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KULR

KULR Technology Group, Inc.

Price Chart
Latest Quote

$3.73

+0.04 (+1.08%)
Current Price
Previous Close $3.69
Open $3.73
Day High $3.80
Day Low $3.62
Volume 604,368
Fetched: 2026-06-25T16:15:38
Stock Information
Shares Outstanding 46.26M
Total Debt $6.36M
Cash Equivalents $7.68M
Revenue $18.57M
Net Income $-71.21M
Sector Technology
Industry Electronic Components
Market Cap $173.00M
EPS (TTM) $-1.63
Exchange ASE
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📊 Comprehensive Analysis
Company Data
Enterprise Value$169.29M
Sales$18.57M
Income$-71.21M
Book/sh$2.04
Cash/sh$0.17
Employees47
Financial Ratios
Quick Ratio1.30
Current Ratio1.69
Debt/Eq6.72
Returns & Margins
ROA-25.07%
ROE-77.30%
Gross Margin-0.78%
Operating Margin-152.38%
Ownership
Insider Ownership7.73%
Institutional Ownership22.55%
Insider & Institutional transactions data not available
Valuation Ratios
P/S9.32
P/B1.83
Analyst Data
Recommendationnone
Target Price$8.00
Technical Indicators
SMA20$4.07
SMA50$3.51
SMA200$3.46
RSI35.81
ATR0.3896
Shares Float44.19M
Short Float20.42%
Short Ratio2.93
Volatility2.22
Rel Volume0.45
Performance History
Week+5.35%
Month-15.58%
Quarter+50.20%
6 Months-0.27%
YTD+16.87%
Year-42.81%
3 Years-29.17%
5 Years-79.67%
10 Years-73.29%
Stock Score: ⭐ Premium
Based on debt, profitability, growth, and cash flow metrics
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Recent Price History
Date Close Volume
2026-06-25 $3.74 1,091,137
2026-06-24 $3.69 1,697,200
2026-06-23 $3.86 1,230,100
2026-06-22 $3.99 1,746,600
2026-06-18 $3.96 5,465,600
2026-06-17 $3.55 1,471,300
2026-06-16 $3.67 1,511,800
2026-06-15 $4.06 1,887,700
2026-06-12 $3.79 1,833,700
2026-06-11 $3.82 1,748,800
2026-06-10 $3.52 1,498,100
2026-06-09 $3.70 2,486,200
2026-06-08 $3.73 1,920,300
2026-06-05 $3.81 3,380,600
2026-06-04 $4.58 2,132,000
2026-06-03 $4.55 3,070,900
2026-06-02 $5.23 5,453,400
2026-06-01 $4.60 2,717,200
2026-05-29 $4.78 3,366,200
2026-05-28 $4.86 3,252,200
2026-05-27 $4.72 4,325,900
2026-05-26 $4.43 4,515,900
About KULR Technology Group, Inc.

KULR Technology Group, Inc., through its subsidiary, KULR Technology Corporation, designs and builds advanced battery systems for autonomous platforms, digital infrastructure, and e-mobility and space. It provides battery production, internal short circuit battery cells and devices, patented thermal runaway shield technology (“TRS”), phase change material (“PCM”) heatsinks, and KULR SafeCases, and exoskeleton devices. The company also offers space batteries; air batteries; custom battery design; battery solutions, including trigger cells and ISC-D and SafeX Safe storage solutions; thermal solutions, including fiber thermal interface and cathodes; and testing solutions that include cell screening and cycling, module cycling, thermal desktop and SINDA/FLUINT, and abuse testing and calorimetry. Additionally, the company provides KULR VIBE, a software-driven precision balancing and vibration reduction solution designed for rotary systems and Xero VibeFan, an ultimate cooling solution for AI farms, data centres, and server environments. Its technologies are used in space, aerospace, defence, telecom, and other critical infrastructure. KULR Technology Group, Inc. has a strategic collaboration with Robinson Helicopter Company, Inc. to develop battery system for an eR66 battery-electric helicopter demonstrator. The company was formerly known as KT High-Tech Marketing, Inc. and changed its name to KULR Technology Group, Inc. in August 2018. The company was founded in 2013 and is headquartered in Webster, Texas.

