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PRZO ParaZero Technologies

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  • 0.739
  • -0.040-5.13%
Close Mar 31 16:00 ET
  • 0.760
  • +0.021+2.84%
Post 18:04 ET
12.33MMarket Cap-0.75P/E (TTM)

ParaZero Technologies Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q2)Jun 30, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q2)Jun 30, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q2)Jun 30, 2022
(FY)Dec 31, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
-43.74%4.18M
-43.74%4.18M
6,126.51%5.29M
8,171.61%7.43M
8,171.61%7.43M
-47.34%84.95K
171.94%89.81K
--89.81K
--161.32K
-77.18%33.02K
-Cash and cash equivalents
-43.74%4.18M
-43.74%4.18M
6,126.51%5.29M
8,171.61%7.43M
8,171.61%7.43M
-47.34%84.95K
171.94%89.81K
--89.81K
--161.32K
-77.18%33.02K
Receivables
411.99%114.56K
411.99%114.56K
-10.73%112K
-87.84%22.38K
-87.84%22.38K
-36.47%125.46K
165.54%184.06K
--184.06K
--197.47K
-43.60%69.32K
-Accounts receivable
411.99%114.56K
411.99%114.56K
508.52%112K
-87.84%22.38K
-87.84%22.38K
11.05%18.41K
2,456.09%184.06K
--184.06K
--16.57K
-79.88%7.2K
-Taxes receivable
----
----
----
----
----
----
----
----
----
-28.70%62.12K
-Other receivables
----
----
----
----
----
-40.82%107.05K
----
----
--180.89K
----
Inventory
49.05%394.19K
49.05%394.19K
10.35%377.73K
-13.24%264.47K
-13.24%264.47K
-21.99%342.29K
-13.26%304.82K
--304.82K
--438.8K
-1.88%351.42K
Prepaid assets
-7.85%322.2K
-7.85%322.2K
--223.97K
488.46%349.63K
488.46%349.63K
----
187.81%59.42K
--59.42K
----
19.25%20.64K
Current deferred assets
-16.13%57.39K
-16.13%57.39K
-17.96%334.53K
-76.50%68.43K
-76.50%68.43K
129.76%407.75K
--291.13K
--291.13K
--177.46K
--0
Other current assets
-81.87%42.33K
-81.87%42.33K
--127.28K
94.38%233.5K
94.38%233.5K
----
--120.13K
--120.13K
----
----
Total current assets
-38.93%5.11M
-38.93%5.11M
573.09%6.46M
697.32%8.37M
697.32%8.37M
-1.50%960.44K
121.20%1.05M
--1.05M
--975.05K
-26.23%474.4K
Non current assets
Net PPE
806.41%526.7K
806.41%526.7K
839.87%604.09K
-40.83%58.11K
-40.83%58.11K
-51.00%64.27K
68.33%98.2K
--98.2K
--131.18K
-51.36%58.34K
-Gross PPE
276.33%657.01K
276.33%657.01K
839.87%604.09K
-11.64%174.58K
-11.64%174.58K
-51.00%64.27K
41.91%197.59K
--197.59K
--131.18K
-24.01%139.23K
-Accumulated depreciation
-11.89%-130.32K
-11.89%-130.32K
----
-17.19%-116.47K
-17.19%-116.47K
----
-22.86%-99.39K
---99.39K
----
-27.86%-80.89K
Non current prepaid assets
--33.33K
--33.33K
----
--0
--0
----
----
----
----
----
Other non current assets
--68K
--68K
--68.6K
----
----
----
----
----
----
----
Total non current assets
980.80%628.03K
980.80%628.03K
946.61%672.7K
-40.83%58.11K
-40.83%58.11K
-51.00%64.27K
68.33%98.2K
--98.2K
--131.18K
-51.36%58.34K
Total assets
-31.90%5.74M
-31.90%5.74M
596.52%7.14M
634.15%8.42M
634.15%8.42M
-7.37%1.02M
115.41%1.15M
--1.15M
--1.11M
-30.18%532.74K
Liabilities
Current liabilities
Payables
248.35%197.45K
248.35%197.45K
-73.58%191.03K
19.94%56.68K
19.94%56.68K
