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DPRO Draganfly

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  • 1.920
  • -0.020-1.03%
Close May 5 16:00 ET
10.42MMarket Cap-0.60P/E (TTM)

Draganfly Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
36.96%-11.83M
34.11%-2.23M
13.83%-3.2M
37.91%-3.76M
52.95%-2.65M
-14.83%-18.77M
15.68%-3.39M
24.10%-3.72M
-53.18%-6.05M
-61.17%-5.62M
Net income from continuing operations
41.23%-13.88M
-12.74%-4.72M
96.32%-200.19K
-2.64%-7.09M
73.63%-1.86M
14.62%-23.61M
74.75%-4.19M
-1.99%-5.45M
-1,553.55%-6.91M
-13.91%-7.07M
Operating gains losses
-850.36%-1.83M
923.10%980.1K
-595,535.00%-3.57M
47,532.90%2.62M
-2,270.31%-1.86M
96.50%-192.68K
64.35%-119.08K
99.80%-600
100.09%5.51K
-106.38%-78.52K
Depreciation and amortization
5.57%577.09K
-8.22%144.59K
-3.19%142.18K
-17.84%144.38K
119.48%145.94K
-29.26%546.64K
-68.53%157.55K
61.51%146.87K
96.42%175.73K
-27.48%66.5K
Other non cash items
56.93%1.44M
-73.88%239.31K
27,556.06%365.06K
27,136.13%353.53K
38,005.80%485.85K
2,772.34%920.01K
2,612.59%916.12K
132,100.00%1.32K
-62.38%1.3K
190.11%1.28K
Change In working capital
-112.75%-102.77K
134.75%205.4K
-148.15%-328.01K
-212.33%-86.29K
-83.39%106.13K
-78.73%805.86K
-132.17%-591.06K
174.22%681.26K
-94.30%76.82K
-58.03%638.83K
-Change in receivables
-121.78%-266.42K
-80.34%94.34K
117.42%24.22K
-181.18%-387.81K
-99.30%2.83K
279.38%1.22M
359.11%479.96K
-32.42%-139.02K
212.84%477.71K
174.31%404.46K
-Change in inventory
35.47%-562.83K
-511.70%-500.24K
131.91%65.76K
49.20%-116.51K
97.88%-11.85K
-480.58%-872.27K
493.82%121.5K
-1,297.05%-206.08K
-76.03%-229.34K
-2,276.90%-558.35K
-Change in prepaid assets
-36.02%617.7K
-48.67%247.96K
31.47%-326.85K
-20.69%428.32K
-36.03%268.28K
-67.37%965.51K
-7.01%483.02K
37.06%-476.94K
-48.79%540.08K
-80.43%419.35K
-Change in payables and accrued expense
50.09%-231.81K
99.34%-11.19K
-104.35%-62.79K
92.21%-46.8K
-128.28%-111.05K
-127.95%-464.44K
-224.37%-1.7M
3,723.13%1.44M
-297.74%-600.74K
923.08%392.64K
-Change in other working capital
839.46%340.59K
1,360.99%374.52K
-148.49%-28.35K
132.92%36.5K
-118.49%-42.09K
-4,360.78%-46.06K
-84.58%25.64K
174.82%58.46K
-235.62%-110.89K
64.31%-19.27K
Cash from discontinued investing activities
Operating cash flow
36.96%-11.83M
34.11%-2.23M
13.83%-3.2M
37.91%-3.76M
52.95%-2.65M
-14.83%-18.77M
15.68%-3.39M
24.10%-3.72M
-53.18%-6.05M
-61.17%-5.62M
Investing cash flow
Cash flow from continuing investing activities
93.86%-23.31K
9.21%-72.64K
104.97%12.99K
8.18%-39.72K
1,508.52%76.05K
-149.38%-379.58K
-130.87%-80K
-417.54%-261.05K
-109.84%-43.25K
138.00%4.73K
Net PPE purchase and sale
85.72%-63.33K
-17.78%-94.23K
101.97%5.42K
27.19%-43.83K
341.96%69.3K
-543.02%-443.42K
-181.47%-80K
-1,443.62%-274.58K
-484.14%-60.19K
-130.20%-28.64K
Net intangibles purchase and sale
--0
----
----
----
----
--0
----
----
----
----
Net other investing changes
-37.31%40.02K
431,800.00%21.6K
-44.08%7.56K
-75.74%4.11K
-79.77%6.75K
-92.42%63.84K
-100.00%5
-86.47%13.53K
--16.94K
--33.37K
Cash from discontinued investing activities
Investing cash flow
93.86%-23.31K
9.21%-72.64K
104.97%12.99K
8.18%-39.72K
1,508.52%76.05K
-149.38%-379.58K
-130.87%-80K
-417.54%-261.05K
-109.84%-43.25K
138.00%4.73K
Financing cash flow
Cash flow from continuing financing activities
4.01%15.03M
