ai

Arteris

AIP
NASDAQ
$24.30

Arteris est-elle financièrement solide ?

The balance sheet is strong with approximately 123 million in cash and investments at June 30, 2026 and only about 3.5 million of vendor‑financing liabilities, implying roughly 120 million net cash.

The company generated positive operating cash flow of 2.1 million in 1H 2026 and posted quarterly free cash flow of 8.6 million in Q2 2026. TTM free cash flow through Q2 2026 is about 6.8 million when reconciling FY 2025 and 1H 2026 GAAP cash flows and capex.

Deferred revenue is large and rising, but also reflects performance obligations that require continued delivery. Overall liquidity looks ample for R&D and integration needs.