28.91%723.02K
27.33%47.26K
--47.26K
--560.88K
-49.07%37.12K
-accounts payable
225.05%184.25K
225.05%184.25K
93.39%191.03K
19.94%56.68K
19.94%56.68K
51.27%98.78K
27.33%47.26K
--47.26K
--65.3K
-49.07%37.12K
-Other payable
--13.21K
--13.21K
----
----
----
25.96%624.24K
----
----
--495.58K
----
Current accrued expenses
48.97%719.98K
48.97%719.98K
--503.88K
-16.74%483.31K
-16.74%483.31K
----
39.11%580.51K
--580.51K
----
0.14%417.3K
Current provisions
112.93%12.34K
112.93%12.34K
--5.79K
-36.59%5.79K
-36.59%5.79K
----
-8.64%9.14K
--9.14K
----
0.00%10K
Current debt and capital lease obligation
2,585.44%202.56K
2,585.44%202.56K
-74.10%196.44K
-99.52%7.54K
-99.52%7.54K
1,621.89%758.32K
-76.55%1.56M
--1.56M
--44.04K
7.29%6.65M
-Current debt
----
----
----
----
----
--729.17K
-77.20%1.51M
--1.51M
----
8.05%6.64M
-Current capital lease obligation
2,585.44%202.56K
2,585.44%202.56K
573.85%196.44K
-83.27%7.54K
-83.27%7.54K
-33.81%29.15K
469.55%45.1K
--45.1K
--44.04K
-84.40%7.92K
Current deferred liabilities
-6.59%188.47K
-6.59%188.47K
--336.96K
9.06%201.76K
9.06%201.76K
----
466.48%185K
--185K
----
-15.50%32.66K
Other current liabilities
----
----
-99.30%10.61K
----
----
--1.51M
----
----
----
----
Current liabilities
74.92%1.32M
74.92%1.32M
-58.46%1.24M
-68.30%755.09K
-68.30%755.09K
395.32%3M
-66.68%2.38M
--2.38M
--604.92K
6.10%7.15M
Non current liabilities
Long term debt and capital lease obligation
--216.92K
--216.92K
--289.65K
--0
--0
--0
--407.57K
--407.57K
--30.82K
--0
-Long term debt
----
----
----
----
----
----
--399.79K
--399.79K
----
----
-Long term capital lease obligation
--216.92K
--216.92K
--289.65K
--0
--0
--0
--7.78K
--7.78K
--30.82K
--0
Derivative product liabilities
188.32%4.51M
188.32%4.51M
--1.5M
--1.56M
--1.56M
----
--0
--0
--1.51M
----
Total non current liabilities
202.18%4.73M
202.18%4.73M
--1.79M
283.93%1.56M
283.93%1.56M
--0
--407.57K
--407.57K
--1.55M
--0
Total liabilities
160.76%6.05M
160.76%6.05M
1.19%3.03M
-16.84%2.32M
-16.84%2.32M
39.32%3M
-60.98%2.79M
--2.79M
--2.15M
5.69%7.15M
Shareholders'equity
Share capital
28.16%72.06K
28.16%72.06K
189.05%62.02K
162.06%56.23K
162.06%56.23K
0.00%21.46K
1,003.14%21.46K
--21.46K
--21.46K
0.00%1.95K
-common stock
28.16%72.06K
28.16%72.06K
189.05%62.02K
162.06%56.23K
162.06%56.23K
0.00%21.46K
1,003.14%21.46K
--21.46K
--21.46K
0.00%1.95K
Retained earnings
-60.00%-29.48M
-60.00%-29.48M
-35.56%-20.45M
-25.74%-18.42M
-25.74%-18.42M
-8.16%-15.09M
-12.72%-14.65M
---14.65M
---13.95M
-4.97%-13M
Paid-in capital
18.89%29.09M
18.89%29.09M
87.08%24.49M
88.41%24.47M
88.41%24.47M
1.64%13.09M
103.57%12.99M
--12.99M
--12.88M
0.00%6.38M
Total stockholders'equity
-105.10%-311.64K
-105.10%-311.64K
308.23%4.11M
471.82%6.11M
471.82%6.11M
-88.77%-1.97M
75.18%-1.64M
---1.64M
---1.04M
-10.25%-6.62M
Total equity
-105.10%-311.64K
-105.10%-311.64K
308.23%4.11M
471.82%6.11M
471.82%6.11M
-88.77%-1.97M
75.18%-1.64M
---1.64M
---1.04M
-10.25%-6.62M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
