v3.26.1
Segment Reporting (Tables)
6 Months Ended
Jun. 30, 2026
Segment Reporting  
Schedule of reported segment revenue, significant segment expenses, other segment items and segment measure of profit/(loss)

Three months ended June 30,

Six months ended June 30,

  ​ ​ ​

2026

  ​ ​ ​

2025

  ​ ​ ​

2026

  ​ ​ ​

2025

Total net revenue

$

178,299

$

173,970

$

341,812

$

307,644

Cost of revenue:

Sales of equipment, related infrastructure and other

$

(80,326)

$

(117,280)

$

(165,653)

$

(191,836)

Services performed on fuel cell systems and related infrastructure

(21,724)

(9,996)

(36,145)

(24,458)

Benefit for loss contracts related to service

15,674

10,832

23,488

1,944

Power purchase agreements

(35,000)

(45,272)

(75,148)

(95,204)

Fuel delivered to customers and related equipment

(58,495)

(65,636)

(111,387)

(124,990)

Other costs of revenue

(103)

(83)

(249)

(426)

Operating expenses:

Research and development

$

(13,420)

$

(12,193)

$

(25,533)

$

(29,550)

Selling, general and administrative

(29,267)

(87,893)

(99,475)

(168,732)

Impairment

(19,365)

(20,599)

(23,221)

(21,663)

Other segment items, net(1)

$

(124,480)

$

(52,949)

$

(262,000)

$

(76,484)

Consolidated net loss attributable to Plug Power Inc.

$

(188,207)

$

(227,099)

$

(433,511)

$

(423,755)

(1)Included in other segment items, net are restructuring, change in fair value of contingent consideration, interest income, interest expense, other (expense)/income, net, (loss)/gain on extinguishment of convertible debt instruments and finance obligations, change in fair value of convertible debt instruments, change in fair value of debt, change in fair value of warrant liabilities, loss on equity method investments, income tax expense and net loss attributable to non-controlling interest.