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SPAI Safe Pro Group

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  • 4.460
  • +1.220+37.65%
Close Dec 13 16:00 ET
  • 4.330
  • -0.130-2.91%
Post 20:01 ET
61.37MMarket Cap-5.91P/E (TTM)

Safe Pro Group Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-227.62%-1.91M
9.37%-591.46K
-9.71%-568.02K
-285.70%-2M
-251.85K
-581.65K
-652.62K
-517.76K
1.08M
Net income from continuing operations
-442.15%-3.69M
-66.09%-1.21M
-136.83%-1.14M
-1,143.92%-6.31M
---4.42M
---679.78K
---731.49K
---482.99K
---507.64K
Depreciation and amortization
66.61%99.58K
5.23%62.38K
2.36%60.68K
126.86%239.01K
--60.69K
--59.77K
--59.28K
--59.28K
--105.36K
Other non cash items
--128.58K
5,991.86%42.64K
5,169.20%36.78K
-5.00%213.33K
----
----
--700
--698
--224.57K
Change In working capital
-2,233.37%-848.34K
274.12%68.44K
354.02%380.39K
-80.77%241.73K
--391.02K
--39.77K
---39.31K
---149.75K
--1.26M
-Change in receivables
-95.48%-180.1K
254.22%31.46K
143.99%90.49K
-103.92%-61.15K
--257.08K
---92.13K
---20.4K
---205.71K
--1.56M
-Change in inventory
79.08%-10.7K
270.66%38.07K
-159.44%-43.48K
101.71%5.08K
--5.4K
---51.16K
---22.31K
--73.15K
---297.1K
-Change in prepaid assets
-806.26%-223.68K
52.46%16.66K
-580.54%-163.11K
-16.50%88.05K
--67.86K
---24.68K
--10.93K
--33.94K
--105.45K
-Change in payables and accrued expense
-428.80%-417.63K
2,262.54%333.02K
631.47%152.97K
208.55%169.06K
--56.73K
--127.02K
--14.1K
---28.78K
---155.73K
-Change in other working capital
-109.04%-7.13K
-1,521.93%-350.77K
1,636.92%343.52K
-7.47%40.69K
--5.84K
--78.83K
---21.63K
---22.35K
--43.98K
Cash from discontinued investing activities
Operating cash flow
-227.62%-1.91M
9.37%-591.46K
-9.71%-568.02K
-285.70%-2M
---251.85K
---581.65K
---652.62K
---517.76K
--1.08M
Investing cash flow
Cash flow from continuing investing activities
89.95%-2.89K
-117.79%-30.17K
-1.42K
-28.75K
169.56K
Net PPE purchase and sale
89.95%-2.89K
----
----
-14.53%-30.17K
---1.42K
---28.75K
----
----
---26.34K
Net intangibles purchase and sale
--0
----
----
----
----
--0
----
----
----
Net business purchase and sale
----
----
----
--0
----
----
----
----
--195.9K
Cash from discontinued investing activities
Investing cash flow
89.95%-2.89K
----
----
-117.79%-30.17K
---1.42K
---28.75K
----
----
--169.56K
Financing cash flow
Cash flow from continuing financing activities
595.04%4.07M
21.28%591.31K
165.38%264.26K
95.62%985.15K
316.58K
585.19K
487.58K
-404.2K
503.61K
Net issuance payments of debt
-118.45%-110K
-72.01%110K
--275K
850.00%475K
---514.25K
--596.25K
--393K
--0
--50K
Net common stock issuance
--4.18M
----
----
-14.48%1.01M
--1.01M
--0
----
----
--1.18M
Net other financing activities
79.93%-2.22K
-108.13%-7.69K
97.34%-10.75K
31.42%-495.1K
---174.42K
---11.06K
--94.58K
---404.2K
---721.89K
Cash from discontinued financing activities
Financing cash flow
595.04%4.07M
21.28%591.31K
165.38%264.26K
95.62%985.15K
--316.58K
--585.19K
--487.58K
---404.2K
--503.61K
Net cash flow
Beginning cash position
-73.55%175.95K
-51.87%399.61K
-59.86%703.37K
--1.75M
--640.06K
--665.27K
--830.31K
--1.75M
--0
Current changes in cash
8,662.78%2.16M
-35.52%-223.65K
67.05%-303.76K
-159.86%-1.05M
--63.31K
---25.21K
---165.04K
---921.96K
--1.75M
End cash Position
264.76%2.33M
-73.55%175.95K
-51.87%399.61K
-59.86%703.37K
--703.37K
--640.06K
--665.27K
