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UAVS AgEagle Aerial Systems

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  • 3.5000
  • -0.4000-10.26%
Close Dec 27 16:00 ET
  • 3.4700
  • -0.0300-0.86%
Post 20:01 ET
16.69MMarket Cap-1.55P/E (TTM)

AgEagle Aerial Systems 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
(Q4)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-83.43%265.13K
-76.75%977.21K
-71.10%822.92K
-81.17%819.02K
-81.17%819.02K
-69.82%1.6M
-68.88%4.2M
-69.00%2.85M
-70.19%4.35M
-70.19%4.35M
-Cash and cash equivalents
-83.43%265.13K
-76.75%977.21K
-71.10%822.92K
-81.17%819.02K
-81.17%819.02K
-69.82%1.6M
-68.88%4.2M
-69.00%2.85M
-70.19%4.35M
-70.19%4.35M
Receivables
-1.98%2.16M
-32.74%1.54M
-56.34%1.35M
-6.48%2.24M
-6.48%2.24M
-34.58%2.2M
-42.05%2.29M
-5.91%3.1M
-21.99%2.4M
-21.99%2.4M
-Accounts receivable
7.02%2.16M
-26.83%1.54M
-53.57%1.35M
-7.03%2.06M
-7.03%2.06M
-36.59%2.02M
-44.12%2.1M
-6.26%2.91M
-23.39%2.21M
-23.39%2.21M
-Notes receivable
--0
--0
--0
0.00%185K
0.00%185K
0.00%185K
0.00%185K
0.00%185K
0.00%185K
0.00%185K
Inventory
-2.94%5.89M
-2.12%6.38M
-2.21%6.44M
3.76%6.94M
3.76%6.94M
-0.88%6.06M
15.44%6.52M
24.02%6.58M
65.55%6.69M
65.55%6.69M
Prepaid assets
-38.83%461.54K
-51.42%393.17K
-22.38%600.9K
-50.81%476.16K
-50.81%476.16K
--754.47K
--809.41K
--774.13K
--967.96K
--967.96K
Other current assets
-34.45%50.95K
-35.04%59.59K
86.05%119.74K
17.54%72.4K
17.54%72.4K
-93.57%77.72K
-95.68%91.74K
-95.51%64.36K
-95.23%61.59K
-95.23%61.59K
Total current assets
-17.55%8.82M
-32.78%9.35M
-30.17%9.33M
-27.08%10.55M
-27.08%10.55M
-33.12%10.7M
-44.85%13.91M
-30.45%13.37M
-37.10%14.46M
-37.10%14.46M
Non current assets
Net PPE
-16.79%3.41M
-16.29%3.51M
-15.71%3.78M
-8.82%4.33M
-8.82%4.33M
106.14%4.1M
84.38%4.2M
69.58%4.48M
59.61%4.74M
59.61%4.74M
-Gross PPE
-13.00%4.43M
-12.69%4.46M
-12.31%4.64M
-2.38%5.32M
-2.38%5.32M
96.02%5.09M
83.71%5.11M
74.38%5.29M
67.50%5.45M
67.50%5.45M
-Accumulated depreciation
-2.56%-1.02M
-3.89%-947.88K
-6.56%-860.91K
-41.03%-992.49K
-41.03%-992.49K
-63.15%-997.61K
-80.70%-912.38K
-106.90%-807.94K
-151.23%-703.74K
-151.23%-703.74K
Goodwill and other intangible assets
-69.13%9.54M
-70.78%9.71M
-71.03%9.86M
-71.12%10.02M
-71.12%10.02M
-59.89%30.92M
-57.23%33.25M
-56.45%34.04M
-55.77%34.69M
-55.77%34.69M
-Goodwill
-65.85%7.4M
-68.06%7.4M
-68.06%7.4M
-68.06%7.4M
-68.06%7.4M
-66.58%21.68M
-64.27%23.18M
-64.27%23.18M
-64.27%23.18M
-64.27%23.18M
-Other intangible assets
-76.83%2.14M
-77.04%2.31M
-77.37%2.46M
-77.27%2.62M
-77.27%2.62M
-24.35%9.24M
-21.82%10.07M
-18.33%10.86M
-15.17%11.51M
-15.17%11.51M
Other non current assets
-20.85%266.01K
-29.15%251.06K
-17.53%249.77K