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Income Statement (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Revenue
Reconciled Cost Of Revenue $15,399,432 $5,254,283 $6,164,310 $1,630,527
Cost Of Revenue $15,399,432 $5,254,283 $6,164,310 $1,630,527
Total Revenue $16,170,404 $10,737,481 $9,830,166 $3,994,634
Operating Revenue $16,170,404 $10,737,481 $9,830,166 $3,994,634
Expenses
Interest Expense $242,822 $1,361,476 $1,448,650 $1,447,699
Total Expenses $58,209,645 $25,972,440 $32,242,112 $22,280,616
Other Income Expense $-20,180,990 $-937,769 $167,040 $297,202
Other Non Operating Income Expenses $-17,075 $-228,777 $167,040 $147,035
Net Non Operating Interest Income Expense $320,449 $-1,350,901 $-1,448,650 $-1,447,699
Interest Expense Non Operating $242,822 $1,361,476 $1,448,650 $1,447,699
Operating Expense $42,810,213 $20,718,157 $26,077,802 $20,650,089
Income & Earnings
Net Income From Continuing Operation Net Minority Interest $-61,899,782 $-17,523,629 $-23,693,556 $-19,436,479
Net Interest Income $320,449 $-1,350,901 $-1,448,650 $-1,447,699
Interest Income $563,271 $10,575 $0 -
Normalized Income $-41,735,867 $-16,814,637 $-23,693,556 $-19,586,646
Net Income From Continuing And Discontinued Operation $-61,899,782 $-17,523,629 $-23,693,556 $-19,436,479
Total Operating Income As Reported $-43,000,505 $-15,234,959 $-22,411,946 $-18,285,982
Net Income Common Stockholders $-61,899,782 $-17,523,629 $-23,693,556 $-19,436,479
Net Income $-61,899,782 $-17,523,629 $-23,693,556 $-19,436,479
Net Income Including Noncontrolling Interests $-61,899,782 $-17,523,629 $-23,693,556 $-19,436,479
Net Income Continuous Operations $-61,899,782 $-17,523,629 $-23,693,556 $-19,436,479
Pretax Income $-61,899,782 $-17,523,629 $-23,693,556 $-19,436,479
Special Income Charges $-6,363,874 $9,834 $0 $150,167
Interest Income Non Operating $563,271 $10,575 $0 -
Operating Income $-42,039,241 $-15,234,959 $-22,411,946 $-18,285,982
Gross Profit $770,972 $5,483,198 $3,665,856 $2,364,107
Per Share
Diluted EPS $-1.56 $-0.75 $-1.60 $-1.44
Basic EPS $-1.56 $-0.75 $-1.60 $-1.44
Other
Tax Effect Of Unusual Items $0 $0 $0 $0
Tax Rate For Calcs $0 $0 $0 $0
Normalized EBITDA (Bullshit earnings) $-40,094,866 $-13,652,323 $-20,030,811 $-17,879,548
Total Unusual Items $-20,163,915 $-708,992 $0 $150,167
Total Unusual Items Excluding Goodwill $-20,163,915 $-708,992 $0 $150,167
Reconciled Depreciation $1,398,179 $1,800,838 $2,214,095 $259,399
EBITDA (Bullshit earnings) $-60,258,781 $-14,361,315 $-20,030,811 $-17,729,381
EBIT $-61,656,960 $-16,162,153 $-22,244,906 $-17,988,780
Diluted Average Shares $39,727,205 $23,324,642 $14,727,592 $13,206,971
Basic Average Shares $39,727,205 $23,324,642 $14,727,592 $13,206,971
Diluted NI Availto Com Stockholders $-61,899,782 $-17,523,629 $-23,693,556 $-19,436,479
Other Special Charges $-50,000 $-9,834 - $-150,167
Write Off $3,325,045 $0 - -
Impairment Of Capital Assets $3,088,829 $0 - -
Gain On Sale Of Security $-13,800,041 $-718,826 - -
Provision For Doubtful Accounts $4,358,208 $0 - -
Research And Development $10,755,036 $4,738,305 $7,135,452 $4,196,313
