Safe Pro Group Inc. (SPAI)
NASDAQ: SPAI · Real-Time Price · USD
5.20
-0.11 (-2.07%)
At close: Aug 20, 2026, 4:00 PM EDT
5.10
-0.10 (-1.92%)
After-hours: Aug 20, 2026, 7:30 PM EDT

Safe Pro Group Income Statement

Millions USD. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022
Period Ending
Jun '26 Dec '25 Dec '24 Dec '23 Dec '22
2.880.612.170.921.15
Revenue Growth
92.59%-72.03%136.37%-20.24%-
Cost of Revenue
10.331.190.610.63
Gross Profit
1.880.280.970.310.52
Selling, General & Admin
14.5913.227.76.060.95
Research & Development
0.930.390.090.37-
Operating Expenses
15.8513.998.136.621.02
Operating Income
-13.97-13.71-7.15-6.31-0.5
Interest Expense
-0.01-0.01-0.31-0.01-0
Interest & Investment Income
0.390.180.0300
Other Non Operating Income (Expenses)
0.020.06---
EBT Excluding Unusual Items
-13.57-13.49-7.43-6.31-0.51
Impairment of Goodwill
-0.68-0.68---
Asset Writedown
-0.15-0.15---
Pretax Income
-14.41-14.32-7.43-6.31-0.51
Net Income
-14.41-14.32-7.43-6.31-0.51
Net Income to Common
-14.41-14.32-7.43-6.31-0.51
Net Income Growth
-----
Shares Outstanding (Basic)
20171185
Shares Outstanding (Diluted)
20171185
Shares Change
44.00%59.30%32.92%51.09%-
EPS (Basic)
-0.73-0.85-0.70-0.79-0.10
EPS (Diluted)
-0.73-0.85-0.70-0.79-0.10
EPS Growth
-----

Additional Metrics

Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022
Period Ending
Jun '26 Dec '25 Dec '24 Dec '23 Dec '22
Free Cash Flow
-8.42-6.27-4.16-2.031.05
Free Cash Flow Per Share
-0.43-0.37-0.39-0.260.20
Gross Margin
65.19%45.94%44.93%33.90%45.07%
Operating Margin
-485.01%-2260.61%-329.71%-687.24%-43.70%
Profit Margin
-499.96%-2360.84%-342.45%-688.08%-44.12%
Free Cash Flow Margin
-292.35%-1032.70%-191.74%-221.64%91.50%
EBITDA
-13.62-13.33-6.81-6.07-0.4
EBITDA Margin
-----34.55%
D&A For EBITDA
0.350.380.340.240.11
EBIT
-13.97-13.71-7.15-6.31-0.5
EBIT Margin
-----43.70%
Revenue as Reported
2.880.612.170.921.15
Advertising Expenses
-0.170.20.010.01
SEC Filings: 10-K · 10-Q