-8.76%265.57K
-8.76%265.57K
20.11%336.09K
24.76%354.34K
7.81%302.88K
2.90%291.07K
2.90%291.07K
Total non current assets
-62.61%13.22M
-64.34%13.48M
-64.23%13.89M
-63.22%14.61M
-63.22%14.61M
-55.45%35.35M
-52.93%37.8M
-52.12%38.82M
-51.37%39.72M
-51.37%39.72M
Total assets
-52.14%22.04M
-55.85%22.83M
-55.50%23.22M
-53.57%25.16M
-53.57%25.16M
-51.70%46.05M
-51.00%51.71M
-47.97%52.19M
-48.24%54.18M
-48.24%54.18M
Liabilities
Current liabilities
Payables
71.29%4.23M
109.79%3.77M
119.54%3.22M
77.18%3.58M
77.18%3.58M
12.51%2.47M
-16.79%1.8M
-23.72%1.47M
-20.15%2.02M
-20.15%2.02M
-accounts payable
67.35%3.56M
109.33%3.15M
80.45%2.65M
65.99%3.06M
65.99%3.06M
-3.12%2.13M
-30.40%1.5M
-23.72%1.47M
-26.98%1.85M
-26.98%1.85M
-Dividends payable
95.73%671.09K
112.16%623.21K
--573.46K
196.78%512.23K
196.78%512.23K
--342.87K
--293.75K
----
--172.6K
--172.6K
Current accrued expenses
-50.01%310.75K
-56.07%304.37K
-32.10%451.24K
91.30%850.11K
91.30%850.11K
-16.46%621.6K
45.44%692.9K
-22.63%664.6K
-22.79%444.39K
-22.79%444.39K
Current provisions
10.32%308.22K
-1.97%290.22K
-0.86%286.82K
4.99%303.22K
4.99%303.22K
3.95%279.39K
7.88%296.06K
2.04%289.3K
0.94%288.81K
0.94%288.81K
Current debt and capital lease obligation
83.64%6.93M
130.59%6.57M
229.61%6.61M
325.71%5.8M
325.71%5.8M
236.83%3.77M
79.73%2.85M
23.66%2.01M
-19.31%1.36M
-19.31%1.36M
-Current debt
103.87%5.98M
177.32%5.68M
314.35%5.74M
567.18%4.9M
567.18%4.9M
670.87%2.93M
239.05%2.05M
210.66%1.38M
62.39%733.84K
62.39%733.84K
-Current capital lease obligation
13.11%950.71K
11.26%892.17K
40.64%873.34K
43.59%901.93K
43.59%901.93K
13.65%840.54K
-18.31%801.89K
-47.21%620.97K
-49.18%628.11K
-49.18%628.11K
Current deferred liabilities
161.40%861.41K
77.20%779.99K
-37.02%349.48K
-54.41%226.32K
-54.41%226.32K
-49.55%329.54K
-79.36%440.17K
-69.13%554.93K
-48.89%496.39K
-48.89%496.39K
Other current liabilities
--1
----
----
----
----
----
----
----
----
----
Current liabilities
69.59%13.36M
90.77%12.16M
115.90%11.3M
104.89%11.03M
104.89%11.03M
36.50%7.88M
-61.25%6.37M
-67.53%5.23M
-68.60%5.38M
-68.60%5.38M
Non current liabilities
Long term debt and capital lease obligation
-51.34%2.3M
-41.29%2.44M
-43.79%2.69M
-41.30%3.21M
-41.30%3.21M
319.78%4.74M
255.80%4.16M
220.14%4.79M
212.50%5.47M
212.50%5.47M
-Long term debt
-84.98%297.35K
-75.58%321.01K
-80.16%355.22K
-78.81%489.04K
-78.81%489.04K
212.05%1.98M
117.46%1.31M
123.06%1.79M
185.68%2.31M
185.68%2.31M
-Long term capital lease obligation
-27.18%2.01M
-25.44%2.12M
-22.07%2.34M
-13.92%2.72M
-13.92%2.72M
458.16%2.76M
404.06%2.84M
332.55%3M
235.49%3.16M
235.49%3.16M
Employee benefits
--139.99K
--154.73K
--177.46K
103.59%216.13K
103.59%216.13K
--0