Selling General And Administration $27,696,969 $15,979,852 $18,942,350 $16,453,776
Preferred Stock Dividends - - - -
Fetched: 2026-06-25
Balance Sheet (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Assets
Net Tangible Assets $121,241,273 $56,850,886 $-2,902,091 $9,772,965
Total Assets $128,967,704 $62,927,187 $10,864,356 $23,625,930
Total Non Current Assets $103,411,176 $28,763,132 $6,960,012 $7,889,946
Other Non Current Assets $102,703 - - -
Non Current Prepaid Assets $39,430 $48,158 $10,228 $60,441
Non Current Deferred Assets $276,690 $155,497 $70,607 $71,818
Non Current Accounts Receivable $998,772 $1,446,489 - -
Goodwill And Other Intangible Assets $370,925 $577,099 $719,395 $720,768
Other Intangible Assets $370,925 $577,099 $719,395 $720,768
Current Assets $25,556,528 $34,164,055 $3,904,344 $15,735,984
Other Current Assets $2,662,125 $285,000 $10,828 $62,329
Current Deferred Assets $440,954 $405,463 $59,089 $34,402
Prepaid Assets $2,547,627 $390,710 $586,561 $1,226,901
Inventory $581,156 $545,467 $1,149,047 $1,962,035
Receivables $6,024,478 $2,705,557 $904,055 $2,116,754
Other Receivables $3,947,922 $60,367 $2,383 $574,636
Accounts Receivable $2,076,556 $2,645,190 $901,672 $1,542,118
Allowance For Doubtful Accounts Receivable $-1,450,000 $0 - -
Gross Accounts Receivable $3,526,556 $2,645,190 - -
Cash Cash Equivalents And Short Term Investments $13,300,188 $29,831,858 $1,194,764 $10,333,563
Cash And Cash Equivalents $13,300,188 $29,831,858 $1,194,764 $10,333,563
Cash Financial $13,300,188 $29,831,858 $1,194,764 $10,333,563
Debt
Total Debt $1,445,512 $1,824,295 $352,186 $321,603
Long Term Debt And Capital Lease Obligation $1,078,575 $833,568 $250,000 $97,958
Current Debt And Capital Lease Obligation $366,937 $990,727 $102,186 $223,645
Long Term Debt - $10,966 $250,000 -
Current Debt - $494,796 - -
Other Current Borrowings - $516,547 - -
Liabilities
Total Liabilities Net Minority Interest $7,355,506 $5,499,202 $13,047,052 $13,132,197
Total Non Current Liabilities Net Minority Interest $1,078,575 $833,568 $6,147,955 $3,451,690
Current Liabilities $6,276,931 $4,665,634 $6,899,097 $9,680,507
Other Current Liabilities $31,104 $25,643 $90,036 $45,251
Current Deferred Liabilities $107,267 $32,768 $551,021 $5,678,612
Current Notes Payable $0 $494,796 - -
Payables And Accrued Expenses $5,771,623 $3,616,496 $5,960,144 $3,610,499
Interest Payable $0 $24,102 $0 -
Payables $3,952,840 $2,172,998 $2,816,445 $1,408,017
Other Payable $594,860 - - -
Total Tax Payable $184,167 $111,732 $46,901 -
Accounts Payable $3,173,813 $2,061,266 $2,769,544 $1,408,017
Other Non Current Liabilities - - $5,892,056 $3,196,678
Non Current Deferred Liabilities - - - $3,196,678
Equity
Common Stock Equity $121,612,098 $57,427,912 $-2,182,696 $10,493,733
Preferred Stock Equity $100 $73 - -
Total Equity Gross Minority Interest $121,612,198 $57,427,985 $-2,182,696 $10,493,733
Stockholders Equity $121,612,198 $57,427,985 $-2,182,696 $10,493,733
Retained Earnings $-145,711,005 $-83,811,223 $-66,287,594 $-42,594,038
Other
Treasury Shares Number $21,922 $16,395 $16,395 $16,395
