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Safety Shot Inc

SHOT

0.960USD

-0.050-4.94%
Cierre 08/04, 16:00ETCotizaciones retrasadas 15 min
72.18MCap. mercado
PérdidaP/E TTM
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar filas en blanco
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
FY2019Q4
FY2019Q1
Activos actuales
Efectivo, equivalentes de efectivo e inversiones a corto plazo
-60.16%912.00K
-88.16%631.54K
-81.00%1.42M
-56.20%3.28M
-67.15%2.29M
10.00%5.33M
15.29%7.46M
-5.28%7.49M
-23.03%6.97M
-66.93%4.85M
-76.15%6.47M
100.69%7.91M
201.01%9.05M
234.37%14.66M
20111.45%27.15M
1191.03%3.94M
730.43%3.01M
722.71%4.39M
--134.31K
--305.26K
244.51%362.20K
--533.03K
--105.13K
Efectivo y equivalentes de efectivo
-83.91%329.29K
-90.90%348.82K
-69.00%1.36M
16.27%3.22M
-45.24%2.05M
98.51%3.83M
23.06%4.39M
-44.55%2.77M
-39.19%3.74M
-83.57%1.93M
-86.72%3.57M
26.89%5.00M
104.32%6.15M
175.79%11.75M
20381.04%26.85M
1205.53%3.94M
737.83%3.01M
702.63%4.26M
--131.11K
--301.87K
248.09%359.00K
--531.03K
--103.13K
-Inversiones a corto plazo
140.18%582.72K
-81.15%282.72K
-98.12%57.72K
-98.78%57.72K
-92.49%242.61K
-48.58%1.50M
5.76%3.08M
62.26%4.72M
11.10%3.23M
0.31%2.92M
891.58%2.91M
--2.91M
--2.91M
2262.24%2.91M
9065.63%293.30K
----
----
6055.80%123.12K
--3.20K
--3.39K
60.00%3.20K
--2.00K
--2.00K
Por cobrar
10576.27%550.15K
14136.67%795.12K
73.67%5.23K
-77.10%162.29K
-99.40%5.15K
-99.14%5.58K
-99.54%3.01K
-55.95%708.85K
146.85%860.72K
-6.87%647.53K
13.60%649.65K
287.66%1.61M
2653.14%348.69K
172.56%695.32K
2443.84%571.88K
793.06%415.12K
-60.50%12.66K
10938.99%255.11K
--22.48K
--46.48K
--32.06K
--2.31K
----
-Cuentas y pagarés por cobrar
10576.27%550.15K
14136.67%795.12K
73.67%5.23K
-77.10%162.29K
-99.40%5.15K
-99.14%5.58K
-99.54%3.01K
-55.95%708.85K
146.85%860.72K
-6.87%647.53K
13.60%649.65K
287.66%1.61M
2653.14%348.69K
172.56%695.32K
2443.84%571.88K
793.06%415.12K
-60.50%12.66K
13249.61%255.11K
--22.48K
--46.48K
--32.06K
--1.91K
----
-Préstamos por cobrar
--521.44K
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--0.00
----
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-Otros por cobrar
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-100.00%0.00
--0.00
--0.00
--0.00
--400.00
----
Inventario
-16.04%339.00K
-70.66%233.51K
459.02%523.59K
125.21%739.43K
51.86%403.76K
80.29%795.82K
-76.42%93.66K
-15.37%328.33K
-43.80%265.88K
45.07%441.40K
-37.64%397.27K
52.11%387.97K
89.77%473.13K
34.68%304.27K
116.78%637.03K
-1.35%255.06K
51.39%249.32K
66.76%225.92K
--293.86K
--258.55K
--164.69K
--135.48K
----
Gastos prepago
40.25%2.23M
-37.39%920.19K
69.91%1.03M
166.58%1.71M
74.84%1.59M
80.53%1.47M
-31.17%605.82K
-13.48%641.40K
-2.55%909.52K
31.88%814.11K
1461.33%880.15K
287.61%741.32K
216.28%933.37K
565.28%617.30K
12.74%56.37K
282.51%191.26K
117.99%295.11K
271.15%92.79K
--50.00K
--50.00K
113.31%135.38K
--25.00K
--63.46K
Otros activos corrientes
-2.21%55.12K
----
--500.00K
--55.69K
--56.36K
--86.17K
----
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-100.00%0.00
-47.46%23.62K
-41.66%29.16K
--34.55K
--39.82K
--44.96K
--49.97K
----
Total de activos corrientes
-7.20%4.03M
-66.45%2.58M
-57.43%3.48M
-35.13%5.95M
-51.75%4.34M
13.91%7.69M
-2.79%8.17M
-13.87%9.17M
-16.69%9.00M
-58.53%6.75M
-70.43%8.40M
121.71%10.65M
201.21%10.81M
226.36%16.28M
5208.57%28.41M
585.94%4.80M
385.40%3.59M
568.86%4.99M
--535.21K
--700.12K
338.49%739.28K
--745.79K
--168.60K
Activos no corrientes
