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SPAI    Safe Pro Group Inc    2011208    
Income Statement
Revenue 330,756
Net Income -3,685,456
Profit Margin -1114.25%

Balance Sheet
Current Assets 3,349,635
Assets 5,476,549
Current Liabilities 1,049,187
Liabilities 1,242,593
Equity 4,233,956
Shares Out 10,138,000

Cash Flow Statement
Operating Cash Flow -3,065,107
Investing Cash Flow -226,397

Market Analysis
Market Cap 39,224,478
Price 3.58
BVPS 0.42
PB 8.50
EPS -0.50
PS 29.65
FCF -3,291,504
Dividends
Jan Feb Mar
Apr May Jun
Jul Aug Sep
Oct Nov Dec

Earnings
Jan Feb Mar
Apr May Jun
Jul Aug Sep
Oct Nov Dec

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