11.34%4.55M
760.85%1.89M
988.98%4.75M
-65.78%3.83M
30,136.43%14.45M
15,273.95%4.09M
-618.73%-286.71K
-1,272.05%-534.69K
19,271.08%11.18M
Net issuance payments of debt
-31.44%-442.84K
-0.91%-99.65K
56.79%-89.38K
-10,947.08%-91.01K
-406.70%-162.8K
-114.56%-336.91K
-147.57%-98.76K
-418.56%-206.86K
102.15%839
16.04%-32.13K
Net common stock issuance
1.59%17.75M
8.28%5.27M
--2.72M
--4.88M
-61.31%4.88M
--17.47M
--4.87M
--0
--0
--12.61M
Proceeds from stock option exercised by employees
--373.42K
--171
--1.74K
--370.99K
--513
--0
--0
--0
--0
--0
Net other financing activities
1.27%-2.66M
8.96%-620.11K
-823.83%-737.7K
23.65%-408.89K
36.18%-889.48K
-52,423.98%-2.69M
---681.16K
---79.85K
---535.53K
-27,110.80%-1.39M
Cash from discontinued financing activities
Financing cash flow
4.01%15.03M
11.34%4.55M
760.85%1.89M
988.98%4.75M
-65.78%3.83M
30,136.43%14.45M
15,273.95%4.09M
-618.73%-286.71K
-1,272.05%-534.69K
19,271.08%11.18M
Net cash flow
Beginning cash position
-60.81%3.09M
62.70%4M
-21.28%5.29M
-67.54%4.34M
-60.81%3.09M
-65.79%7.89M
-79.04%2.46M
-58.57%6.72M
-31.71%13.37M
-65.79%7.89M
Current changes in cash
167.33%3.17M
261.11%2.25M
69.65%-1.29M
114.46%958.27K
-77.42%1.26M
69.89%-4.71M
116.46%622.76K
12.15%-4.26M
-86.78%-6.63M
261.46%5.56M
Effect of exchange rate changes
89.52%-9.94K
-56.48%5.99K
341.87%1.09K
65.75%-7.46K
88.93%-9.56K
-121.20%-94.86K
130.01%13.77K
-100.13%-449
-111.31%-21.78K
-57.35%-86.4K
End cash Position
102.11%6.25M
102.11%6.25M
62.70%4M
-21.28%5.29M
-67.54%4.34M
-60.81%3.09M
-60.81%3.09M
-79.04%2.46M
-58.57%6.72M
-31.71%13.37M
Free cash flow
37.70%-12M
32.91%-2.33M
19.16%-3.23M
37.80%-3.8M
53.49%-2.65M
-17.22%-19.26M
14.39%-3.47M
18.76%-3.99M
-54.31%-6.11M
-62.22%-5.7M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
Unqualified Opinion with Explanatory Notes
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(FY)Dec 31, 2024(Q4)Dec 31, 2024(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 36.96%-11.83M34.11%-2.23M13.83%-3.2M37.91%-3.76M52.95%-2.65M-14.83%-18.77M15.68%-3.39M24.10%-3.72M-53.18%-6.05M-61.17%-5.62M
Net income from continuing operations 41.23%-13.88M-12.74%-4.72M96.32%-200.19K-2.64%-7.09M73.63%-1.86M14.62%-23.61M74.75%-4.19M-1.99%-5.45M-1,553.55%-6.91M-13.91%-7.07M
Operating gains losses -850.36%-1.83M923.10%980.1K-595,535.00%-3.57M47,532.90%2.62M-2,270.31%-1.86M96.50%-192.68K64.35%-119.08K99.80%-600100.09%5.51K-106.38%-78.52K
Depreciation and amortization 5.57%577.09K-8.22%144.59K-3.19%142.18K-17.84%144.38K119.48%145.94K-29.26%546.64K-68.53%157.55K61.51%146.87K96.42%175.73K-27.48%66.5K
Other non cash items 56.93%1.44M-73.88%239.31K27,556.06%365.06K27,136.13%353.53K38,005.80%485.85K2,772.34%920.01K2,612.59%916.12K132,100.00%1.32K-62.38%1.3K190.11%1.28K
Change In working capital -112.75%-102.77K134.75%205.4K-148.15%-328.01K-212.33%-86.29K-83.39%106.13K-78.73%805.86K-132.17%-591.06K174.22%681.26K-94.30%76.82K-58.03%638.83K
-Change in receivables -121.78%-266.42K-80.34%94.34K117.42%24.22K-181.18%-387.81K-99.30%2.83K279.38%1.22M359.11%479.96K-32.42%-139.02K212.84%477.71K174.31%404.46K
-Change in inventory 35.47%-562.83K-511.70%-500.24K131.91%65.76K49.20%-116.51K97.88%-11.85K-480.58%-872.27K493.82%121.5K-1,297.05%-206.08K-76.03%-229.34K-2,276.90%-558.35K