Activos fijos netos
-26.83%337.50K
-22.39%393.73K
-18.73%448.95K
-38.42%438.51K
-32.85%461.24K
-28.12%507.30K
-28.30%552.44K
-10.28%712.13K
-16.55%686.86K
-22.13%705.80K
-18.13%770.50K
872.40%793.68K
2364.94%823.09K
2446.54%906.37K
2390.20%941.10K
104.09%81.62K
-20.86%33.39K
--35.59K
--37.79K
--39.99K
5792.74%42.19K
----
--716.00
-Activos fijos
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--44.00K
--44.00K
--41.80K
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----
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-Depreciación acumulada
----
----
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----
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----
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--8.41K
--6.21K
--1.81K
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Fondo de comercio y otros activos intangibles
-1.89%4.33M
-3.25%4.36M
70.32%4.45M
259.84%4.31M
262.82%4.41M
265.72%4.51M
60.63%2.61M
-27.23%1.20M
-26.93%1.22M
-26.64%1.23M
-22.40%1.63M
14.18%1.64M
13.91%1.66M
11.96%1.68M
75.71%2.10M
17.78%1.44M
16.49%1.46M
--1.50M
--1.19M
--1.22M
--1.25M
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Otros activos no actuales
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----
----
----
----
----
----
----
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--1.29M
--1.30M
----
----
----
----
----
----
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Total de activos no actuales
-4.25%4.66M
-5.19%4.76M
54.77%4.90M
148.58%4.75M
156.06%4.87M
158.77%5.02M
-14.09%3.17M
-48.93%1.91M
-23.49%1.90M
-25.06%1.94M
21.31%3.68M
145.60%3.74M
66.48%2.49M
68.33%2.59M
146.78%3.04M
20.51%1.52M
15.28%1.49M
--1.54M
--1.23M
--1.26M
180837.01%1.30M
----
--716.00
Total de activos
-5.64%8.69M
-42.26%7.34M
-26.09%8.38M
-3.47%10.69M
-15.51%9.21M
46.24%12.71M
-6.24%11.33M
-22.98%11.08M
-17.97%10.91M
-53.94%8.69M
-61.57%12.09M
127.46%14.39M
161.62%13.30M
189.13%18.87M
1680.83%31.45M
222.15%6.32M
149.75%5.08M
774.99%6.53M
--1.77M
--1.96M
1101.79%2.03M
--745.79K
--169.31K
Pasivos
Pasivos corrientes
-Otros por pagar
130.81%539.09K
432.50%1.43M
-100.00%0.00
-97.60%4.55K
--233.56K
--269.15K
--229.26K
--189.30K
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--20.00K
Gastos acumulados
-27.93%190.68K
287.69%234.36K
241.96%305.18K
-48.20%404.87K
-54.78%264.56K
-83.51%60.45K
-69.85%89.25K
88.26%781.55K
83.09%585.04K
128.41%366.62K
217.67%295.96K
245.28%415.14K
262.11%319.53K
43.31%160.51K
35.76%93.17K
81.19%120.24K
168.14%88.24K
2071.82%112.00K
--68.63K
--66.36K
--32.91K
--5.16K
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Deuda a corto plazo y pasivos por arrendamiento
232.93%5.39M
242.03%5.30M
-97.65%48.18K
-21.04%1.62M
-21.00%1.62M
-24.35%1.55M
5.61%2.05M
41.80%2.05M
4171.31%2.05M
4206.33%2.05M
2200.29%1.94M
-30.81%1.45M
-43.27%47.98K
-96.35%47.55K
-96.55%84.35K
-4.19%2.09M
-95.38%84.58K
333.69%1.30M
--2.45M
--2.18M
--1.83M
--300.00K
----
-Deuda a corto plazo
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--0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
--0.00
--691.50K
--985.48K
--970.95K
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Otros pasivos corrientes
130.81%539.09K
432.50%1.43M
-100.00%0.00
-97.60%4.55K
--233.56K
--269.15K
--229.26K
--189.30K
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--20.00K
Total pasivos corrientes
170.40%9.19M
161.97%9.40M
-57.14%1.83M
-32.54%3.37M
-26.75%3.40M
