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DPRO Draganfly

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  • 0.2739
  • +0.0097+3.67%
Trading May 21 09:39 ET
19.54MMarket Cap-957P/E (TTM)

Draganfly Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-67.54%4.34M
-60.81%3.09M
-60.81%3.09M
-79.04%2.46M
-58.57%6.72M
-31.71%13.37M
-65.79%7.89M
-65.79%7.89M
-58.08%11.72M
-6.15%16.22M
-Cash and cash equivalents
-67.54%4.34M
-60.81%3.09M
-60.81%3.09M
-79.04%2.46M
-58.57%6.72M
-31.71%13.37M
-65.79%7.89M
-65.79%7.89M
-58.08%11.72M
-6.15%16.22M
Receivables
-69.74%490.58K
-71.23%649.61K
-71.23%649.61K
-51.50%1.15M
-51.75%1.12M
-44.46%1.62M
41.38%2.26M
41.38%2.26M
-16.91%2.37M
98.43%2.33M
-Accounts receivable
-66.62%490.58K
-54.57%610.44K
-54.57%610.44K
-28.72%1.05M
-21.12%972.71K
0.75%1.47M
41.26%1.34M
41.26%1.34M
67.86%1.47M
71.33%1.23M
-Notes receivable
----
--0
--0
--0
-78.19%115.85K
-86.02%135.33K
-10.97%169.3K
-10.97%169.3K
-73.18%461.72K
16.90%531.16K
-Taxes receivable
----
-94.74%39.17K
-94.74%39.17K
-77.42%97.2K
-93.71%35.58K
-96.65%16.5K
63.48%745.17K
63.48%745.17K
74.03%430.5K
--565.55K
Inventory
-5.05%1.46M
51.20%1.6M
51.20%1.6M
-47.54%1.84M
-52.97%1.64M
-54.32%1.54M
-68.86%1.06M
-68.86%1.06M
7.88%3.51M
123.41%3.5M
Prepaid assets
-43.13%1.07M
-41.84%1.34M
-41.84%1.34M
-40.27%1.83M
-41.33%1.35M
-43.67%1.89M
-58.00%2.31M
-58.00%2.31M
-40.57%3.06M
69.53%2.3M
Total current assets
-60.01%7.36M
-50.57%6.68M
-50.57%6.68M
-64.80%7.27M
-55.48%10.84M
-36.96%18.42M
-59.72%13.52M
-59.72%13.52M
-47.32%20.66M
13.87%24.35M
Non current assets
Net PPE
66.97%1.24M
87.14%1.4M
87.14%1.4M
125.79%1.51M
97.41%1.37M
1.55%741.78K
-2.05%749.44K
-2.05%749.44K
21.31%667.6K
24.34%695.89K
-Gross PPE
14.40%1.89M
66.37%2.74M
66.37%2.74M
89.49%2.11M
77.00%1.94M
52.03%1.65M
43.41%1.65M
43.41%1.65M
25.76%1.11M
29.57%1.09M
-Accumulated depreciation
28.61%-647.14K
-49.06%-1.34M
-49.06%-1.34M
-34.99%-600.22K
-41.38%-563.46K
-156.28%-906.47K
-133.78%-899.83K
-133.78%-899.83K
-33.09%-444.64K
-39.84%-398.56K
Goodwill and other intangible assets
-68.62%53.61K
-68.62%56.43K
-68.62%56.43K
-97.73%152.83K
-97.52%161.82K
-97.34%170.81K
-97.25%179.8K
-97.25%179.8K
-66.66%6.73M
-67.63%6.51M
-Goodwill
----
----
----
--0
--0
--0
----
----
-64.66%6.25M
-66.07%6M
-Other intangible assets
-68.62%53.61K
-68.62%56.43K
-68.62%56.43K
-68.32%152.83K
-68.26%161.82K
-68.63%170.81K
103.36%179.8K
103.36%179.8K
-80.75%482.38K
-78.98%509.92K
Investments and advances
-28.55%178.36K
-1.65%189.4K
-1.65%189.4K
-7.25%206.63K
25.70%289.54K
-1.54%249.62K
-33.84%192.58K
-33.84%192.58K