--0
--0
-68.00%106.16K
-68.00%106.16K
Total non current liabilities
-48.38%2.44M
-37.57%2.6M
-40.09%2.87M
-38.54%3.43M
-38.54%3.43M
265.80%4.74M
-24.15%4.16M
-17.67%4.79M
-49.11%5.58M
-49.11%5.58M
Total liabilities
25.30%15.8M
40.11%14.76M
41.37%14.17M
31.91%14.46M
31.91%14.46M
78.51%12.61M
-51.98%10.53M
-54.31%10.02M
-61.00%10.96M
-61.00%10.96M
Shareholders'equity
Share capital
-85.30%17.33K
-87.36%13.84K
-88.00%10.9K
58.84%140.53K
58.84%140.53K
34.80%117.89K
32.80%109.5K
11.29%90.78K
17.47%88.47K
17.47%88.47K
-common stock
-85.31%17.32K
-87.36%13.84K
-88.00%10.89K
58.84%140.52K
58.84%140.52K
34.80%117.88K
32.81%109.49K
11.28%90.77K
17.46%88.47K
17.46%88.47K
-Preferred stock
-33.33%4
-42.86%4
-50.00%4
0.00%6
0.00%6
0.00%6
-30.00%7
--8
--6
--6
Retained earnings
-37.67%-185M
-42.52%-180.09M
-52.18%-177.15M
-48.43%-165.58M
-48.43%-165.58M
-114.70%-134.37M
-96.65%-126.35M
-98.48%-116.41M
-118.50%-111.55M
-118.50%-111.55M
Paid-in capital
14.08%191.12M
12.52%188.19M
17.60%186.25M
13.81%176.03M
13.81%176.03M
10.97%167.52M
13.25%167.25M
15.61%158.38M
21.20%154.68M
21.20%154.68M
Gains losses not affecting retained earnings
-44.66%94.16K
-125.96%-46.19K
-154.78%-57.35K
954.28%106.3K
954.28%106.3K
189.47%170.14K
110.91%177.91K
307.62%104.69K
114.28%10.08K
114.28%10.08K
Total stockholders'equity
-81.36%6.23M
-80.39%8.07M
-78.53%9.05M
-75.25%10.7M
-75.25%10.7M
-62.12%33.44M
-50.74%41.18M
-46.20%42.17M
-43.55%43.22M
-43.55%43.22M
Total equity
-81.36%6.23M
-80.39%8.07M
-78.53%9.05M
-75.25%10.7M
-75.25%10.7M
-62.12%33.44M
-50.74%41.18M
-46.20%42.17M
-43.55%43.22M
-43.55%43.22M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
(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(Q4)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -83.43%265.13K-76.75%977.21K-71.10%822.92K-81.17%819.02K-81.17%819.02K-69.82%1.6M-68.88%4.2M-69.00%2.85M-70.19%4.35M-70.19%4.35M
-Cash and cash equivalents -83.43%265.13K-76.75%977.21K-71.10%822.92K-81.17%819.02K-81.17%819.02K-69.82%1.6M-68.88%4.2M-69.00%2.85M-70.19%4.35M-70.19%4.35M
Receivables -1.98%2.16M-32.74%1.54M-56.34%1.35M-6.48%2.24M-6.48%2.24M-34.58%2.2M-42.05%2.29M-5.91%3.1M-21.99%2.4M-21.99%2.4M
-Accounts receivable 7.02%2.16M-26.83%1.54M-53.57%1.35M-7.03%2.06M-7.03%2.06M-36.59%2.02M-44.12%2.1M-6.26%2.91M-23.39%2.21M-23.39%2.21M
-Notes receivable --0--0--00.00%185K0.00%185K0.00%185K0.00%185K0.00%185K0.00%185K0.00%185K
Inventory -2.94%5.89M-2.12%6.38M-2.21%6.44M3.76%6.94M3.76%6.94M-0.88%6.06M15.44%6.52M24.02%6.58M65.55%6.69M65.55%6.69M
Prepaid assets -38.83%461.54K-51.42%393.17K-22.38%600.9K-50.81%476.16K-50.81%476.16K--754.47K--809.41K--774.13K--967.96K--967.96K
