US Stock MarketDetailed Quotes

SHOTW SAFETY SHOT INC C/WTS 17/06/2025(TO PUR COM)

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  • 0.180
  • -0.020-10.00%
Close Aug 16 16:00 ET
0Market Cap0.00P/E (TTM)

SAFETY SHOT INC C/WTS 17/06/2025(TO PUR COM) Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-56.20%3.28M
-67.15%2.29M
21.57%5.33M
21.57%5.33M
15.29%7.46M
-5.28%7.49M
-23.03%6.97M
-70.08%4.39M
-70.08%4.39M
-75.89%6.47M
-Cash and cash equivalents
16.27%3.22M
-45.24%2.05M
159.44%3.83M
159.44%3.83M
23.06%4.39M
-44.55%2.77M
-39.19%3.74M
-87.43%1.48M
-87.43%1.48M
-86.72%3.57M
-Short-term investments
-98.78%57.72K
-92.49%242.61K
-48.44%1.5M
-48.44%1.5M
5.76%3.08M
62.26%4.72M
11.10%3.23M
0.05%2.91M
0.05%2.91M
--2.91M
Receivables
-77.10%162.3K
-99.40%5.15K
-99.62%5.59K
-99.62%5.59K
-99.54%3.01K
-55.95%708.85K
146.85%860.72K
113.62%1.49M
113.62%1.49M
-24.91%649.65K
-Accounts receivable
-77.10%162.3K
-99.40%5.15K
-78.88%5.59K
-78.88%5.59K
-99.54%3.01K
-55.95%708.85K
146.85%860.72K
-96.20%26.44K
-96.20%26.44K
13.60%649.65K
-Loans receivable
----
----
--0
--0
----
----
----
--1.46M
--1.46M
----
Inventory
125.21%739.43K
51.86%403.76K
426.32%795.82K
426.32%795.82K
-76.42%93.66K
-15.37%328.33K
-43.80%265.88K
-50.31%151.2K
-50.31%151.2K
-37.64%397.27K
Prepaid assets
--1.71M
--1.59M
1,162.78%1.47M
1,162.78%1.47M
----
----
----
--116.39K
--116.39K
----
Other current assets
-91.32%55.69K
-93.80%56.36K
--86.17K
--86.17K
-31.17%605.82K
-13.48%641.4K
-2.55%909.52K
----
----
1,461.33%880.15K
Total current assets
-35.13%5.95M
-51.75%4.34M
13.91%7.69M
13.91%7.69M
-2.79%8.17M
-13.87%9.17M
-16.69%9M
-58.53%6.75M
-58.53%6.75M
-70.43%8.4M
Non current assets
Net PPE
-38.42%438.51K
-32.85%461.24K
-27.16%507.3K
-27.16%507.3K
-28.30%552.44K
-10.28%712.13K
-16.55%686.86K
-23.16%696.47K
-23.16%696.47K
-18.13%770.5K
-Gross PPE
-38.42%438.51K
-32.85%461.24K
-27.16%507.3K
-27.16%507.3K
-28.30%552.44K
-10.28%712.13K
-16.55%686.86K
-23.16%696.47K
-23.16%696.47K
-18.13%770.5K
Goodwill and other intangible assets
259.84%4.31M
262.82%4.41M
--4.51M
--4.51M
60.63%2.61M
-27.23%1.2M
-26.93%1.22M
--0
--0
-22.40%1.63M
-Goodwill
--0
----
----
----
--0
0.00%941.94K
0.00%941.94K
----
----
0.00%941.94K
-Other intangible assets
1,588.56%4.31M
1,513.25%4.41M
--4.51M
--4.51M
281.58%2.61M
-63.71%255.09K
-62.10%273.31K
----
----
-40.68%684.75K
Non current prepaid assets
----
----
----
----
----
----
----
----
----
--1.29M
Other non current assets
----
----
----
----
----
----
----
--1.24M
--1.24M
----
Total non current assets
148.58%4.75M
156.06%4.87M
158.77%5.02M
158.77%5.02M
-14.09%3.17M
-48.93%1.91M
-23.49%1.9M
-25.06%1.94M
-25.06%1.94M
21.31%3.68M
Total assets
-3.47%10.69M
-15.51%9.21M
46.24%12.71M
46.24%12.71M
-6.24%11.33M
-22.98%11.08M
-17.97%10.91M
-53.94%8.69M
-53.94%8.69M
-61.57%12.09M
Liabilities
Current liabilities
Payables
-37.90%1.11M
-42.01%1.05M
-3.52%1.49M
-3.52%1.49M