--830.31K
--1.75M
Free cash flow
-212.67%-1.91M
-24.88%-814.97K
-9.71%-568.02K
-293.21%-2.03M
---253.28K
---610.4K
---652.62K
---517.76K
--1.05M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
(Q3)Sep 30, 2024(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -227.62%-1.91M9.37%-591.46K-9.71%-568.02K-285.70%-2M-251.85K-581.65K-652.62K-517.76K1.08M
Net income from continuing operations -442.15%-3.69M-66.09%-1.21M-136.83%-1.14M-1,143.92%-6.31M---4.42M---679.78K---731.49K---482.99K---507.64K
Depreciation and amortization 66.61%99.58K5.23%62.38K2.36%60.68K126.86%239.01K--60.69K--59.77K--59.28K--59.28K--105.36K
Other non cash items --128.58K5,991.86%42.64K5,169.20%36.78K-5.00%213.33K----------700--698--224.57K
Change In working capital -2,233.37%-848.34K274.12%68.44K354.02%380.39K-80.77%241.73K--391.02K--39.77K---39.31K---149.75K--1.26M
-Change in receivables -95.48%-180.1K254.22%31.46K143.99%90.49K-103.92%-61.15K--257.08K---92.13K---20.4K---205.71K--1.56M
-Change in inventory 79.08%-10.7K270.66%38.07K-159.44%-43.48K101.71%5.08K--5.4K---51.16K---22.31K--73.15K---297.1K
-Change in prepaid assets -806.26%-223.68K52.46%16.66K-580.54%-163.11K-16.50%88.05K--67.86K---24.68K--10.93K--33.94K--105.45K
-Change in payables and accrued expense -428.80%-417.63K2,262.54%333.02K631.47%152.97K208.55%169.06K--56.73K--127.02K--14.1K---28.78K---155.73K
-Change in other working capital -109.04%-7.13K-1,521.93%-350.77K1,636.92%343.52K-7.47%40.69K--5.84K--78.83K---21.63K---22.35K--43.98K
Cash from discontinued investing activities
Operating cash flow -227.62%-1.91M9.37%-591.46K-9.71%-568.02K-285.70%-2M---251.85K---581.65K---652.62K---517.76K--1.08M
Investing cash flow
Cash flow from continuing investing activities 89.95%-2.89K-117.79%-30.17K-1.42K-28.75K169.56K
Net PPE purchase and sale 89.95%-2.89K---------14.53%-30.17K---1.42K---28.75K-----------26.34K
Net intangibles purchase and sale --0------------------0------------
Net business purchase and sale --------------0------------------195.9K
Cash from discontinued investing activities
Investing cash flow 89.95%-2.89K---------117.79%-30.17K---1.42K---28.75K----------169.56K
Financing cash flow
Cash flow from continuing financing activities 595.04%4.07M21.28%591.31K165.38%264.26K95.62%985.15K316.58K585.19K487.58K-404.2K503.61K
Net issuance payments of debt -118.45%-110K-72.01%110K--275K850.00%475K---514.25K--596.25K--393K--0--50K
Net common stock issuance --4.18M---------14.48%1.01M--1.01M--0----------1.18M
Net other financing activities 79.93%-2.22K-108.13%-7.69K97.34%-10.75K31.42%-495.1K---174.42K---11.06K--94.58K---404.2K---721.89K
Cash from discontinued financing activities
Financing cash flow 595.04%4.07M21.28%591.31K165.38%264.26K95.62%985.15K--316.58K--585.19K--487.58K---404.2K--503.61K
Net cash flow
Beginning cash position -73.55%175.95K-51.87%399.61K-59.86%703.37K--1.75M--640.06K--665.27K--830.31K--1.75M--0
Current changes in cash 8,662.78%2.16M-35.52%-223.65K67.05%-303.76K-159.86%-1.05M--63.31K---25.21K---165.04K---921.96K--1.75M
End cash Position 264.76%2.33M-73.55%175.95K-51.87%399.61K-59.86%703.37K--703.37K--640.06K--665.27K--830.31K--1.75M
Free cash flow -212.67%-1.91M-24.88%-814.97K-9.71%-568.02K-293.21%-2.03M---253.28K---610.4K---652.62K---517.76K--1.05M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSD
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