-26.09%222.79K
-36.52%230.34K
Long-term notes receivables
----
----
----
----
----
----
----
----
--1.08M
--1M
Non current accounts receivable
--156.2K
----
----
----
----
----
----
----
----
----
Total non current assets
39.96%1.63M
46.93%1.65M
46.93%1.65M
-78.54%1.87M
-78.39%1.83M
-86.13%1.16M
-86.89%1.12M
-86.89%1.12M
-58.64%8.7M
-59.88%8.44M
Total assets
-54.08%8.99M
-43.09%8.33M
-43.09%8.33M
-68.87%9.14M
-61.38%12.66M
-47.92%19.58M
-65.24%14.64M
-65.24%14.64M
-51.27%29.36M
-22.71%32.79M
Liabilities
Current liabilities
Payables
-20.15%1.19M
64.73%1.29M
64.73%1.29M
80.24%1.06M
-37.47%379.78K
232.41%1.49M
97.97%785.13K
97.97%785.13K
-46.96%588.62K
-35.95%607.32K
-accounts payable
-20.61%1.16M
67.63%1.26M
67.63%1.26M
85.11%1.03M
-39.67%346.08K
251.25%1.46M
107.07%751.42K
107.07%751.42K
-40.56%554.91K
-29.40%573.61K
-Other payable
0.00%33.71K
0.00%33.71K
0.00%33.71K
0.00%33.71K
0.00%33.71K
0.00%33.71K
0.00%33.71K
0.00%33.71K
0.00%33.71K
0.00%33.71K
Current accrued expenses
-29.79%1.2M
-33.76%1.35M
-33.76%1.35M
222.37%2.99M
322.45%2.23M
681.20%1.71M
404.68%2.03M
404.68%2.03M
178.96%926.81K
9.61%526.84K
Current debt and capital lease obligation
67.10%320.3K
107.48%447.06K
107.48%447.06K
261.68%451.46K
390.96%577.97K
57.10%191.69K
83.81%215.47K
83.81%215.47K
19.04%124.82K
1.27%117.72K
-Current debt
-95.93%3.37K
4.35%85.06K
4.35%85.06K
1,166.18%85.4K
1,146.63%84.09K
1,127.38%82.79K
1,108.48%81.51K
1,108.48%81.51K
0.00%6.75K
0.00%6.75K
-Current capital lease obligation
191.03%316.93K
170.23%362K
170.23%362K
210.01%366.05K
345.03%493.89K
-5.53%108.9K
21.25%133.96K
21.25%133.96K
20.35%118.08K
1.35%110.98K
Current deferred liabilities
-67.04%78.83K
-54.80%116.83K
-54.80%116.83K
-15.09%104.62K
-31.13%128.29K
16.56%239.18K
5.31%258.45K
5.31%258.45K
-52.58%123.21K
-58.27%186.28K
Other current liabilities
--4.03M
7,221.29%4.2M
7,221.29%4.2M
----
----
----
-98.97%57.31K
-98.97%57.31K
-97.68%391.33K
-98.51%696.42K
Current liabilities
87.65%6.83M
121.00%7.4M
121.00%7.4M
113.70%4.6M
55.14%3.31M
-53.26%3.64M
-50.19%3.35M
-50.19%3.35M
-88.48%2.15M
-95.61%2.13M
Non current liabilities
Long term debt and capital lease obligation
61.08%390.91K
71.39%428.02K
71.39%428.02K
40.60%523.95K
46.50%602.53K
-44.13%242.67K
-46.32%249.74K
-46.32%249.74K
47.77%372.67K
52.40%411.28K
-Long term debt
----
----
----
----
-98.03%1.69K
-96.09%3.37K
-94.16%5.06K
-94.16%5.06K
-4.80%82.83K
-1.93%85.77K
-Long term capital lease obligation
63.36%390.91K
74.93%428.02K
74.93%428.02K
80.78%523.95K
84.59%600.84K
-31.27%239.3K
-35.38%244.68K
-35.38%244.68K
75.47%289.84K
78.45%325.51K