195.25%1.69M
65.95%1.78M
272.18%1.82M
24.58%1.55M
24.58%1.55M
-28.62%572.3K
-accounts payable
-37.90%1.11M
-42.01%1.05M
-3.52%1.49M
-3.52%1.49M
195.25%1.69M
65.95%1.78M
272.18%1.82M
24.58%1.55M
24.58%1.55M
-28.62%572.3K
Current accrued expenses
-44.48%409.42K
-14.86%498.13K
116.51%329.6K
116.51%329.6K
7.62%318.51K
77.64%737.47K
83.09%585.04K
-5.16%152.23K
-5.16%152.23K
217.67%295.97K
Current debt and capital lease obligation
-17.34%1.86M
-17.46%1.84M
-20.25%1.76M
-20.25%1.76M
7.62%2.26M
42.10%2.25M
953.62%2.24M
1,235.17%2.21M
1,235.17%2.21M
912.85%2.1M
-Current debt
-21.04%1.62M
-21.00%1.62M
-24.35%1.55M
-24.35%1.55M
5.61%2.05M
41.80%2.05M
4,171.31%2.05M
4,206.33%2.05M
4,206.33%2.05M
2,200.29%1.94M
-Current capital lease obligation
21.39%237.43K
21.62%226.03K
30.81%214.75K
30.81%214.75K
32.87%206.02K
45.36%195.59K
13.21%185.85K
39.01%164.17K
39.01%164.17K
26.54%155.05K
Other current liabilities
----
----
----
----
----
--233.38K
----
--593.19K
--593.19K
----
Current liabilities
-32.54%3.37M
-26.75%3.4M
-20.38%3.59M
-20.38%3.59M
43.85%4.26M
62.86%5M
354.68%4.64M
187.14%4.51M
187.14%4.51M
168.99%2.96M
Non current liabilities
Long term debt and capital lease obligation
106.39%853.89K
-46.34%247.44K
-41.33%304.91K
-41.33%304.91K
-36.47%358.92K
-33.36%413.73K
-25.73%461.09K
-25.33%519.66K
-25.33%519.66K
-21.54%564.94K
-Long term debt
--664.97K
----
----
----
----
----
----
----
----
----
-Long term capital lease obligation
-54.34%188.92K
-46.34%247.44K
-41.33%304.91K
-41.33%304.91K
-36.47%358.92K
-33.36%413.73K
-25.73%461.09K
-25.33%519.66K
-25.33%519.66K
-21.54%564.94K
Total non current liabilities
106.39%853.89K
-46.34%247.44K
-41.33%304.91K
-41.33%304.91K
-36.47%358.92K
-33.36%413.73K
-25.73%461.09K
-25.33%519.66K
-25.33%519.66K
-21.54%564.94K
Total liabilities
-21.92%4.23M
-28.52%3.64M
-22.55%3.89M
-22.55%3.89M
30.99%4.62M
46.67%5.41M
210.73%5.1M
121.86%5.03M
121.86%5.03M
93.69%3.53M
Shareholders'equity
Share capital
91.55%52.02K
84.66%49.22K
104.28%45.63K
104.28%45.63K
71.75%37.21K
25.10%27.16K
20.34%26.66K
-7.10%22.34K
-7.10%22.34K
-7.20%21.66K
-common stock
91.55%52.02K
84.66%49.22K
104.28%45.63K
104.28%45.63K
71.75%37.21K
25.10%27.16K
20.34%26.66K
-7.10%22.34K
-7.10%22.34K
-7.20%21.66K
-Preferred stock
--0
--0
--0
--0
--0
--0
----
--0
--0
----
Retained earnings
-71.49%-89.63M
-56.74%-81.36M
-29.81%-65.68M
-29.81%-65.68M
-42.64%-60M
-31.53%-52.27M
-35.54%-51.91M
-43.03%-50.6M
-43.03%-50.6M
-128.26%-42.07M
Paid-in capital
66.00%95.34M
51.12%86.46M
37.13%73.73M
37.13%73.73M
30.79%65.95M
14.12%57.43M
10.50%57.21M
4.06%53.76M
4.06%53.76M
5.48%50.43M
Less: Treasury stock
----
----
----
----
----
----
----
----
----
--300.15K
Other equity interest
49.03%710.88K
-12.39%417.89K
52.04%725.23K
52.04%725.23K
52.04%725.23K
67.37%477K
67.37%477K
67.37%477K
67.37%477K
108.80%477K
Total stockholders'equity
14.13%6.47M
-4.09%5.57M
140.54%8.82M
