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SPAISafe Pro Group Inc. Common Stock$ --
Safe Pro Group Inc. Common Stock

Safe Pro Group Inc. Common Stock

SPAI

$ -

-

Review operating, investing, and financing cash flow trends alongside detailed breakdowns.

account_balanceCash Flow (CF) Summary

No cash flow data available

Cash Flow Trend (5 Years)

Investing CF
Operating CF
Financing CF
5.8M0
-4.1M
2022
2023
5.8M
-436,389
-4.1M
2024

analyticsInvestment Efficiency Analysis

Operating CF vs Investing CF

Operating CF
Investing CF
10M5M0-5M-10M
202220232024

waterfall_chartCash Flow Bridge (FY2024 Full Year)

Beginning / Ending
Increase
Decrease
4M2M0-2M-4M-6M
703,368
Beginning Cash
-4.1M
Operating CF
-436,389
Investing CF
5.8M
Financing CF
0
Other
2M
Ending Cash

Cash Flow Details

Item
2022
2023
2024
Net Income from Continuing Operations
Depreciation and Amortization
Depreciation and Amortization
Stock-based Compensation
Other Non-cash Items
Adjustments to Net Income
Other Operating Activity
Change in Working Capital
Change in Account Receivables
Change in Trade Receivables
Change in Inventory
Change in Payables and Accrued Expenses
Other Working Capital Changes
Cash Flow from Operating Activities
-7.43M
341,083
341,083
2.85M
440,198
440,198
440,198
-300,902
39,643
39,643
17,098
-49,269
-308,374
-4.10M
Net Fixed Asset Activity
Net Investment Securities Activity
Other Investing Activity
Cash Flow from Investing Activities
-436,389
0
-372,588
-436,389
Net Borrowings
Net Issuance / Repurchase of Stock
Issuance of Capital Stock
Total Dividends Paid
Net Dividends Paid
Treasury / Other Financing Activity
Cash Flow from Financing Activities
275,000
4.67M
4.67M
0
0
855,670
5.80M
Beginning Cash and Cash Equivalents
Net Change in Cash and Cash Equivalents
Net Change in Cash and Cash Equivalents
Exchange Rate Changes
Ending Cash and Cash Equivalents
Free Cash Flow
703,368
1.27M
1.27M
0
1.97M
-4.53M

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