Non current deferred liabilities
--91.46K
--95.56K
--95.56K
--82.13K
----
----
--0
--0
----
----
Total non current liabilities
98.77%482.37K
109.65%523.58K
109.65%523.58K
62.64%606.09K
46.50%602.53K
-44.13%242.67K
-46.32%249.74K
-46.32%249.74K
46.99%372.67K
48.16%411.28K
Total liabilities
88.34%7.31M
120.22%7.92M
120.22%7.92M
106.17%5.21M
53.75%3.91M
-52.78%3.88M
-49.94%3.6M
-49.94%3.6M
-86.66%2.53M
-94.79%2.55M
Shareholders'equity
Share capital
5.42%100.02M
16.11%97.07M
16.11%97.07M
16.35%95.52M
16.74%94.82M
16.91%94.88M
3.16%83.6M
3.16%83.6M
-16.68%82.1M
6.86%81.23M
-common stock
5.42%100.02M
16.11%97.07M
16.11%97.07M
16.35%95.52M
16.74%94.82M
16.91%94.88M
3.16%83.6M
3.16%83.6M
-16.68%82.1M
6.86%81.23M
Retained earnings
-21.15%-105.45M
-29.52%-103.59M
-29.52%-103.59M
-56.80%-99.4M
-61.85%-93.95M
-48.73%-87.04M
-52.85%-79.98M
-52.85%-79.98M
2.64%-63.39M
34.78%-58.05M
Gains losses not affecting retained earnings
-72.22%34.35K
-64.08%54.96K
-64.08%54.96K
-74.50%58.42K
218.93%141.78K
143.50%123.63K
178.04%153K
178.04%153K
-97.09%229.07K
-101.82%-119.21K
Other equity interest
-8.58%7.07M
-5.43%6.87M
-5.43%6.87M
-1.86%7.75M
7.64%7.74M
10.13%7.74M
13.40%7.26M
13.40%7.26M
--7.9M
--7.19M
Total stockholders'equity
-89.31%1.68M
-96.31%407.72K
-96.31%407.72K
-85.36%3.93M
-71.07%8.75M
-46.56%15.7M
-68.39%11.04M
-68.39%11.04M
-35.02%26.83M
570.12%30.24M
Total equity
-89.31%1.68M
-96.31%407.72K
-96.31%407.72K
-85.36%3.93M
-71.07%8.75M
-46.56%15.7M
-68.39%11.04M
-68.39%11.04M
-35.02%26.83M
570.12%30.24M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -67.54%4.34M-60.81%3.09M-60.81%3.09M-79.04%2.46M-58.57%6.72M-31.71%13.37M-65.79%7.89M-65.79%7.89M-58.08%11.72M-6.15%16.22M
-Cash and cash equivalents -67.54%4.34M-60.81%3.09M-60.81%3.09M-79.04%2.46M-58.57%6.72M-31.71%13.37M-65.79%7.89M-65.79%7.89M-58.08%11.72M-6.15%16.22M
Receivables -69.74%490.58K-71.23%649.61K-71.23%649.61K-51.50%1.15M-51.75%1.12M-44.46%1.62M41.38%2.26M41.38%2.26M-16.91%2.37M98.43%2.33M
-Accounts receivable -66.62%490.58K-54.57%610.44K-54.57%610.44K-28.72%1.05M-21.12%972.71K0.75%1.47M41.26%1.34M41.26%1.34M67.86%1.47M71.33%1.23M
-Notes receivable ------0--0--0-78.19%115.85K-86.02%135.33K-10.97%169.3K-10.97%169.3K-73.18%461.72K16.90%531.16K
-Taxes receivable -----94.74%39.17K-94.74%39.17K-77.42%97.2K-93.71%35.58K-96.65%16.5K63.48%745.17K63.48%745.17K74.03%430.5K--565.55K
Inventory -5.05%1.46M51.20%1.6M51.20%1.6M-47.54%1.84M-52.97%1.64M-54.32%1.54M-68.86%1.06M-68.86%1.06M7.88%3.51M123.41%3.5M
Prepaid assets -43.13%1.07M-41.84%1.34M-41.84%1.34M-40.27%1.83M-41.33%1.35M-43.67%1.89M-58.00%2.31M-58.00%2.31M-40.57%3.06M69.53%2.3M
