S&P 500 7,459.94 â–ŧ 73.83 (-0.98%) DOW 52,169.10 â–ŧ 383.87 (-0.73%) NASDAQ 25,535.42 â–ŧ 346.53 (-1.34%) US Markets Closed â€ĸ 08:02 PM ET

DPRO

Draganfly Inc.

Price Chart

No historical data available

Latest Quote

$4.21

-0.46 (-9.96%)
Current Price
Previous Close $4.67
Open $4.62
Day High $4.64
Day Low $4.14
Volume 1,731,044
Fetched: 2026-07-16T20:00:07
Stock Information
Note: Financial values converted from CAD to USD
Shares Outstanding 36.88M
Total Debt $166K
Cash Equivalents $106.70M
Revenue $6.05M
Net Income $-17.93M
Sector Technology
Industry Computer Hardware
Market Cap $155.28M
EPS (TTM) $-0.70
Exchange NCM
🌐 Visit Website
Recent Price History
No history data available. Data will be fetched automatically.
About Draganfly Inc.

Draganfly Inc. develops, manufactures, and sells unmanned and remote data collection and analysis platforms and systems in the United States and Canada. The company offers quadcopters, fixed-wing aircraft, ground-based robots, handheld controllers, and flight training, as well as software used for tracking, live streaming, and data collection. It also provides custom engineering, training, flight, geographic information systems (GIS) data, and Airwash services. The company manufactures multirotor drones, including the Commander 3 XL, Heavy Lift, Commander 2, Apex, Flex FPV, and long-range LiDAR drones. It serves public safety, civil, military, agriculture, industrial inspection, and mapping and surveying markets. Draganfly Inc. was founded in 1998 and is headquartered in Saskatoon, Canada.