Ordinary Shares Number $46,041,250 $33,083,811 $16,737,563 $14,133,948
Share Issued $46,063,172 $33,100,206 $16,753,958 $14,150,343
Tangible Book Value $121,241,173 $56,850,813 $-2,902,091 $9,772,965
Invested Capital $121,612,098 $57,933,674 $-1,932,696 $10,493,733
Working Capital $19,279,597 $29,498,421 $-2,994,753 $6,055,477
Capital Lease Obligations $1,445,512 $1,318,533 $102,186 $321,603
Total Capitalization $121,612,198 $57,438,951 $-1,932,696 $10,493,733
Treasury Stock $393,744 $296,222 $296,222 $296,222
Additional Paid In Capital $267,712,241 $141,532,047 $64,387,717 $53,372,673
Capital Stock $4,706 $3,383 $13,403 $11,320
Common Stock $4,606 $3,310 $13,403 $11,320
Preferred Stock $100 $73 $0 $0
Long Term Capital Lease Obligation $1,078,575 $822,602 $0 $97,958
Current Deferred Revenue $107,267 $32,768 $551,021 $23,000
Current Capital Lease Obligation $366,937 $495,931 $102,186 $223,645
Current Accrued Expenses $1,818,783 $1,443,498 $3,143,699 $2,202,482
Investments And Advances $93,995,256 $20,281,184 $0 -
Other Investments $93,995,256 $20,281,184 $0 -
Net PPE $7,627,400 $6,254,705 $6,159,782 $7,036,919
Accumulated Depreciation $-5,227,853 $-4,075,199 $-2,420,699 $-342,977
Gross PPE $12,855,253 $10,329,904 $8,580,481 $7,379,896
Leases $2,160,762 $2,144,565 $2,043,672 $345,709
Construction In Progress $806,000 $2,105,410 $1,740,512 $4,943,154
Other Properties $1,681,982 $1,517,212 $397,772 $429,880
Machinery Furniture Equipment $8,206,509 $4,562,717 $4,398,525 $1,661,153
Properties $0 $0 $0 $0
Finished Goods $343,495 $182,243 $826,936 $883,748
Raw Materials $237,661 $363,224 $322,111 $1,075,310
Non Current Accrued Expenses - $0 $5,899 $157,054
Pensionand Other Post Retirement Benefit Plans Current - $0 $23,750 $122,500
Current Provisions - - $171,960 -
Work In Process - - $0 $2,977
Non Current Deferred Revenue - - - $3,196,678
Line Of Credit - - - $0
Fetched: 2026-06-25
Cash Flow Statement (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Free Cash Flow
Free Cash Flow $-48,814,331 $-17,937,858 $-13,011,500 $-22,002,099
Operating Activities
Operating Cash Flow $-44,883,648 $-17,341,676 $-11,965,387 $-17,354,125
Cash Flow From Continuing Operating Activities $-44,883,648 $-17,341,676 $-11,965,387 $-17,354,125
Operating Gains Losses $-7,864,111 $16,656 - $-150,167
Investing Activities
Capital Expenditure $-3,930,683 $-596,182 $-1,046,113 $-4,647,974
Investing Cash Flow $-89,083,295 $-21,596,192 $-1,046,113 $-4,647,974
Cash Flow From Continuing Investing Activities $-89,083,295 $-21,596,192 $-1,046,113 $-4,647,974
Net Other Investing Changes $-2,127,565 - - -
Financing Activities
Repurchase Of Capital Stock $-97,522 $-500,000 $-229,249 $0
Issuance Of Capital Stock $123,181,925 $71,017,748 $3,910,000 $250,000
Financing Cash Flow $117,435,273 $67,574,962 $3,872,701 $17,472,361
Cash Flow From Continuing Financing Activities $117,435,273 $67,574,962 $3,872,701 $17,472,361
Net Other Financing Charges $-4,092,499 $-2,353,191 $-58,050 $10,398,068
Net Common Stock Issuance $123,084,403 $70,517,748 $3,680,751 $250,000
Common Stock Issuance $123,181,925 $71,017,748 $3,910,000 $250,000