Total current assets -60.01%7.36M-50.57%6.68M-50.57%6.68M-64.80%7.27M-55.48%10.84M-36.96%18.42M-59.72%13.52M-59.72%13.52M-47.32%20.66M13.87%24.35M
Non current assets
Net PPE 66.97%1.24M87.14%1.4M87.14%1.4M125.79%1.51M97.41%1.37M1.55%741.78K-2.05%749.44K-2.05%749.44K21.31%667.6K24.34%695.89K
-Gross PPE 14.40%1.89M66.37%2.74M66.37%2.74M89.49%2.11M77.00%1.94M52.03%1.65M43.41%1.65M43.41%1.65M25.76%1.11M29.57%1.09M
-Accumulated depreciation 28.61%-647.14K-49.06%-1.34M-49.06%-1.34M-34.99%-600.22K-41.38%-563.46K-156.28%-906.47K-133.78%-899.83K-133.78%-899.83K-33.09%-444.64K-39.84%-398.56K
Goodwill and other intangible assets -68.62%53.61K-68.62%56.43K-68.62%56.43K-97.73%152.83K-97.52%161.82K-97.34%170.81K-97.25%179.8K-97.25%179.8K-66.66%6.73M-67.63%6.51M
-Goodwill --------------0--0--0---------64.66%6.25M-66.07%6M
-Other intangible assets -68.62%53.61K-68.62%56.43K-68.62%56.43K-68.32%152.83K-68.26%161.82K-68.63%170.81K103.36%179.8K103.36%179.8K-80.75%482.38K-78.98%509.92K
Investments and advances -28.55%178.36K-1.65%189.4K-1.65%189.4K-7.25%206.63K25.70%289.54K-1.54%249.62K-33.84%192.58K-33.84%192.58K-26.09%222.79K-36.52%230.34K
Long-term notes receivables ----------------------------------1.08M--1M
Non current accounts receivable --156.2K------------------------------------
Total non current assets 39.96%1.63M46.93%1.65M46.93%1.65M-78.54%1.87M-78.39%1.83M-86.13%1.16M-86.89%1.12M-86.89%1.12M-58.64%8.7M-59.88%8.44M
Total assets -54.08%8.99M-43.09%8.33M-43.09%8.33M-68.87%9.14M-61.38%12.66M-47.92%19.58M-65.24%14.64M-65.24%14.64M-51.27%29.36M-22.71%32.79M
Liabilities
Current liabilities
Payables -20.15%1.19M64.73%1.29M64.73%1.29M80.24%1.06M-37.47%379.78K232.41%1.49M97.97%785.13K97.97%785.13K-46.96%588.62K-35.95%607.32K
-accounts payable -20.61%1.16M67.63%1.26M67.63%1.26M85.11%1.03M-39.67%346.08K251.25%1.46M107.07%751.42K107.07%751.42K-40.56%554.91K-29.40%573.61K
-Other payable 0.00%33.71K0.00%33.71K0.00%33.71K0.00%33.71K0.00%33.71K0.00%33.71K0.00%33.71K0.00%33.71K0.00%33.71K0.00%33.71K
Current accrued expenses -29.79%1.2M-33.76%1.35M-33.76%1.35M222.37%2.99M322.45%2.23M681.20%1.71M404.68%2.03M404.68%2.03M178.96%926.81K9.61%526.84K
Current debt and capital lease obligation 67.10%320.3K107.48%447.06K107.48%447.06K261.68%451.46K390.96%577.97K57.10%191.69K83.81%215.47K83.81%215.47K19.04%124.82K1.27%117.72K
-Current debt -95.93%3.37K4.35%85.06K4.35%85.06K1,166.18%85.4K1,146.63%84.09K1,127.38%82.79K1,108.48%81.51K1,108.48%81.51K0.00%6.75K0.00%6.75K
