Communications Equipment, NEC · SIC 3669

Powerfleet, Inc.

AIOT

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Latest revenue

$113.5M

as of 2025-12-31

Latest net income

$-3.4M

as of 2025-12-31

Net margin

-3.0%

as of 2025-12-31

5.4
of 10

ActaClear Score

Neutral
#7 of 16 in Communications Equipment, NEC
+0.0 · 2d
Profitability·25%
7.3
Growth·15%
7.3
Value·20%
3.7
Quality·20%
5.3
Momentum·20%
3.3

Computed from 5 years of SEC fundamentals + latest market data, ranked within Communications Equipment, NEC (16 peers). 10 = best in industry, 5 = median, 0 = worst. Refreshed Jun 7, 2026.

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Price · 5Y

-5.2% / yr 24.8 pts / yr vs S&P 500 9.6% total
Compare:

Live market

delayed ≤15 min
$3.85
8.87%
Market cap
$517.1M
Enterprise value
$763.4M
P/E (trailing)
Forward P/E
P/B
1.07×
Dividend yield
0.0%
52-wk high
$5.88
52-wk low
$2.77
Beta
Shares out
134.1M

5-year trend

What this company does

AI

Item 1. Business. Overview Powerfleet is a global leader of Internet-of-Things (“IoT”) solutions providing valuable business intelligence for managing high-value enterprise assets that improve operational efficiencies. We are headquartered in Woodcliff Lake, New Jersey, with offices located around the globe. On April 2, 2024, we consummated the transactions contemplated by the Implementation Agreement, dated as of October 10, 2023 (the “Implementation Agreement”), that we entered into with Main Street 2000 Proprietary Limited, a private company incorporated in the Republic of South Africa and our wholly owned subsidiary (“Powerfleet Sub”), and MiX Telematics, a public company incorporated…

AI summary unavailable — showing raw filing excerpt

Generated from AIOT's filing dated 2024-05-09

Key risks

AI

Item 1A. Risk Factors. In addition to the other information contained in this Form 10-K, the following risk factors should be considered carefully in evaluating the Company’s business. Our business, financial condition or results of operations could be materially and adversely affected by any of these risks. Additional risks not presently known to the Company or that the Company currently deems immaterial may also adversely affect our business, financial condition or results of operations. Risk Factor Summary Our business is subject to numerous risks and uncertainties, including those highlighted in the section titled “Risk Factors” immediately following this summary. These risks include,…

AI summary unavailable — showing raw filing excerpt

Generated from AIOT's filing dated 2024-05-09

Profitability

Gross margin

53.7%

7.0%

Operating margin

-7.1%

24.0%

Net margin

-14.1%

231.4%

Return on equity

-11.4%

15.8%

Return on assets

-5.6%

115.0%

Leverage

Debt / equity

1.04×

85.2%

Long-term debt / equity

0.52×

82.4%

Debt / assets

50.9%

41.8%

Earnings tracker

QuarterRevenueYoYNet incomeYoYNet margin

Q4 2025

2025-12-31

$113.5M+6.6%$-3.4M+76.6%-3.0%

Q3 2025

2025-09-30

$111.7M+45.0%$-4.3M-127.1%-3.8%

Q2 2025

2025-06-30

$104.1M+38.0%$-10.2M+54.1%-9.8%

Q1 2025

2025-03-31

$103.6M$-12.4M-12.0%

Q4 2024

2024-12-31

$106.4M+208.0%$-14.3M-309.6%-13.5%

Q3 2024

2024-09-30

$77.0M+125.2%$-1.9M-0.3%-2.5%

Q2 2024

2024-06-30

$75.4M+135.4%$-22.3M-1345.1%-29.6%

Q4 2023

2023-12-31

$34.5M$-3.5M-10.1%

Year-over-year change vs the same fiscal quarter one year prior. Revenue + net income sourced from SEC 10-Q / 10-K filings — no analyst-consensus dependency.

Industry trend

Communications Equipment, NEC · SIC 3669

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Insider activity

Insider buying

$148.8K

Insider selling

$0

Net activity

+$148.8K

Distinct insiders

2

Open-market trades over the last 365 days.

Recent transactions

DateInsiderTypeSharesPriceValue
2025-08-18

Michael J Mcconnell

Director

Purchase10,000$4.64$46.4K
2025-08-14

Steven Mark Towe

Chief Executive Officer

Purchase23,157$4.42$102.4K

Source: SEC Form 4 filings. Officers, directors, and 10%+ owners must disclose share transactions within two business days. RSU grants and tax-withholding rows are excluded by default — compensation activity is not a trading signal.

Who owns AIOT

Institutional value

$201.9M

Total shares held

65.3M

Distinct holders

109

-83 vs prior

As of

2026-03-31

Prior: 2025-12-31

Filers with $100M+ AUM disclose holdings 45 days after quarter end.

Top institutional holders

#ManagerSharesValueQoQ changeAction
1BlackRock, Inc.10.0M$30.7M+352.0K (+3.7%)Added
2PRIVATE MANAGEMENT GROUP INC5.5M$17.0M+247.7K (+4.7%)Added
3VANGUARD CAPITAL MANAGEMENT LLC5.1M$15.7MNew
4ROYCE & ASSOCIATES LP5.0M$15.3M+511.2K (+11.4%)Added
5DIMENSIONAL FUND ADVISORS LP4.1M$12.7M+698.1K (+20.3%)Added
6VANGUARD PORTFOLIO MANAGEMENT LLC3.7M$11.3MNew
7CenterBook Partners LP3.4M$10.6M+278.6K (+8.8%)Added
8Nuveen, LLC3.2M$9.9M-91.7K (-2.8%)Trimmed
9PINNACLE ASSOCIATES LTD3.1M$9.6M+947.9K (+43.4%)Added
10Kopion Asset Management, LLC2.4M$7.5M+882.9K (+56.8%)Added
11Bandera Partners LLC2.4M$7.3M+500.0K (+26.6%)Added
12Bastion Asset Management Inc.1.9M$7.0M+230.5K (+13.5%)Added
13WASATCH ADVISORS LP2.2M$6.9M+640.0K (+40.0%)Added
14KENNEDY CAPITAL MANAGEMENT LLC2.0M$6.2M+42.7K (+2.2%)Added
151492 Capital Management LLC1.2M$3.8M-2.9K (-0.2%)Trimmed
16SEI INVESTMENTS CO1.1M$3.5M+557.5K (+99.1%)Added
17BLAIR WILLIAM & CO/IL935.4K$2.9M+195.3K (+26.4%)Added
18VANGUARD FIDUCIARY TRUST CO776.3K$2.4MNew
19UBS Group AG678.8K$2.1M+93.0K (+15.9%)Added
20ROTHSCHILD INVESTMENT LLC653.5K$2.0M+407.6K (+165.8%)Added

Source: SEC Form 13F-HR. Positions aggregated across sub-managers within each firm. Options (puts/calls) excluded — common stock only.

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