The latest data point for SMR's EPS in Q4'25 shows a loss of -0.8 USD, marking a significant deterioration from the -0.13 USD loss in Q2'25 and reflecting ongoing profitability challenges despite some quarterly improvements earlier in the year. Over the period from Q1'23 to Q4'25, EPS has remained consistently negative, fluctuating between -0.77 USD and -0.11 USD, with an overall volatile trend that includes brief narrowing of losses in Q3'24 (-0.18 USD) and Q1'25 (-0.11 USD) before sharp widening in Q3'25 (-1.85 USD) and Q4'25. Year-over-year EPS growth has been predominantly negative, averaging declines exceeding 100% in several quarters like Q2'24 (-138%) and Q3'25 (-928%), though positive growth occurred in Q3'24 (31%) and Q1-Q2'25 (48-58%), indicating sporadic operational improvements amid broader instability. This bar and line chart highlights the need for sustained cost controls to mitigate deepening losses.