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Safe Pro Group Inc. SPAI Balance Sheet Statement

FY'25FY'24FY'23
$16.79M+752%$1.97M+180%$703.37K-59.9%
$194.77K-34.2%$296.04K
$1.73M+53.6%$1.13M
$290.87K+12.0%$259.66K+2.3%$253.74K
$305.97K+408%$60.23K-35.6%$93.53K
$18.18K-18.0%$22.17K+86.5%$11.89K
$420.31K+34.0%$313.66K+553%$48.05K
$17.93M+552%$2.75M+116%$1.27M
$283.09K-10.1%$314.88K-1.9%$320.93K
$238.48K+51.1%$157.88K+79.3%$88.03K
4.6%0.0%4.6%+0.1%4.5%
$834.46K-23.3%$1.09M+10.3%$987.29K
$1.97M+15.9%$1.7M
$1.19M-46.1%$2.2M+22,347%$9.8K
$19.11M+286%$4.95M+44.3%$3.43M
$1.12M+97.1%$566.76K
$437.36K+279%$115.34K-43.3%$203.45K
$18.9K-77.4%$83.77K-1.1%$84.67K
$2.54K
$55.16K-12.6%$63.12K-7.9%$68.52K
$1.25M+39.9%$893.93K-36.9%$1.42M
$12.22K+2.6%$11.91K
$146K0.0%$146K
$947-97.3%$35.59K-60.9%$91.11K
$56.11K-43.2%$98.71K-38.2%$159.63K
$146K0.0%$146K0.0%$146K
$146.95K-19.1%$181.59K-23.4%$237.11K
$1.4M+30.0%$1.08M-35.0%$1.65M
200M0.0%200M0.0%200M
$46.96M+159%$18.12M+111%$8.6M
-$28.57M-101%-$14.25M-109%-$6.82M
$676.03K
$17.72M+357%$3.87M+118%$1.78M-31.2%
$19.11M+286%$4.95M+44.3%$3.43M
$142.53K0.0%$142.53K0.0%$142.53K
$290.87K+12.0%$259.66K+2.3%$253.74K
$142.53K0.0%$142.53K0.0%$142.53K
$9.8K0.0%$9.8K0.0%$9.8K
$165.7K-21.6%$211.45K
$1.81M+11.9%$1.62M+30.0%$1.24M
$86.91K
$59.01K-41.9%$101.62K-33.8%$153.4K
$19.24M+197%$6.48M
$834.46K-23.3%$1.09M+10.3%$987.29K
$834.46K-23.3%$1.09M+10.3%$987.29K
$59.01K-41.9%$101.62K-33.8%$153.4K
$1.19M-46.1%$2.2M
$521.57K+10.3%$472.76K+15.6%$408.96K
$59.01K-41.9%$101.62K-33.8%$153.4K
$7.2M+103%$3.54M+380%$738.65K
$278.12K+208%$90.26K-36.3%$141.66K
$278.12K+208%$90.26K-36.3%$141.66K
$437.36K+3.7%$421.62K+4.0%$405.55K
$947-97.3%$35.1K
$947-97.3%$35.1K
$56.96K-9.7%$63.12K
$57.91K-41.7%$99.4K
$1.8K+162%$688
$3.34K+3.8%$3.22K
$3.65M+30.2%$2.81M
$204.64K-16.4%$244.71K+53.3%$159.63K
$0.000.0%$0.000.0%$0.00
20.9M+43.8%14.5M+66.4%8.7M
10M0.0%10M0.0%10M
$2.09K+43.8%$1.45K+66.4%$873
$0.000.0%$0.000.0%$0.00
2.1M+1,601%125.5K-79.5%611K
$6.00+20.0%$5.00+56.2%$3.200.0%
51.2K
$521.57K+10.3%$472.76K+15.6%$408.96K
$0$0-100%$338.74K
$250K0.0%$250K
$00.0%$00.0%$0
$200M0.0%$200M0.0%$200M
$20.9M+43.8%$14.53M+66.4%$8.73M
$20.74M+42.7%$14.53M+66.4%$8.73M
$183.56K+236%$54.69K
$133K
$7.21M+102%$3.57M+383%$738.65K
$4.87M+195%$1.65M+124%$738.65K
$14.22K-43.2%$25.02K
$1.97M+15.9%$1.7M
$40.53M+6.4%$38.11M
-$10.93K-2,260%$506
$7.2M+103%$3.54M+380%$738.65K
$14.96K-41.9%$25.76K
$14.96K-41.9%$25.76K
$12.22K+2.6%$11.91K
-$974.3K-84.7%-$527.57K-106%-$256.33K
$222.92K-22.9%$289.12K
$222.92K-32.0%$327.79K
$222.92K-14.4%$260.29K
$1.81M+11.9%$1.62M+30.0%$1.24M
$57.91K-41.7%$99.4K
$1.8K+162%$688
$3.22K+27.0%$2.54K
$3.34K+3.8%$3.22K
$3.6K+3.8%$3.47K
$3.47K+3.8%$3.34K
$129.83K
$2.54K
$146K0.0%$146K0.0%$146K
$146K0.0%$146K0.0%$146K
-$271.17K-38.7%-$195.48K-109%-$93.37K
$0.050.0%$0.05+2.2%$0.05
$19.24M+197%$6.48M
$433.41K
$00.0%$00.0%$0
$10M0.0%$10M0.0%$10M
$7.00$3.200.0%
$2.14M+1,601%$125.53K-79.5%$611.02K
$5.88+43.8%$4.09+309%$1.00
$5.88+43.8%$4.09
2.1M
$6+20.0%$5+56.2%$3.20.0%
$114.42K
$114.42K+25.8%$90.95K-84.2%$574.36K
$162.45K$0
$16.68M+798%$1.86M

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Questions, answered.

What are Safe Pro Group Inc.'s total assets?
Safe Pro Group Inc. (SPAI) holds $16.7M in total assets, up 354.0% year over year.
How much debt does Safe Pro Group Inc. have?
Safe Pro Group Inc. carries $185.1K in total debt against $15.4M of shareholders' equity, a debt-to-equity ratio of 0.01.
How much cash does Safe Pro Group Inc. have?
Safe Pro Group Inc. holds $14.8M in cash and equivalents.
Can Safe Pro Group Inc. cover its short-term obligations?
Its current ratio is 13.28 — current assets exceed current liabilities.
Where does Safe Pro Group Inc.'s balance sheet data come from?
Every line is extracted from Safe Pro Group Inc.'s SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.