-Current capital lease obligation 191.03%316.93K170.23%362K170.23%362K210.01%366.05K345.03%493.89K-5.53%108.9K21.25%133.96K21.25%133.96K20.35%118.08K1.35%110.98K
Current deferred liabilities -67.04%78.83K-54.80%116.83K-54.80%116.83K-15.09%104.62K-31.13%128.29K16.56%239.18K5.31%258.45K5.31%258.45K-52.58%123.21K-58.27%186.28K
Other current liabilities --4.03M7,221.29%4.2M7,221.29%4.2M-------------98.97%57.31K-98.97%57.31K-97.68%391.33K-98.51%696.42K
Current liabilities 87.65%6.83M121.00%7.4M121.00%7.4M113.70%4.6M55.14%3.31M-53.26%3.64M-50.19%3.35M-50.19%3.35M-88.48%2.15M-95.61%2.13M
Non current liabilities
Long term debt and capital lease obligation 61.08%390.91K71.39%428.02K71.39%428.02K40.60%523.95K46.50%602.53K-44.13%242.67K-46.32%249.74K-46.32%249.74K47.77%372.67K52.40%411.28K
-Long term debt -----------------98.03%1.69K-96.09%3.37K-94.16%5.06K-94.16%5.06K-4.80%82.83K-1.93%85.77K
-Long term capital lease obligation 63.36%390.91K74.93%428.02K74.93%428.02K80.78%523.95K84.59%600.84K-31.27%239.3K-35.38%244.68K-35.38%244.68K75.47%289.84K78.45%325.51K
Non current deferred liabilities --91.46K--95.56K--95.56K--82.13K----------0--0--------
Total non current liabilities 98.77%482.37K109.65%523.58K109.65%523.58K62.64%606.09K46.50%602.53K-44.13%242.67K-46.32%249.74K-46.32%249.74K46.99%372.67K48.16%411.28K
Total liabilities 88.34%7.31M120.22%7.92M120.22%7.92M106.17%5.21M53.75%3.91M-52.78%3.88M-49.94%3.6M-49.94%3.6M-86.66%2.53M-94.79%2.55M
Shareholders'equity
Share capital 5.42%100.02M16.11%97.07M16.11%97.07M16.35%95.52M16.74%94.82M16.91%94.88M3.16%83.6M3.16%83.6M-16.68%82.1M6.86%81.23M
-common stock 5.42%100.02M16.11%97.07M16.11%97.07M16.35%95.52M16.74%94.82M16.91%94.88M3.16%83.6M3.16%83.6M-16.68%82.1M6.86%81.23M
Retained earnings -21.15%-105.45M-29.52%-103.59M-29.52%-103.59M-56.80%-99.4M-61.85%-93.95M-48.73%-87.04M-52.85%-79.98M-52.85%-79.98M2.64%-63.39M34.78%-58.05M
Gains losses not affecting retained earnings -72.22%34.35K-64.08%54.96K-64.08%54.96K-74.50%58.42K218.93%141.78K143.50%123.63K178.04%153K178.04%153K-97.09%229.07K-101.82%-119.21K
Other equity interest -8.58%7.07M-5.43%6.87M-5.43%6.87M-1.86%7.75M7.64%7.74M10.13%7.74M13.40%7.26M13.40%7.26M--7.9M--7.19M
Total stockholders'equity -89.31%1.68M-96.31%407.72K-96.31%407.72K-85.36%3.93M-71.07%8.75M-46.56%15.7M-68.39%11.04M-68.39%11.04M-35.02%26.83M570.12%30.24M
Total equity -89.31%1.68M-96.31%407.72K-96.31%407.72K-85.36%3.93M-71.07%8.75M-46.56%15.7M-68.39%11.04M-68.39%11.04M-35.02%26.83M570.12%30.24M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions --Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes------

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