Net Preferred Stock Issuance - - - $0
Preferred Stock Issuance - - - $0
Other
Repayment Of Debt $-9,567,446 $-3,343,050 $0 $-1,000,000
Issuance Of Debt $8,000,000 $2,730,000 $250,000 $4,750,000
Interest Paid Supplemental Data $159,943 $62,380 $314,731 $86,062
Income Tax Paid Supplemental Data $0 $0 $0 $0
End Cash Position $13,300,188 $29,831,858 $1,194,764 $10,333,563
Beginning Cash Position $29,831,858 $1,194,764 $10,333,563 $14,863,301
Changes In Cash $-16,531,670 $28,637,094 $-9,138,799 $-4,529,738
Proceeds From Stock Option Exercised $10,815 $23,455 $0 $3,074,293
Common Stock Payments $-97,522 $-500,000 $-229,249 $0
Net Issuance Payments Of Debt $-1,567,446 $-613,050 $250,000 $3,750,000
Net Short Term Debt Issuance $-577,674 $-3,341,597 $0 $-1,000,000
Short Term Debt Payments $-8,577,674 $-3,341,597 $0 $-1,000,000
Short Term Debt Issuance $8,000,000 $0 - -
Net Long Term Debt Issuance $-989,772 $2,728,547 $250,000 $4,750,000
Long Term Debt Payments $-989,772 $-1,453 $0 $-1,000,000
Long Term Debt Issuance $0 $2,730,000 $250,000 $4,750,000
Net Investment Purchase And Sale $-79,700,002 $-21,000,010 $0 -
Purchase Of Investment $-79,700,002 $-21,000,010 $0 -
Net Business Purchase And Sale $-3,325,045 $0 - -
Net Intangibles Purchase And Sale $-138,180 $0 $-135,000 $-543,572
Purchase Of Intangibles $-138,180 $0 $-135,000 $-543,572
Net PPE Purchase And Sale $-3,792,503 $-596,182 $-911,113 $-4,104,402
Purchase Of PPE $-3,792,503 $-596,182 $-911,113 $-4,104,402
Change In Working Capital $-8,283,909 $-6,874,822 $4,886,336 $-3,351,746
Change In Other Working Capital $74,499 $-518,253 $528,021 $-109,303
Change In Other Current Liabilities $-558,558 $-324,870 $-270,571 $-205,034
Change In Other Current Assets $-5,046,759 $0 - -
Change In Payables And Accrued Expense $2,001,194 $-2,924,663 $2,196,746 $1,483,541
Change In Accrued Expense $888,647 $-2,216,387 $1,442,690 $824,826
Change In Payable $1,112,547 $-708,276 $754,056 $658,715
Change In Account Payable $1,112,547 $-708,276 $754,056 $658,715
Change In Prepaid Assets $-778,284 $-548,109 $1,031,860 $-1,326,336
Change In Inventory $-875,333 $631,080 $776,807 $-1,773,796
Change In Receivables $-3,100,668 $-3,190,007 $623,473 $-1,420,818
Changes In Account Receivables $-3,100,668 $-3,190,007 $623,473 $-1,420,818
Other Non Cash Items $669,920 $1,827,768 $814,083 $1,134,828
Stock Based Compensation $6,522,581 $2,692,687 $3,502,736 $4,175,014
Unrealized Gain Loss On Investment Securities $13,800,041 $718,826 $0 -
Provisionand Write Offof Assets $4,358,208 $0 $16,978 $15,026
Asset Impairment Charge $6,415,225 $0 $293,941 $0
Depreciation Amortization Depletion $1,398,179 $1,800,838 $2,214,095 $259,399
Depreciation And Amortization $1,398,179 $1,800,838 $2,214,095 $259,399
Amortization Cash Flow $142,296 $142,296 $136,373 $39,756
Amortization Of Intangibles $142,296 $142,296 $136,373 $39,756
Depreciation $1,255,881 $1,658,542 $2,077,722 $219,643
Gain Loss On Sale Of PPE $-7,029,924 $26,490 $0 -
Net Income From Continuing Operations $-61,899,782 $-17,523,629 $-23,693,556 $-19,436,479
Gain Loss On Investment Securities - - - $-158,675
Fetched: 2026-06-25