used in asset trackers, sensors, retail displays, and security devices; smart home, medical, industrial, and other sensors; electronic shelf labeling; logistics and asset tracking tags and sensors; computer mice and keyboards; remote controls; gaming consoles and controllers; hearing aids; rechargeable batteries; automotive accessories; smart textiles; wearables; and medical devices. The company was formerly known as DvineWave Inc. and changed its name to Energous Corporation in January 2014. Energous Corporation was incorporated in 2012 and is headquartered in San Jose, California.

Income Statement (Annual)
Revenue
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Reconciled Cost Of Revenue $756,000 $279,000 $1,277,565 $0
Cost Of Revenue $756,000 $279,000 $1,277,565 $0
Total Revenue $768,000 $474,000 $851,321 $756,793
Operating Revenue $768,000 $474,000 $851,321 $756,793
Expenses
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Total Expenses $17,801,000 $22,214,000 $26,739,255 $38,172,406
Other Income Expense $-1,365,000 $1,564,000 $-798,391 $-4,017,172
Other Non Operating Income Expenses $-31,000 - - -
Net Non Operating Interest Income Expense $0 $809,000 $411,065 $5,492
Operating Expense $17,045,000 $21,935,000 $25,461,690 $38,172,406
Selling And Marketing Expense $3,066,000 $3,852,000 $4,884,959 $8,598,343
General And Administrative Expense $5,704,000 $7,272,000 $8,078,950 $9,001,483
Income & Earnings
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Net Income From Continuing Operation Net Minority Interest $-18,398,000 $-19,367,000 $-26,275,260 $-41,427,293
Net Interest Income $0 $809,000 $411,065 $5,492
Interest Income $0 $809,000 $411,065 $5,492
Normalized Income $-17,064,000 $-20,931,000 $-25,476,869 $-37,410,121
Net Income From Continuing And Discontinued Operation $-18,398,000 $-19,367,000 $-26,275,260 $-41,427,293
Total Operating Income As Reported $-18,410,000 $-22,099,000 $-26,686,325 $-41,432,785
Net Income Common Stockholders $-18,398,000 $-19,367,000 $-26,275,260 $-41,427,293
Net Income $-18,398,000 $-19,367,000 $-26,275,260 $-41,427,293
Net Income Including Noncontrolling Interests $-18,398,000 $-19,367,000 $-26,275,260 $-41,427,293
Net Income Continuous Operations $-18,398,000 $-19,367,000 $-26,275,260 $-41,427,293
Pretax Income $-18,398,000 $-19,367,000 $-26,275,260 $-41,427,293
Special Income Charges $-1,596,000 $-359,000 $-798,391 $-4,017,172
Interest Income Non Operating $0 $809,000 $411,065 $5,492
Operating Income $-17,033,000 $-21,740,000 $-25,887,934 $-37,415,613
Gross Profit $12,000 $195,000 $-426,244 $756,793
Per Share Metrics
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Diluted EPS $-77.10 $-124.50 $-204.00 $-384.00
Basic EPS $-77.10 $-124.50 $-204.00 $-384.00
Other
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Tax Effect Of Unusual Items $0 $0 $0 $0
Tax Rate For Calcs $0 $0 $0 $0
Normalized EBITDA (Bullshit earnings) $-15,503,000 $-23,117,000 $-24,843,387 $-33,140,192
Total Unusual Items $-1,334,000 $1,564,000 $-798,391 $-4,017,172
Total Unusual Items Excluding Goodwill $-1,334,000 $1,564,000 $-798,391 $-4,017,172
Reconciled Depreciation $196,000 $187,000 $246,156 $258,249
EBITDA (Bullshit earnings) $-16,837,000 $-21,553,000 $-25,641,778 $-37,157,364
EBIT $-17,033,000 $-21,740,000 $-25,887,934 $-37,415,613
Diluted Average Shares $238,446 $155,453 $129,142 $108,210
Basic Average Shares $238,446 $155,453 $129,142 $108,210
Diluted NI Availto Com Stockholders $-18,398,000 $-19,367,000 $-26,275,260 $-41,427,293
Other Special Charges $219,000 - - -
Restructuring And Mergern Acquisition $1,377,000 $359,000 $798,391 $4,017,172
Gain On Sale Of Security $262,000 $1,923,000 - -