-20.38%3.59M
43.85%4.26M
62.86%5.00M
354.68%4.64M
187.14%4.51M
168.99%2.96M
17.67%3.07M
56.73%1.02M
-26.18%1.57M
-56.40%1.10M
15.11%2.61M
-65.81%650.75K
531.80%2.13M
--2.53M
--2.27M
6569.96%1.90M
--336.44K
--28.54K
Pasivos no corrientes
Deuda a largo plazo y pasivos por arrendamiento
-78.92%52.15K
-62.56%114.15K
-52.76%169.54K
106.39%853.89K
-46.34%247.44K
-41.33%304.91K
-36.47%358.92K
-33.36%413.73K
-25.73%461.09K
-25.33%519.66K
-21.54%564.93K
--620.87K
--620.87K
10801.64%695.96K
2288.96%719.99K
-100.00%0.00
-100.00%0.00
-78.82%6.38K
--30.14K
--30.14K
--30.14K
--30.14K
--0.00
-Deuda a largo plazo
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--664.97K
----
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----
----
----
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-Pasivos por arrendamiento a largo plazo
-78.92%52.15K
-62.56%114.15K
-52.76%169.54K
-54.34%188.92K
-46.34%247.44K
-41.33%304.91K
-36.47%358.92K
-33.36%413.73K
-25.73%461.09K
-25.33%519.66K
-21.54%564.93K
--620.87K
--620.87K
10801.64%695.96K
2288.96%719.99K
-100.00%0.00
-100.00%0.00
-78.82%6.38K
--30.14K
--30.14K
--30.14K
--30.14K
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Total pasivos no corrientes
-78.92%52.15K
-62.56%114.15K
-52.76%169.54K
106.39%853.89K
-46.34%247.44K
-41.33%304.91K
-36.47%358.92K
-33.36%413.73K
-25.73%461.09K
-25.33%519.66K
-21.54%564.93K
--620.87K
--620.87K
10801.64%695.96K
2288.96%719.99K
-100.00%0.00
-100.00%0.00
-78.82%6.38K
--30.14K
--30.14K
--30.14K
--30.14K
----
Total pasivos
153.47%9.24M
144.38%9.51M
-56.80%2.00M
-21.92%4.23M
-28.52%3.64M
-22.55%3.89M
30.99%4.62M
46.67%5.41M
210.73%5.10M
121.86%5.03M
93.69%3.53M
41.48%3.69M
152.14%1.64M
6.24%2.27M
-28.75%1.82M
13.60%2.61M
-66.35%650.75K
481.60%2.13M
--2.56M
--2.30M
6675.57%1.93M
--366.58K
--28.54K
Capital de los accionistas
Capital ordinario
37.90%119.87M
51.57%112.92M
61.79%107.94M
65.88%96.10M
50.62%86.93M
37.29%74.50M
31.00%66.71M
14.43%57.93M
10.81%57.71M
4.40%54.26M
5.97%50.92M
192.01%50.63M
274.65%52.08M
345.47%51.98M
2699.45%48.06M
1005.64%17.34M
786.47%13.90M
755.17%11.67M
--1.72M
--1.57M
471.28%1.57M
--1.36M
--274.50K
Ganancias retenidas
-48.01%-120.42M
-75.23%-115.09M
-69.25%-101.56M
-71.49%-89.63M
-56.74%-81.36M
-29.81%-65.68M
-42.64%-60.00M
-31.53%-52.27M
-35.54%-51.91M
-43.03%-50.60M
-128.26%-42.07M
-191.71%-39.74M
-304.37%-38.29M
-386.29%-35.37M
-634.94%-18.43M
-616.77%-13.62M
-545.55%-9.47M
-638.37%-7.27M
---2.51M
---1.90M
-1000.73%-1.47M
---985.20K
---133.28K
Reservas de capital
36.31%117.85M
50.36%110.86M
60.68%105.97M
66.00%95.34M
51.12%86.46M
37.13%73.73M
30.79%65.95M
14.12%57.43M
10.50%57.21M
4.06%53.76M
5.48%50.43M
196.04%50.32M
281.98%51.77M
343.23%51.67M
3679.77%47.81M
1274.96%17.00M
996.37%13.55M
1029.02%11.66M
--1.26M
--1.24M
360.57%1.24M
--1.03M
--268.42K
Menos: Acciones en tesorería
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--300.15K
--196.83K
--2.13M
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Capital total
-109.74%-542.64K
-124.65%-2.17M
-4.93%6.38M
14.13%6.47M
-4.09%5.57M
140.54%8.82M
-21.59%6.71M
-47.01%5.67M
-50.16%5.81M
-77.92%3.67M
-71.12%8.56M
187.77%10.70M
163.01%11.65M
277.88%16.60M
3845.58%29.63M
1218.95%3.72M
4279.46%4.43M
1058.61%4.39M
---791.00K
---332.19K
-28.13%101.18K
--379.21K
--140.78K
Unidad monetaria
USD
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Opiniones de evaluación
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