Company: CTLPP
Filing Date: 2025-09-08
Form Type: 10-K
Source: 0001628280-25-041775
Chunk: 46

Company: CANTALOUPE, INC.
Filing Date: 2025-09-08
Form: 10-K
Item: Item 11
Chunk 46
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 shareholder return assumes that $100 was invested on the measurement date in the Company’s common stock and the peer group as set forth in footnote 5 below. The measurement date is established by the market close on the last trading day before the beginning of the Company’s third preceding fiscal year.

5.The peer group reflects the US Small-Cap Russell 2000® Index, which was used in the Stock Performance Graph included in our Annual Report.

6.Dollar amounts reported represent the amount of net income reflected in the Company’s audited financial statements for the applicable year

7.The Company has determined that Adjusted EBITDA from continuing operations is the financial performance measure that, in the Company’s assessment, represents the most important performance measure (that is not otherwise required to be disclosed in the table) used by the Company to link compensation actually paid to the Company’s named executive officers for the most recently completed fiscal year.

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 2025202420232022PEO($)Average of Non-PEO NEOs($)PEO($)Average of Non-PEO NEOs($)PEO($)Average of Non-PEO NEOs($)PEO($)Average of Non-PEO NEOs($)Total Compensation as reported on Summary Compensation Table957,707 975,073 1,046,238 643,599 2,802,535 1,131,882 990,474 1,086,222 Fair value of stock awards reported in Summary Compensation Table(172,238)(355,011)(244,148)(117,824)(1,936,233)(669,484)(225,000)(708,513)Fair value of equity compensation granted in current year — value at year-end293,660 557,331 217,166 104,803 1,951,608 676,690 120,691 364,374 Change in fair value from end of prior fiscal to end of current fiscal year for awards made in prior fiscal years that were unvested at end of current fiscal year445,041 219,894 590,771 174,033 644,231 94,484 (2,633,750)502,510 Change in fair value from end of prior fiscal year to vesting date for awards made in prior fiscal years that vested during current fiscal year201,187 83,552 527,560 241,633 165,523 188,682 (242,063)296,817