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Safe Pro Group Inc. SPAI Cash Flow Statement

Q1 '26Q4 '25Q3 '25Q2 '25Q1 '25
-$2.79M+18.6%-$3.43M+31.5%-$5.01M-162%-$1.91M+51.7%-$3.97M-186%
$78.82K+4.3%$75.57K-18.3%$92.45K-15.9%$109.94K+6.4%$103.37K-12.7%
-$1.18M+55.8%-$2.67M-67.0%-$1.6M-58.0%-$1.01M-7.3%-$941.75K+8.6%
$48.2K+112%$22.77K+355%$5K+79.4%$2.79K-84.7%$18.25K+82.5%
-$81.7K-951%-$7.77K-0.9%-$7.7K+92.5%-$102.52K+16.9%-$123.36K+41.3%
$731.08K
-$731.35K-106%$11.87M+41.9%$8.36M+705%$1.04M+15,618%$6.61K-99.2%
-$1.99M-122%$9.2M+36.1%$6.76M+9,195%-$74.32K+93.0%-$1.06M
-$1.23M+54.4%-$2.69M-67.9%-$1.6M-58.1%-$1.01M-5.6%-$960K+7.7%

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Questions, answered.

How much cash does Safe Pro Group Inc. generate?
Safe Pro Group Inc. (SPAI) generated -$6.5M in operating cash flow over the trailing twelve months.
What is Safe Pro Group Inc.'s free cash flow?
After $78.8K of capital expenditures, Safe Pro Group Inc.'s free cash flow was -$6.5M over the trailing twelve months, down 56.9% year over year.
Where does Safe Pro Group Inc.'s cash flow 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.