Research And Development $8,275,000 $10,811,000 $12,497,781 $20,572,580
Selling General And Administration $8,770,000 $11,124,000 $12,963,909 $17,599,826
Other Gand A $5,704,000 $7,272,000 $8,078,950 $9,001,483
Gain On Sale Of Ppe - - - $0
Fetched: 2026-02-02
Balance Sheet (Annual)
Assets
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Net Tangible Assets $-1,077,000 $11,498,000 $24,645,475 $46,984,278
Total Assets $3,795,000 $16,676,000 $29,752,922 $51,371,075
Total Non Current Assets $883,000 $1,669,000 $2,388,904 $1,141,173
Current Assets $2,912,000 $15,007,000 $27,364,018 $50,229,902
Other Current Assets $983,000 $539,000 $827,551 $874,886
Restricted Cash $0 $60,000 - -
Inventory $498,000 $430,000 $105,821 $0
Receivables $78,000 $102,000 $143,353 $283,602
Accounts Receivable $78,000 $102,000 $143,353 $283,602
Allowance For Doubtful Accounts Receivable $0 $-53,000 - -
Gross Accounts Receivable $78,000 $155,000 - -
Cash Cash Equivalents And Short Term Investments $1,353,000 $13,876,000 $26,287,293 $49,071,414
Cash And Cash Equivalents $1,353,000 $13,876,000 $26,287,293 $49,071,414
Cash Financial $1,353,000 $13,876,000 $26,287,293 $49,071,414
Other Non Current Assets - - - $11,991
Prepaid Assets - - - $874,886
Debt
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Total Debt $1,486,000 $1,264,000 $1,970,025 $668,720
Long Term Debt And Capital Lease Obligation $0 $557,000 $1,264,131 $40,413
Current Debt And Capital Lease Obligation $1,486,000 $707,000 $705,894 $628,307
Current Debt $818,000 - - -
Other Current Borrowings $818,000 - - -
Liabilities
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Total Liabilities Net Minority Interest $4,872,000 $5,178,000 $5,107,447 $4,386,797
Total Non Current Liabilities Net Minority Interest $0 $557,000 $1,264,131 $40,413
Current Liabilities $4,872,000 $4,621,000 $3,843,316 $4,346,384
Other Current Liabilities $358,000 $620,000 - -
Current Deferred Liabilities $13,000 $27,000 $29,727 $13,364
Payables And Accrued Expenses $2,247,000 $2,140,000 $1,384,676 $1,512,098
Interest Payable $81,000 $0 - -
Payables $1,852,000 $1,879,000 $900,765 $1,205,957
Accounts Payable $1,852,000 $1,879,000 $900,765 $1,205,957
Equity
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Common Stock Equity $-1,077,000 $11,498,000 $24,645,475 $46,984,278
Total Equity Gross Minority Interest $-1,077,000 $11,498,000 $24,645,475 $46,984,278
Stockholders Equity $-1,077,000 $11,498,000 $24,645,475 $46,984,278
Retained Earnings $-400,440,000 $-382,042,000 $-362,675,299 $-336,400,039
Other
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Ordinary Shares Number $452,530 $182,370 $131,574 $127,778
Share Issued $452,530 $182,370 $131,574 $127,778
Tangible Book Value $-1,077,000 $11,498,000 $24,645,475 $46,984,278
Invested Capital $-259,000 $11,498,000 $24,645,475 $46,984,278
Working Capital $-1,960,000 $10,386,000 $23,520,702 $45,883,518
Capital Lease Obligations $668,000 $1,264,000 $1,970,025 $668,720
Total Capitalization $-1,077,000 $11,498,000 $24,645,475 $46,984,278
Additional Paid In Capital $399,362,000 $393,539,000 $387,319,985 $383,383,550
Capital Stock $1,000 $1,000 $789 $767
Common Stock $1,000 $1,000 $789 $767
Preferred Stock $0 $0 $0 $0
Long Term Capital Lease Obligation $0 $557,000 $1,264,131 $40,413
Current Deferred Revenue $13,000 $27,000 $29,727 $13,364
Current Capital Lease Obligation $668,000 $707,000 $705,894 $628,307
Pensionand Other Post Retirement Benefit Plans Current $768,000 $1,127,000 $1,723,019 $2,192,615
Current Accrued Expenses $395,000 $261,000 $483,911 $306,141
Net PPE $883,000 $1,669,000 $2,388,904 $1,129,182
Accumulated Depreciation $-4,228,000 $-4,027,000 $-3,964,479 $-3,884,515