Unqualified Opinion
--
--
Unqualified Opinion
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q2)Jun 30, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q2)Jun 30, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q2)Jun 30, 2022(FY)Dec 31, 2021
Assets
Current assets
Cash, cash equivalents and short term investments -43.74%4.18M-43.74%4.18M6,126.51%5.29M8,171.61%7.43M8,171.61%7.43M-47.34%84.95K171.94%89.81K--89.81K--161.32K-77.18%33.02K
-Cash and cash equivalents -43.74%4.18M-43.74%4.18M6,126.51%5.29M8,171.61%7.43M8,171.61%7.43M-47.34%84.95K171.94%89.81K--89.81K--161.32K-77.18%33.02K
Receivables 411.99%114.56K411.99%114.56K-10.73%112K-87.84%22.38K-87.84%22.38K-36.47%125.46K165.54%184.06K--184.06K--197.47K-43.60%69.32K
-Accounts receivable 411.99%114.56K411.99%114.56K508.52%112K-87.84%22.38K-87.84%22.38K11.05%18.41K2,456.09%184.06K--184.06K--16.57K-79.88%7.2K
-Taxes receivable -------------------------------------28.70%62.12K
-Other receivables ---------------------40.82%107.05K----------180.89K----
Inventory 49.05%394.19K49.05%394.19K10.35%377.73K-13.24%264.47K-13.24%264.47K-21.99%342.29K-13.26%304.82K--304.82K--438.8K-1.88%351.42K
Prepaid assets -7.85%322.2K-7.85%322.2K--223.97K488.46%349.63K488.46%349.63K----187.81%59.42K--59.42K----19.25%20.64K
Current deferred assets -16.13%57.39K-16.13%57.39K-17.96%334.53K-76.50%68.43K-76.50%68.43K129.76%407.75K--291.13K--291.13K--177.46K--0
Other current assets -81.87%42.33K-81.87%42.33K--127.28K94.38%233.5K94.38%233.5K------120.13K--120.13K--------
Total current assets -38.93%5.11M-38.93%5.11M573.09%6.46M697.32%8.37M697.32%8.37M-1.50%960.44K121.20%1.05M--1.05M--975.05K-26.23%474.4K
Non current assets
Net PPE 806.41%526.7K806.41%526.7K839.87%604.09K-40.83%58.11K-40.83%58.11K-51.00%64.27K68.33%98.2K--98.2K--131.18K-51.36%58.34K
-Gross PPE 276.33%657.01K276.33%657.01K839.87%604.09K-11.64%174.58K-11.64%174.58K-51.00%64.27K41.91%197.59K--197.59K--131.18K-24.01%139.23K
-Accumulated depreciation -11.89%-130.32K-11.89%-130.32K-----17.19%-116.47K-17.19%-116.47K-----22.86%-99.39K---99.39K-----27.86%-80.89K
Non current prepaid assets --33.33K--33.33K------0--0--------------------
Other non current assets --68K--68K--68.6K----------------------------
Total non current assets 980.80%628.03K980.80%628.03K946.61%672.7K-40.83%58.11K-40.83%58.11K-51.00%64.27K68.33%98.2K--98.2K--131.18K-51.36%58.34K
Total assets -31.90%5.74M-31.90%5.74M596.52%7.14M634.15%8.42M634.15%8.42M-7.37%1.02M115.41%1.15M--1.15M--1.11M-30.18%532.74K
Liabilities
Current liabilities
Payables 248.35%197.45K248.35%197.45K-73.58%191.03K19.94%56.68K19.94%56.68K28.91%723.02K27.33%47.26K--47.26K--560.88K-49.07%37.12K
-accounts payable 225.05%184.25K225.05%184.25K93.39%191.03K19.94%56.68K19.94%56.68K51.27%98.78K27.33%47.26K--47.26K--65.3K-49.07%37.12K
-Other payable --13.21K--13.21K------------25.96%624.24K----------495.58K----
Current accrued expenses 48.97%719.98K48.97%719.98K--503.88K-16.74%483.31K-16.74%483.31K----39.11%580.51K--580.51K----0.14%417.3K