140.54%8.82M
-21.59%6.71M
-47.01%5.67M
-50.16%5.81M
-77.92%3.67M
-77.92%3.67M
-71.12%8.56M
Total equity
14.13%6.47M
-4.09%5.57M
140.54%8.82M
140.54%8.82M
-21.59%6.71M
-47.01%5.67M
-50.16%5.81M
-77.92%3.67M
-77.92%3.67M
-71.12%8.56M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -56.20%3.28M-67.15%2.29M21.57%5.33M21.57%5.33M15.29%7.46M-5.28%7.49M-23.03%6.97M-70.08%4.39M-70.08%4.39M-75.89%6.47M
-Cash and cash equivalents 16.27%3.22M-45.24%2.05M159.44%3.83M159.44%3.83M23.06%4.39M-44.55%2.77M-39.19%3.74M-87.43%1.48M-87.43%1.48M-86.72%3.57M
-Short-term investments -98.78%57.72K-92.49%242.61K-48.44%1.5M-48.44%1.5M5.76%3.08M62.26%4.72M11.10%3.23M0.05%2.91M0.05%2.91M--2.91M
Receivables -77.10%162.3K-99.40%5.15K-99.62%5.59K-99.62%5.59K-99.54%3.01K-55.95%708.85K146.85%860.72K113.62%1.49M113.62%1.49M-24.91%649.65K
-Accounts receivable -77.10%162.3K-99.40%5.15K-78.88%5.59K-78.88%5.59K-99.54%3.01K-55.95%708.85K146.85%860.72K-96.20%26.44K-96.20%26.44K13.60%649.65K
-Loans receivable ----------0--0--------------1.46M--1.46M----
Inventory 125.21%739.43K51.86%403.76K426.32%795.82K426.32%795.82K-76.42%93.66K-15.37%328.33K-43.80%265.88K-50.31%151.2K-50.31%151.2K-37.64%397.27K
Prepaid assets --1.71M--1.59M1,162.78%1.47M1,162.78%1.47M--------------116.39K--116.39K----
Other current assets -91.32%55.69K-93.80%56.36K--86.17K--86.17K-31.17%605.82K-13.48%641.4K-2.55%909.52K--------1,461.33%880.15K
Total current assets -35.13%5.95M-51.75%4.34M13.91%7.69M13.91%7.69M-2.79%8.17M-13.87%9.17M-16.69%9M-58.53%6.75M-58.53%6.75M-70.43%8.4M
Non current assets
Net PPE -38.42%438.51K-32.85%461.24K-27.16%507.3K-27.16%507.3K-28.30%552.44K-10.28%712.13K-16.55%686.86K-23.16%696.47K-23.16%696.47K-18.13%770.5K
-Gross PPE -38.42%438.51K-32.85%461.24K-27.16%507.3K-27.16%507.3K-28.30%552.44K-10.28%712.13K-16.55%686.86K-23.16%696.47K-23.16%696.47K-18.13%770.5K
Goodwill and other intangible assets 259.84%4.31M262.82%4.41M--4.51M--4.51M60.63%2.61M-27.23%1.2M-26.93%1.22M--0--0-22.40%1.63M
-Goodwill --0--------------00.00%941.94K0.00%941.94K--------0.00%941.94K
-Other intangible assets 1,588.56%4.31M1,513.25%4.41M--4.51M--4.51M281.58%2.61M-63.71%255.09K-62.10%273.31K---------40.68%684.75K
Non current prepaid assets --------------------------------------1.29M
Other non current assets ------------------------------1.24M--1.24M----
Total non current assets 148.58%4.75M156.06%4.87M158.77%5.02M158.77%5.02M-14.09%3.17M-48.93%1.91M-23.49%1.9M-25.06%1.94M-25.06%1.94M21.31%3.68M
Total assets -3.47%10.69M-15.51%9.21M46.24%12.71M46.24%12.71M-6.24%11.33M-22.98%11.08M-17.97%10.91M-53.94%8.69M-53.94%8.69M-61.57%12.09M
Liabilities
Current liabilities
Payables -37.90%1.11M-42.01%1.05M-3.52%1.49M-3.52%1.49M195.25%1.69M65.95%1.78M272.18%1.82M24.58%1.55M24.58%1.55M-28.62%572.3K
-accounts payable -37.90%1.11M-42.01%1.05M-3.52%1.49M-3.52%1.49M195.25%1.69M65.95%1.78M272.18%1.82M24.58%1.55M24.58%1.55M-28.62%572.3K