Period:
Loading...
Income Statement (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Revenue
Reconciled Cost Of Revenue $4,521,733 $3,642,069 $3,167,928 $4,807,122
Cost Of Revenue $4,521,733 $3,642,069 $3,167,928 $4,807,122
Total Revenue $5,453,853 $4,628,414 $4,624,032 $5,364,894
Operating Revenue $5,453,853 $4,628,414 $4,624,032 $5,364,894
Expenses
Total Expenses $20,120,581 $15,026,208 $20,574,750 $24,346,456
Other Income Expense $-2,313,185 $532,463 $-764,688 $-558,147
Other Non Operating Income Expenses $1,158 $-894,352 $-665,399 $-24,952
Net Non Operating Interest Income Expense $768,197 $75,641 $58,749 $31,283
Operating Expense $15,598,848 $11,384,139 $17,406,822 $19,539,334
Other Operating Expenses $1,522,678 $577,619 $1,947,155 $959,455
Selling And Marketing Expense $2,115,872 $697,288 $2,993,476 $3,126,371
General And Administrative Expense $10,323,148 $8,866,410 $10,983,742 $14,448,922
Total Other Finance Cost - - $-58,749 $-31,283
Income & Earnings
Net Income From Continuing Operation Net Minority Interest $-16,211,716 $-9,789,690 $-16,656,657 $-19,508,427
Net Interest Income $768,197 $75,641 $58,749 $31,283
Interest Income $768,197 $75,641 $58,749 $31,283
Normalized Income $-13,897,373 $-11,216,506 $-16,557,368 $-18,975,231
Net Income From Continuing And Discontinued Operation $-16,211,716 $-9,789,690 $-16,656,657 $-19,508,427
Net Income Common Stockholders $-16,211,716 $-9,789,690 $-16,656,657 $-19,508,427
Net Income $-16,211,716 $-9,789,690 $-16,656,657 $-19,508,427
Net Income Including Noncontrolling Interests $-16,211,716 $-9,789,690 $-16,656,657 $-19,508,427
Net Income Continuous Operations $-16,211,716 $-9,789,690 $-16,656,657 $-19,508,427
Pretax Income $-16,211,716 $-9,789,690 $-16,656,657 $-19,508,427
Special Income Charges $-146,267 $-62,473 $-72,163 $-4,940,621
Interest Income Non Operating $768,197 $75,641 $58,749 $31,283
Operating Income $-14,666,728 $-10,397,794 $-15,950,718 $-18,981,562
Depreciation Amortization Depletion Income Statement $244,448 $407,102 $385,618 $545,133
Depreciation And Amortization In Income Statement $244,448 $407,102 $385,618 $545,133
Amortization Of Intangibles Income Statement $6,369 $7,961 $25,368 $126,613
Depreciation Income Statement $238,079 $399,141 $360,251 $418,520
Gross Profit $932,120 $986,346 $1,456,104 $557,772
Per Share
Diluted EPS $-1.03 $-3.10 $-10.29 $-14.35
Basic EPS $-1.03 $-3.10 $-10.29 $-14.35
Other
Tax Effect Of Unusual Items $0 $0 $0 $0
Tax Rate For Calcs $0 $0 $0 $0
Normalized EBITDA (Bullshit earnings) $-12,107,938 $-11,417,507 $-15,465,811 $-17,903,234
Total Unusual Items $-2,314,342 $1,426,815 $-99,289 $-533,195
Total Unusual Items Excluding Goodwill $-2,314,342 $1,426,815 $-99,289 $-533,195
Reconciled Depreciation $244,448 $407,102 $385,618 $545,133
EBITDA (Bullshit earnings) $-14,422,280 $-9,990,692 $-15,565,100 $-18,436,429
EBIT $-14,666,728 $-10,397,794 $-15,950,718 $-18,981,562
Diluted Average Shares $11,086,250 $2,226,989 $1,142,345 $946,894
Basic Average Shares $11,086,250 $2,226,989 $1,142,345 $946,894
Diluted NI Availto Com Stockholders $-16,211,716 $-9,789,690 $-16,656,657 $-19,508,427
Gain On Sale Of Ppe $14,643 $8,065 $-666 $-7,587
Write Off $160,910 $70,537 $71,497 $379,495
Gain On Sale Of Security $-2,168,076 $1,489,288 $-27,126 $4,407,426
Amortization $6,369 $7,961 $25,368 $126,613
Research And Development $1,392,703 $835,721 $1,096,831 $459,453
Selling General And Administration $12,439,020 $9,563,698 $13,977,218 $17,575,293
Other Gand A $1,526,189 $1,333,416 $2,924,452 $4,812,201
Insurance And Claims $461,693 $783,778 $1,287,520 $2,625,806
Salaries And Wages $8,335,267 $6,749,216 $6,771,769 $7,010,916
Impairment Of Capital Assets - $0 $0 $4,553,539
Restructuring And Mergern Acquisition - - - -
Fetched: 2026-07-09