-Change in prepaid assets -36.02%617.7K-48.67%247.96K31.47%-326.85K-20.69%428.32K-36.03%268.28K-67.37%965.51K-7.01%483.02K37.06%-476.94K-48.79%540.08K-80.43%419.35K
-Change in payables and accrued expense 50.09%-231.81K99.34%-11.19K-104.35%-62.79K92.21%-46.8K-128.28%-111.05K-127.95%-464.44K-224.37%-1.7M3,723.13%1.44M-297.74%-600.74K923.08%392.64K
-Change in other working capital 839.46%340.59K1,360.99%374.52K-148.49%-28.35K132.92%36.5K-118.49%-42.09K-4,360.78%-46.06K-84.58%25.64K174.82%58.46K-235.62%-110.89K64.31%-19.27K
Cash from discontinued investing activities
Operating cash flow 36.96%-11.83M34.11%-2.23M13.83%-3.2M37.91%-3.76M52.95%-2.65M-14.83%-18.77M15.68%-3.39M24.10%-3.72M-53.18%-6.05M-61.17%-5.62M
Investing cash flow
Cash flow from continuing investing activities 93.86%-23.31K9.21%-72.64K104.97%12.99K8.18%-39.72K1,508.52%76.05K-149.38%-379.58K-130.87%-80K-417.54%-261.05K-109.84%-43.25K138.00%4.73K
Net PPE purchase and sale 85.72%-63.33K-17.78%-94.23K101.97%5.42K27.19%-43.83K341.96%69.3K-543.02%-443.42K-181.47%-80K-1,443.62%-274.58K-484.14%-60.19K-130.20%-28.64K
Net intangibles purchase and sale --0------------------0----------------
Net other investing changes -37.31%40.02K431,800.00%21.6K-44.08%7.56K-75.74%4.11K-79.77%6.75K-92.42%63.84K-100.00%5-86.47%13.53K--16.94K--33.37K
Cash from discontinued investing activities
Investing cash flow 93.86%-23.31K9.21%-72.64K104.97%12.99K8.18%-39.72K1,508.52%76.05K-149.38%-379.58K-130.87%-80K-417.54%-261.05K-109.84%-43.25K138.00%4.73K
Financing cash flow
Cash flow from continuing financing activities 4.01%15.03M11.34%4.55M760.85%1.89M988.98%4.75M-65.78%3.83M30,136.43%14.45M15,273.95%4.09M-618.73%-286.71K-1,272.05%-534.69K19,271.08%11.18M
Net issuance payments of debt -31.44%-442.84K-0.91%-99.65K56.79%-89.38K-10,947.08%-91.01K-406.70%-162.8K-114.56%-336.91K-147.57%-98.76K-418.56%-206.86K102.15%83916.04%-32.13K
Net common stock issuance 1.59%17.75M8.28%5.27M--2.72M--4.88M-61.31%4.88M--17.47M--4.87M--0--0--12.61M
Proceeds from stock option exercised by employees --373.42K--171--1.74K--370.99K--513--0--0--0--0--0
Net other financing activities 1.27%-2.66M8.96%-620.11K-823.83%-737.7K23.65%-408.89K36.18%-889.48K-52,423.98%-2.69M---681.16K---79.85K---535.53K-27,110.80%-1.39M
Cash from discontinued financing activities
Financing cash flow 4.01%15.03M11.34%4.55M760.85%1.89M988.98%4.75M-65.78%3.83M30,136.43%14.45M15,273.95%4.09M-618.73%-286.71K-1,272.05%-534.69K19,271.08%11.18M
Net cash flow
Beginning cash position -60.81%3.09M62.70%4M-21.28%5.29M-67.54%4.34M-60.81%3.09M-65.79%7.89M-79.04%2.46M-58.57%6.72M-31.71%13.37M-65.79%7.89M
Current changes in cash 167.33%3.17M261.11%2.25M69.65%-1.29M114.46%958.27K-77.42%1.26M69.89%-4.71M116.46%622.76K12.15%-4.26M-86.78%-6.63M261.46%5.56M
Effect of exchange rate changes 89.52%-9.94K-56.48%5.99K341.87%1.09K65.75%-7.46K88.93%-9.56K-121.20%-94.86K130.01%13.77K-100.13%-449-111.31%-21.78K-57.35%-86.4K
End cash Position 102.11%6.25M102.11%6.25M62.70%4M-21.28%5.29M-67.54%4.34M-60.81%3.09M-60.81%3.09M-79.04%2.46M-58.57%6.72M-31.71%13.37M
Free cash flow 37.70%-12M32.91%-2.33M19.16%-3.23M37.80%-3.8M53.49%-2.65M-17.22%-19.26M14.39%-3.47M18.76%-3.99M-54.31%-6.11M-62.22%-5.7M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions Unqualified Opinion with Explanatory Notes------------------

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