Other current assets -34.45%50.95K-35.04%59.59K86.05%119.74K17.54%72.4K17.54%72.4K-93.57%77.72K-95.68%91.74K-95.51%64.36K-95.23%61.59K-95.23%61.59K
Total current assets -17.55%8.82M-32.78%9.35M-30.17%9.33M-27.08%10.55M-27.08%10.55M-33.12%10.7M-44.85%13.91M-30.45%13.37M-37.10%14.46M-37.10%14.46M
Non current assets
Net PPE -16.79%3.41M-16.29%3.51M-15.71%3.78M-8.82%4.33M-8.82%4.33M106.14%4.1M84.38%4.2M69.58%4.48M59.61%4.74M59.61%4.74M
-Gross PPE -13.00%4.43M-12.69%4.46M-12.31%4.64M-2.38%5.32M-2.38%5.32M96.02%5.09M83.71%5.11M74.38%5.29M67.50%5.45M67.50%5.45M
-Accumulated depreciation -2.56%-1.02M-3.89%-947.88K-6.56%-860.91K-41.03%-992.49K-41.03%-992.49K-63.15%-997.61K-80.70%-912.38K-106.90%-807.94K-151.23%-703.74K-151.23%-703.74K
Goodwill and other intangible assets -69.13%9.54M-70.78%9.71M-71.03%9.86M-71.12%10.02M-71.12%10.02M-59.89%30.92M-57.23%33.25M-56.45%34.04M-55.77%34.69M-55.77%34.69M
-Goodwill -65.85%7.4M-68.06%7.4M-68.06%7.4M-68.06%7.4M-68.06%7.4M-66.58%21.68M-64.27%23.18M-64.27%23.18M-64.27%23.18M-64.27%23.18M
-Other intangible assets -76.83%2.14M-77.04%2.31M-77.37%2.46M-77.27%2.62M-77.27%2.62M-24.35%9.24M-21.82%10.07M-18.33%10.86M-15.17%11.51M-15.17%11.51M
Other non current assets -20.85%266.01K-29.15%251.06K-17.53%249.77K-8.76%265.57K-8.76%265.57K20.11%336.09K24.76%354.34K7.81%302.88K2.90%291.07K2.90%291.07K
Total non current assets -62.61%13.22M-64.34%13.48M-64.23%13.89M-63.22%14.61M-63.22%14.61M-55.45%35.35M-52.93%37.8M-52.12%38.82M-51.37%39.72M-51.37%39.72M
Total assets -52.14%22.04M-55.85%22.83M-55.50%23.22M-53.57%25.16M-53.57%25.16M-51.70%46.05M-51.00%51.71M-47.97%52.19M-48.24%54.18M-48.24%54.18M
Liabilities
Current liabilities
Payables 71.29%4.23M109.79%3.77M119.54%3.22M77.18%3.58M77.18%3.58M12.51%2.47M-16.79%1.8M-23.72%1.47M-20.15%2.02M-20.15%2.02M
-accounts payable 67.35%3.56M109.33%3.15M80.45%2.65M65.99%3.06M65.99%3.06M-3.12%2.13M-30.40%1.5M-23.72%1.47M-26.98%1.85M-26.98%1.85M
-Dividends payable 95.73%671.09K112.16%623.21K--573.46K196.78%512.23K196.78%512.23K--342.87K--293.75K------172.6K--172.6K
Current accrued expenses -50.01%310.75K-56.07%304.37K-32.10%451.24K91.30%850.11K91.30%850.11K-16.46%621.6K45.44%692.9K-22.63%664.6K-22.79%444.39K-22.79%444.39K
Current provisions 10.32%308.22K-1.97%290.22K-0.86%286.82K4.99%303.22K4.99%303.22K3.95%279.39K7.88%296.06K2.04%289.3K0.94%288.81K0.94%288.81K
Current debt and capital lease obligation 83.64%6.93M130.59%6.57M229.61%6.61M325.71%5.8M325.71%5.8M236.83%3.77M79.73%2.85M23.66%2.01M-19.31%1.36M-19.31%1.36M
-Current debt 103.87%5.98M177.32%5.68M314.35%5.74M567.18%4.9M567.18%4.9M670.87%2.93M239.05%2.05M210.66%1.38M62.39%733.84K62.39%733.84K