Balance Sheet (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Assets
Net Tangible Assets $68,117,531 $3,228,535 $247,813 $7,661,814
Total Assets $71,522,812 $7,195,525 $5,876,501 $10,326,571
Total Non Current Assets $1,078,777 $788,336 $1,162,785 $791,375
Non Current Prepaid Assets $0 $110,189 $0 -
Investmentin Financial Assets $50,389 $10,078 $133,612 $135,855
Goodwill And Other Intangible Assets $25,475 $31,844 $39,805 $126,838
Other Intangible Assets $25,475 $31,844 $39,805 $126,838
Current Assets $70,444,035 $6,407,189 $4,713,716 $9,535,196
Prepaid Assets $3,355,837 $511,099 $946,849 $1,627,955
Inventory $2,753,421 $1,080,916 $1,126,256 $744,901
Receivables $734,771 $404,491 $458,261 $1,593,065
Taxes Receivable $66,059 - $27,631 $525,671
Accounts Receivable $668,712 $404,491 $430,629 $947,963
Gross Accounts Receivable $668,712 - $430,629 $947,963
Cash Cash Equivalents And Short Term Investments $63,600,006 $4,410,684 $2,182,350 $5,569,275
Cash And Cash Equivalents $63,600,006 $4,410,684 $2,182,350 $5,569,275
Notes Receivable - - $0 $119,431
Cash Equivalents - - $0 $278,065
Cash Financial - - $2,182,350 $5,291,210
Non Current Note Receivables - - - $0
Debt
Total Debt $193,202 $301,942 $617,315 $328,179
Long Term Debt And Capital Lease Obligation $91,884 $193,201 $301,943 $176,176
Current Debt And Capital Lease Obligation $101,318 $108,741 $315,372 $152,003
Current Debt - - $60,003 $57,502
Other Current Borrowings - - $60,003 $57,502
Long Term Debt - - - $3,569
Liabilities
Total Liabilities Net Minority Interest $3,379,806 $3,935,146 $5,588,883 $2,537,919
Total Non Current Liabilities Net Minority Interest $123,284 $241,269 $369,356 $176,176
Non Current Deferred Liabilities $31,400 $48,068 $67,413 $0
Current Liabilities $3,256,522 $3,693,877 $5,219,527 $2,361,743
Other Current Liabilities $347,407 $1,550,637 $2,960,104 $40,431
Current Deferred Liabilities $411,184 $342,022 $82,414 $182,319
Payables And Accrued Expenses $2,396,613 $1,692,477 $1,861,636 $1,986,989
Payables $470,806 $430,224 $912,365 $553,861
Accounts Payable $470,806 $430,224 $888,585 $530,081
Other Payable - - $23,780 $23,780
Total Tax Payable - - - -
Equity
Common Stock Equity $68,143,005 $3,260,379 $287,618 $7,788,652
Total Equity Gross Minority Interest $68,143,005 $3,260,379 $287,618 $7,788,652
Stockholders Equity $68,143,005 $3,260,379 $287,618 $7,788,652
Other Equity Interest $5,272,434 $8,094,707 $4,846,454 $5,124,538
Gains Losses Not Affecting Retained Earnings $-90,857 $-91,780 $38,769 $107,931
Other Equity Adjustments $-90,857 $-91,780 $38,769 $107,931
Retained Earnings $-99,076,521 $-82,864,805 $-73,075,115 $-56,418,458
Other
Ordinary Shares Number $20,700,906 $3,828,970 $1,389,135 $967,030
Share Issued $20,700,906 $3,828,970 $1,389,135 $967,030
Tangible Book Value $68,117,531 $3,228,535 $247,813 $7,661,814
Invested Capital $68,143,005 $3,260,379 $347,621 $7,849,722
Working Capital $67,187,513 $2,713,312 $-505,811 $7,173,453
Capital Lease Obligations $193,202 $301,942 $557,312 $267,109
Total Capitalization $68,143,005 $3,260,379 $287,618 $7,792,221
Capital Stock $162,037,950 $78,122,258 $68,477,511 $58,974,641
Common Stock $162,037,950 $78,122,258 $68,477,511 $58,974,641
Non Current Deferred Revenue $31,400 $48,068 $67,413 $0
Long Term Capital Lease Obligation $91,884 $193,201 $301,943 $172,607
Current Deferred Revenue $411,184 $342,022 $82,414 $182,319
Current Capital Lease Obligation $101,318 $108,741 $255,369 $94,502
Current Accrued Expenses $1,925,807 $1,262,252 $949,271 $1,433,128
Investments And Advances $50,389 $10,078 $133,612 $135,855
Available For Sale Securities $50,389 $10,078 $133,612 $135,855
Net PPE $1,002,913 $636,224 $989,368 $528,681
Accumulated Depreciation $-1,467,767 $-1,291,042 $-946,219 $-634,772
Gross PPE $2,470,681 $1,927,266 $1,935,587 $1,163,453
