The latest data point for SMR's EPS in Q1'26 shows a value of -0.14 USD, indicating continued negative earnings per share with a slight deterioration from the prior quarter's -0.8 USD in Q4'25. This marks a modest worsening in profitability metrics for the period ending March 2026. Over the timeframe from Q2'23 to Q1'26, SMR's EPS has exhibited high volatility with an overall negative trend, fluctuating between a high of -0.11 USD in Q1'25 and a low of -1.85 USD in Q3'25, reflecting inconsistent operational performance and potential challenges in cost management or revenue generation. Year-over-year EPS growth has been predominantly negative, with notable declines such as -208% in Q4'24 and a sharp -928% in Q3'25, though brief positive growth periods (e.g., 48% in Q1'25 and 58% in Q2'25) suggest intermittent improvements; the bar chart highlights persistent losses, while the overlaid line chart underscores the erratic growth trajectory, warranting caution for investors monitoring earnings stability.