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Property and equipment,
gross
$569,770
Cash
$14,802,060
Inventory
$453,815
Prepaid expenses and
other current assets
$249,208
Accounts receivable and
other receivables,...
$61,723
Intangible assets, net
$812,669
Property and equipment,
net
$307,757
Right of use assets,
net
$39,568
Security deposits
$9,800
Less accumulated
depreciation
$262,013
Total current assets
$15,566,806
Total other assets
$1,169,794
Total assets
$16,736,600
Total liabilities and
stockholders equity
$16,736,600
Total stockholders
equity
$15,417,969
Total liabilities
$1,318,631
Accumulated deficit
-$31,367,015
Treasury stock at cost,
303,269 and 162,454...
$1,407,113
Additional paid-in capital
$48,190,008
Total current
liabilities
$1,172,631
Total long-term
liabilities
$146,000
Common stock 0.0001 par
value, 200,000,000...
$2,089
Accounts payable
$463,647
Due to related
parties
$437,090
Accrued expenses
$207,110
Lease liabilities,
current portion
$36,554
Contract liabilities
$28,230
Note payable
$146,000
Back
Back
Balance Sheet
source: myfinsight.com
Safe Pro Group Inc. (SPAI)
Safe Pro Group Inc. (SPAI)