Current accrued expenses -44.48%409.42K-14.86%498.13K116.51%329.6K116.51%329.6K7.62%318.51K77.64%737.47K83.09%585.04K-5.16%152.23K-5.16%152.23K217.67%295.97K
Current debt and capital lease obligation -17.34%1.86M-17.46%1.84M-20.25%1.76M-20.25%1.76M7.62%2.26M42.10%2.25M953.62%2.24M1,235.17%2.21M1,235.17%2.21M912.85%2.1M
-Current debt -21.04%1.62M-21.00%1.62M-24.35%1.55M-24.35%1.55M5.61%2.05M41.80%2.05M4,171.31%2.05M4,206.33%2.05M4,206.33%2.05M2,200.29%1.94M
-Current capital lease obligation 21.39%237.43K21.62%226.03K30.81%214.75K30.81%214.75K32.87%206.02K45.36%195.59K13.21%185.85K39.01%164.17K39.01%164.17K26.54%155.05K
Other current liabilities ----------------------233.38K------593.19K--593.19K----
Current liabilities -32.54%3.37M-26.75%3.4M-20.38%3.59M-20.38%3.59M43.85%4.26M62.86%5M354.68%4.64M187.14%4.51M187.14%4.51M168.99%2.96M
Non current liabilities
Long term debt and capital lease obligation 106.39%853.89K-46.34%247.44K-41.33%304.91K-41.33%304.91K-36.47%358.92K-33.36%413.73K-25.73%461.09K-25.33%519.66K-25.33%519.66K-21.54%564.94K
-Long term debt --664.97K------------------------------------
-Long term capital lease obligation -54.34%188.92K-46.34%247.44K-41.33%304.91K-41.33%304.91K-36.47%358.92K-33.36%413.73K-25.73%461.09K-25.33%519.66K-25.33%519.66K-21.54%564.94K
Total non current liabilities 106.39%853.89K-46.34%247.44K-41.33%304.91K-41.33%304.91K-36.47%358.92K-33.36%413.73K-25.73%461.09K-25.33%519.66K-25.33%519.66K-21.54%564.94K
Total liabilities -21.92%4.23M-28.52%3.64M-22.55%3.89M-22.55%3.89M30.99%4.62M46.67%5.41M210.73%5.1M121.86%5.03M121.86%5.03M93.69%3.53M
Shareholders'equity
Share capital 91.55%52.02K84.66%49.22K104.28%45.63K104.28%45.63K71.75%37.21K25.10%27.16K20.34%26.66K-7.10%22.34K-7.10%22.34K-7.20%21.66K
-common stock 91.55%52.02K84.66%49.22K104.28%45.63K104.28%45.63K71.75%37.21K25.10%27.16K20.34%26.66K-7.10%22.34K-7.10%22.34K-7.20%21.66K
-Preferred stock --0--0--0--0--0--0------0--0----
Retained earnings -71.49%-89.63M-56.74%-81.36M-29.81%-65.68M-29.81%-65.68M-42.64%-60M-31.53%-52.27M-35.54%-51.91M-43.03%-50.6M-43.03%-50.6M-128.26%-42.07M
Paid-in capital 66.00%95.34M51.12%86.46M37.13%73.73M37.13%73.73M30.79%65.95M14.12%57.43M10.50%57.21M4.06%53.76M4.06%53.76M5.48%50.43M
Less: Treasury stock --------------------------------------300.15K
Other equity interest 49.03%710.88K-12.39%417.89K52.04%725.23K52.04%725.23K52.04%725.23K67.37%477K67.37%477K67.37%477K67.37%477K108.80%477K
Total stockholders'equity 14.13%6.47M-4.09%5.57M140.54%8.82M140.54%8.82M-21.59%6.71M-47.01%5.67M-50.16%5.81M-77.92%3.67M-77.92%3.67M-71.12%8.56M
Total equity 14.13%6.47M-4.09%5.57M140.54%8.82M140.54%8.82M-21.59%6.71M-47.01%5.67M-50.16%5.81M-77.92%3.67M-77.92%3.67M-71.12%8.56M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes----

Analysis

Analyst Rating

No Data

Price Target

No Data

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