Current provisions 112.93%12.34K112.93%12.34K--5.79K-36.59%5.79K-36.59%5.79K-----8.64%9.14K--9.14K----0.00%10K
Current debt and capital lease obligation 2,585.44%202.56K2,585.44%202.56K-74.10%196.44K-99.52%7.54K-99.52%7.54K1,621.89%758.32K-76.55%1.56M--1.56M--44.04K7.29%6.65M
-Current debt ----------------------729.17K-77.20%1.51M--1.51M----8.05%6.64M
-Current capital lease obligation 2,585.44%202.56K2,585.44%202.56K573.85%196.44K-83.27%7.54K-83.27%7.54K-33.81%29.15K469.55%45.1K--45.1K--44.04K-84.40%7.92K
Current deferred liabilities -6.59%188.47K-6.59%188.47K--336.96K9.06%201.76K9.06%201.76K----466.48%185K--185K-----15.50%32.66K
Other current liabilities ---------99.30%10.61K----------1.51M----------------
Current liabilities 74.92%1.32M74.92%1.32M-58.46%1.24M-68.30%755.09K-68.30%755.09K395.32%3M-66.68%2.38M--2.38M--604.92K6.10%7.15M
Non current liabilities
Long term debt and capital lease obligation --216.92K--216.92K--289.65K--0--0--0--407.57K--407.57K--30.82K--0
-Long term debt --------------------------399.79K--399.79K--------
-Long term capital lease obligation --216.92K--216.92K--289.65K--0--0--0--7.78K--7.78K--30.82K--0
Derivative product liabilities 188.32%4.51M188.32%4.51M--1.5M--1.56M--1.56M------0--0--1.51M----
Total non current liabilities 202.18%4.73M202.18%4.73M--1.79M283.93%1.56M283.93%1.56M--0--407.57K--407.57K--1.55M--0
Total liabilities 160.76%6.05M160.76%6.05M1.19%3.03M-16.84%2.32M-16.84%2.32M39.32%3M-60.98%2.79M--2.79M--2.15M5.69%7.15M
Shareholders'equity
Share capital 28.16%72.06K28.16%72.06K189.05%62.02K162.06%56.23K162.06%56.23K0.00%21.46K1,003.14%21.46K--21.46K--21.46K0.00%1.95K
-common stock 28.16%72.06K28.16%72.06K189.05%62.02K162.06%56.23K162.06%56.23K0.00%21.46K1,003.14%21.46K--21.46K--21.46K0.00%1.95K
Retained earnings -60.00%-29.48M-60.00%-29.48M-35.56%-20.45M-25.74%-18.42M-25.74%-18.42M-8.16%-15.09M-12.72%-14.65M---14.65M---13.95M-4.97%-13M
Paid-in capital 18.89%29.09M18.89%29.09M87.08%24.49M88.41%24.47M88.41%24.47M1.64%13.09M103.57%12.99M--12.99M--12.88M0.00%6.38M
Total stockholders'equity -105.10%-311.64K-105.10%-311.64K308.23%4.11M471.82%6.11M471.82%6.11M-88.77%-1.97M75.18%-1.64M---1.64M---1.04M-10.25%-6.62M
Total equity -105.10%-311.64K-105.10%-311.64K308.23%4.11M471.82%6.11M471.82%6.11M-88.77%-1.97M75.18%-1.64M---1.64M---1.04M-10.25%-6.62M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions Unqualified Opinion----Unqualified Opinion----Unqualified Opinion with Explanatory Notes------
Market Insights
Fed Rate Cut Beneficiaries Fed Rate Cut Beneficiaries

Stocks that are expected to benefit from a Federal Reserve rate cut. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in Fed Rate Cut Beneficiaries, ranked from highest to lowest based on real-time market data. Stocks that are expected to benefit from a Federal Reserve rate cut. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in Fed Rate Cut Beneficiaries, ranked from highest to lowest based on real-time market data.