Gross PPE $5,111,000 $5,696,000 $6,353,383 $5,013,697
Leases $783,000 $783,000 $782,538 $782,538
Other Properties $527,000 $1,240,000 $1,959,869 $618,985
Machinery Furniture Equipment $3,801,000 $3,673,000 $3,610,976 $3,612,174
Properties $0 $0 $0 $0
Finished Goods $0 $277,000 - -
Work In Process $0 $52,000 - -
Raw Materials $498,000 $101,000 - -
Fetched: 2026-02-02
Cash Flow Statement (Annual)
Free Cash Flow
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Free Cash Flow $-17,696,000 $-19,436,000 $-23,801,741 $-29,086,124
Operating Activities
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Operating Cash Flow $-17,573,000 $-19,249,000 $-23,636,747 $-28,720,389
Cash Flow From Continuing Operating Activities $-17,573,000 $-19,249,000 $-23,636,747 $-28,720,389
Operating Gains Losses $-43,000 $-1,923,000 - -
Investing Activities
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Capital Expenditure $-123,000 $-187,000 $-164,994 $-365,735
Investing Cash Flow $-123,000 $-187,000 $-164,994 $-365,735
Cash Flow From Continuing Investing Activities $-123,000 $-187,000 $-164,994 $-365,735
Financing Activities
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Issuance Of Capital Stock $4,923,000 $7,012,000 $744,787 $27,043,751
Financing Cash Flow $5,113,000 $7,085,000 $1,017,620 $27,427,877
Cash Flow From Continuing Financing Activities $5,113,000 $7,085,000 $1,017,620 $27,427,877
Net Other Financing Charges $-348,000 - - -
Net Common Stock Issuance $4,923,000 $7,012,000 $744,787 $27,043,751
Common Stock Issuance $4,923,000 $7,012,000 $744,787 $27,043,751
Other
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Repayment Of Debt $-269,000 $0 - -
Issuance Of Debt $801,000 $0 - -
Interest Paid Supplemental Data $140,000 $0 - -
End Cash Position $1,353,000 $13,936,000 $26,287,293 $49,071,414
Beginning Cash Position $13,936,000 $26,287,000 $49,071,414 $50,729,661
Changes In Cash $-12,583,000 $-12,351,000 $-22,784,121 $-1,658,247
Proceeds From Stock Option Exercised $6,000 $73,000 $272,833 $384,126
Net Issuance Payments Of Debt $532,000 $0 - -
Net Short Term Debt Issuance $532,000 $0 - -
Short Term Debt Payments $-269,000 $0 - -
Short Term Debt Issuance $801,000 $0 - -
Net PPE Purchase And Sale $-123,000 $-187,000 $-164,994 $-365,735
Purchase Of PPE $-123,000 $-187,000 $-164,994 $-365,735
Change In Working Capital $-316,000 $22,000 $-1,297,669 $-167,689
Change In Other Working Capital $-14,000 $-3,000 $-542,560 $976,803
Change In Other Current Liabilities $117,000 $14,000 $-770,031 $-733,473
Change In Payables And Accrued Expense $-333,000 $160,000 $-38,095 $56,148
Change In Accrued Expense $-306,000 $-819,000 $267,097 $-52,970
Change In Payable $-27,000 $979,000 $-305,192 $109,118
Change In Account Payable $-27,000 $979,000 $-305,192 $109,118
Change In Prepaid Assets $-42,000 $288,000 $47,335 $-238,184
Change In Inventory $-68,000 $-491,000 $-105,821 $0
Change In Receivables $24,000 $54,000 $99,512 $-218,602
Changes In Account Receivables $24,000 $54,000 $99,512 $-218,602
Other Non Cash Items $189,000 $167,000 - $674,306
Stock Based Compensation $799,000 $1,678,000 $2,918,837 $11,931,188
Provisionand Write Offof Assets $0 $-13,000 - -
Depreciation Amortization Depletion $196,000 $187,000 $246,156 $258,249
Depreciation And Amortization $196,000 $187,000 $246,156 $258,249
Gain Loss On Investment Securities $-262,000 $-1,923,000 - -
Net Income From Continuing Operations $-18,398,000 $-19,367,000 $-26,275,260 $-41,427,293
Change In Other Current Assets - $0 $11,991 $-10,381
Asset Impairment Charge - $707,327 $771,189 $685,156
Depreciation - $187,209 $246,156 $258,249
Gain Loss On Sale Of PPE - - - $0
Fetched: 2026-02-02