Leases $36,628 $62,706 $61,042 $0
Other Properties $1,026,439 $1,026,439 $1,004,171 $481,896
Machinery Furniture Equipment $1,407,613 $838,121 $870,374 $681,557
Properties $0 $0 $0 $0
Finished Goods $1,575,401 $673,307 $638,321 $383,006
Work In Process $75,684 $11,576 - -
Raw Materials $1,102,336 $396,033 $487,936 $361,895
Goodwill - - $0 $0
Dueto Related Parties Current - - - -
Buildings And Improvements - - - -
Fetched: 2026-07-09
Cash Flow Statement (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Free Cash Flow
Free Cash Flow $-17,494,096 $-8,466,388 $-13,589,676 $-11,592,839
Operating Activities
Operating Cash Flow $-16,842,947 $-8,348,398 $-13,243,733 $-11,533,301
Cash Flow From Continuing Operating Activities $-16,842,947 $-8,348,398 $-13,243,733 $-11,533,301
Operating Gains Losses $1,879,900 $-1,291,796 $-135,927 $-3,881,830
Investing Activities
Capital Expenditure $-651,150 $-117,990 $-345,943 $-59,537
Investing Cash Flow $-602,018 $-16,447 $-267,770 $542,242
Cash Flow From Continuing Investing Activities $-602,018 $-16,447 $-267,770 $542,242
Net Other Investing Changes $49,131 $28,232 $45,034 $594,192
Financing Activities
Issuance Of Capital Stock $41,131,227 $12,522,964 $12,326,978 $0
Financing Cash Flow $76,934,579 $10,600,209 $10,191,473 $-33,930
Cash Flow From Continuing Financing Activities $76,934,579 $10,600,209 $10,191,473 $-33,930
Net Other Financing Charges $-3,619,719 $-1,873,782 $-1,897,836 $-3,613
Net Common Stock Issuance $41,131,227 $12,522,964 $12,326,978 $0
Common Stock Issuance $41,131,227 $12,522,964 $12,326,978 $0
Other
Repayment Of Debt $-108,741 $-312,395 $-237,668 $-110,769
Interest Paid Supplemental Data $26,440 $47,869 $40,239 $36,216
End Cash Position $63,600,453 $4,410,715 $2,182,365 $5,569,314
Beginning Cash Position $4,410,715 $2,182,365 $5,569,314 $16,278,589
Effect Of Exchange Rate Changes $-299,876 $-7,015 $-66,919 $315,715
Changes In Cash $59,489,614 $2,235,365 $-3,320,030 $-11,024,990
Proceeds From Stock Option Exercised $39,531,812 $263,423 $0 $80,452
Net Issuance Payments Of Debt $-108,741 $-312,395 $-237,668 $-110,769
Net Long Term Debt Issuance $-108,741 $-312,395 $-237,668 $-110,769
Long Term Debt Payments $-108,741 $-312,395 $-237,668 $-110,769
Net PPE Purchase And Sale $-651,150 $-44,678 $-312,804 $-48,646
Sale Of PPE $0 $73,312 $33,139 $7,587
Purchase Of PPE $-651,150 $-117,990 $-345,943 $-56,233
Change In Working Capital $-3,931,992 $-72,501 $568,485 $2,673,119
Change In Other Working Capital $52,495 $240,265 $-32,492 $763
Change In Payables And Accrued Expense $964,630 $-163,530 $-327,636 $1,172,232
Change In Prepaid Assets $-2,844,758 $435,753 $681,111 $2,087,109
Change In Inventory $-1,820,598 $-397,046 $-615,333 $-105,986
Change In Receivables $-283,760 $-187,943 $862,835 $-480,998
Other Non Cash Items $-613 $1,018,476 $649,013 $-24,286
Stock Based Compensation $979,829 $834,269 $1,426,168 $2,335,737
Asset Impairment Charge $197,310 $545,810 $519,682 $6,327,385
Depreciation Amortization Depletion $244,449 $407,105 $385,621 $545,137
Depreciation And Amortization $244,449 $407,105 $385,621 $545,137
Amortization Cash Flow $6,369 $7,961 $25,368 $126,614
Amortization Of Intangibles $6,369 $7,961 $25,368 $126,614
Depreciation $238,080 $399,144 $360,253 $418,523
Gain Loss On Investment Securities $1,868,215 $-1,299,861 $-148,926 $-3,881,830
Net Income From Continuing Operations $-16,211,830 $-9,789,759 $-16,656,774 $-19,508,564
Net Intangibles Purchase And Sale - $0 $0 $-3,304
Purchase Of Intangibles - $0 $0 $-3,304
Issuance Of Debt - - $0 $0
Long Term Debt Issuance - - $0 $0
Net Investment Purchase And Sale - - $0 $0
Purchase Of Investment - - $0 $0
Net Business Purchase And Sale - - $0 $0
Purchase Of Business - - $0 $0
Sale Of Investment - - - -
Fetched: 2026-07-09