-Current capital lease obligation 13.11%950.71K11.26%892.17K40.64%873.34K43.59%901.93K43.59%901.93K13.65%840.54K-18.31%801.89K-47.21%620.97K-49.18%628.11K-49.18%628.11K
Current deferred liabilities 161.40%861.41K77.20%779.99K-37.02%349.48K-54.41%226.32K-54.41%226.32K-49.55%329.54K-79.36%440.17K-69.13%554.93K-48.89%496.39K-48.89%496.39K
Other current liabilities --1------------------------------------
Current liabilities 69.59%13.36M90.77%12.16M115.90%11.3M104.89%11.03M104.89%11.03M36.50%7.88M-61.25%6.37M-67.53%5.23M-68.60%5.38M-68.60%5.38M
Non current liabilities
Long term debt and capital lease obligation -51.34%2.3M-41.29%2.44M-43.79%2.69M-41.30%3.21M-41.30%3.21M319.78%4.74M255.80%4.16M220.14%4.79M212.50%5.47M212.50%5.47M
-Long term debt -84.98%297.35K-75.58%321.01K-80.16%355.22K-78.81%489.04K-78.81%489.04K212.05%1.98M117.46%1.31M123.06%1.79M185.68%2.31M185.68%2.31M
-Long term capital lease obligation -27.18%2.01M-25.44%2.12M-22.07%2.34M-13.92%2.72M-13.92%2.72M458.16%2.76M404.06%2.84M332.55%3M235.49%3.16M235.49%3.16M
Employee benefits --139.99K--154.73K--177.46K103.59%216.13K103.59%216.13K--0--0--0-68.00%106.16K-68.00%106.16K
Total non current liabilities -48.38%2.44M-37.57%2.6M-40.09%2.87M-38.54%3.43M-38.54%3.43M265.80%4.74M-24.15%4.16M-17.67%4.79M-49.11%5.58M-49.11%5.58M
Total liabilities 25.30%15.8M40.11%14.76M41.37%14.17M31.91%14.46M31.91%14.46M78.51%12.61M-51.98%10.53M-54.31%10.02M-61.00%10.96M-61.00%10.96M
Shareholders'equity
Share capital -85.30%17.33K-87.36%13.84K-88.00%10.9K58.84%140.53K58.84%140.53K34.80%117.89K32.80%109.5K11.29%90.78K17.47%88.47K17.47%88.47K
-common stock -85.31%17.32K-87.36%13.84K-88.00%10.89K58.84%140.52K58.84%140.52K34.80%117.88K32.81%109.49K11.28%90.77K17.46%88.47K17.46%88.47K
-Preferred stock -33.33%4-42.86%4-50.00%40.00%60.00%60.00%6-30.00%7--8--6--6
Retained earnings -37.67%-185M-42.52%-180.09M-52.18%-177.15M-48.43%-165.58M-48.43%-165.58M-114.70%-134.37M-96.65%-126.35M-98.48%-116.41M-118.50%-111.55M-118.50%-111.55M
Paid-in capital 14.08%191.12M12.52%188.19M17.60%186.25M13.81%176.03M13.81%176.03M10.97%167.52M13.25%167.25M15.61%158.38M21.20%154.68M21.20%154.68M
Gains losses not affecting retained earnings -44.66%94.16K-125.96%-46.19K-154.78%-57.35K954.28%106.3K954.28%106.3K189.47%170.14K110.91%177.91K307.62%104.69K114.28%10.08K114.28%10.08K
Total stockholders'equity -81.36%6.23M-80.39%8.07M-78.53%9.05M-75.25%10.7M-75.25%10.7M-62.12%33.44M-50.74%41.18M-46.20%42.17M-43.55%43.22M-43.55%43.22M
Total equity -81.36%6.23M-80.39%8.07M-78.53%9.05M-75.25%10.7M-75.25%10.7M-62.12%33.44M-50.74%41.18M-46.20%42.17M-43.55%43.22M-43.55%43.22M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--
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