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Draganfly Inc

DPRO

5.210USD

+0.170+3.37%
Fechamento 08/04, 16:00ETCotações atrasadas em 15 min
28.31MValor de mercado
PerdaP/L TTM
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar linhas em branco
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
Ativos Circulantes
Caixa, Equivalentes e Investimentos de Curto Prazo
-51.01%2.13M
102.11%6.25M
62.70%4.00M
-21.28%5.29M
-67.54%4.34M
-60.81%3.09M
-79.04%2.46M
-58.57%6.72M
-31.71%13.37M
-65.79%7.89M
-58.08%11.72M
-6.15%16.22M
-7.08%19.58M
1064.02%23.08M
4207.77%27.97M
1055.97%17.29M
1003.07%21.07M
-18.40%1.98M
122.75%649.19K
1569.58%1.50M
--1.91M
--2.43M
--291.44K
--89.56K
- Caixa e Equivalentes de Caixa
-51.01%2.13M
102.11%6.25M
62.70%4.00M
-21.28%5.29M
-67.54%4.34M
-60.81%3.09M
-79.04%2.46M
-58.57%6.72M
-31.71%13.37M
-65.79%7.89M
-58.08%11.72M
-6.15%16.22M
-7.08%19.58M
1064.02%23.08M
4207.77%27.97M
1055.97%17.29M
1003.07%21.07M
-18.40%1.98M
122.75%649.19K
1569.58%1.50M
--1.91M
--2.43M
--291.44K
--89.56K
Contas a Receber
17.75%577.67K
-11.73%573.39K
-25.55%854.17K
-21.86%878.39K
-69.74%490.58K
-71.23%649.61K
-51.50%1.15M
-51.75%1.12M
-44.46%1.62M
41.38%2.26M
-14.45%2.37M
98.43%2.33M
208.27%2.92M
97.00%1.60M
562.96%2.76M
600.65%1.17M
491.51%946.96K
260.84%810.79K
-93.71%417.07K
49.22%167.58K
--160.09K
--224.69K
--6.63M
--112.30K
-Contas e Títulos a Receber
17.75%577.67K
-6.07%573.39K
-18.66%854.17K
-9.70%878.39K
-66.62%490.58K
-54.57%610.44K
-28.72%1.05M
-21.12%972.71K
0.75%1.47M
41.26%1.34M
67.86%1.47M
71.33%1.23M
54.02%1.46M
21.92%951.31K
110.43%877.63K
329.52%719.79K
828.13%946.96K
433.71%780.25K
198.71%417.07K
99.76%167.58K
--102.03K
--146.19K
--139.62K
--83.89K
-Empréstimos a Receber
----
----
----
----
----
----
-100.00%0.00
-78.19%115.85K
-86.02%135.33K
-10.97%169.30K
-71.85%461.72K
16.90%531.16K
--967.77K
--190.17K
--1.64M
--454.36K
----
----
----
----
----
----
----
----
-Outros Recebíveis
----
----
----
----
----
----
----
----
----
----
----
----
----
-100.00%0.00
--0.00
--0.00
--0.00
29.31%30.54K
----
----
----
--23.62K
--6.47M
--23.62K
Inventário
34.87%1.97M
-4.03%1.53M
-17.98%1.51M
-4.13%1.58M
-5.05%1.46M
51.20%1.60M
-47.54%1.84M
-52.97%1.64M
-54.32%1.54M
-68.86%1.06M
7.88%3.51M
123.41%3.50M
144.31%3.37M
174.87%3.39M
178.92%3.25M
51.12%1.56M
205.45%1.38M
2440.24%1.23M
2542.13%1.17M
2024.93%1.04M
--450.94K
--48.56K
--44.16K
--48.72K
Despesas Antecipadas
125.15%406.85K
239.88%483.05K
-33.22%160.03K
-59.93%121.33K
-56.25%180.70K
-81.71%142.12K
-71.54%239.63K
-78.32%302.80K
-68.24%413.04K
-56.56%776.99K
387.85%842.07K
50.40%1.40M
1886.90%1.30M
433.87%1.79M
36.87%172.61K
352.11%928.69K
-44.16%65.45K
22.89%335.02K
38.45%126.11K
627.90%205.41K
--117.21K
--272.63K
--91.09K
--28.22K
Outros Ativos Circulantes
-13.52%772.46K
-79.88%241.47K
-48.76%812.44K
-49.85%524.29K
-39.46%893.24K
-21.60%1.20M
-28.37%1.59M
16.02%1.05M
-28.11%1.48M
-58.70%1.53M
-56.17%2.21M
111.15%901.16K
770.69%2.05M
--3.71M
--5.05M
--426.80K
--235.69K
----
----
----
----
----
----
----
Total de Ativos Circulantes
-20.54%5.85M
35.93%9.08M
0.87%7.33M
-22.58%8.39M
-60.01%7.36M
-50.57%6.68M
-64.80%7.27M
-55.48%10.84M
-36.96%18.42M
-59.72%13.52M
-47.32%20.66M
13.87%24.35M
23.30%29.21M
669.37%33.56M
1562.05%39.21M
636.31%21.38M
798.10%23.69M
46.60%4.36M
-66.59%2.36M
941.46%2.90M
--2.64M
--2.98M
--7.06M
--278.81K
Ativos não Circulantes
Ativos Fixos Líquidos
-31.62%846.93K
-35.69%901.89K
-35.27%975.68K
-18.24%1.12M
66.97%1.24M
87.14%1.40M
125.79%1.51M
97.41%1.37M
1.55%741.77K
-2.05%749.44K
21.31%667.60K
24.34%695.89K
93.75%730.45K
156.51%765.15K
68.52%550.34K
62.52%559.65K
63.22%377.01K
21.68%298.29K
803.27%326.58K
788.91%344.35K
--230.98K
--245.13K
--36.16K
--38.74K
-Ativos Fixos
-12.71%1.65M
-0.43%2.73M
-29.46%1.67M
-14.97%1.79M
16.13%1.89M
66.37%2.74M
113.07%2.37M
92.37%2.11M
49.78%1.62M
43.41%1.65M
25.76%1.11M
29.57%1.09M
74.27%1.08M
129.58%1.15M
78.25%884.42K
62.66%844.67K
83.69%622.11K
47.91%500.94K
303.87%496.18K
322.70%519.30K
--338.68K
--338.68K
--122.86K
--122.85K
-Depreciação Acumulada
23.49%799.14K
36.44%1.83M
-19.30%695.99K
-8.83%667.08K
-26.63%647.14K
49.06%1.34M
93.96%862.43K
83.58%731.68K
149.37%882.00K
133.78%899.83K
33.09%444.64K
39.84%398.56K
44.30%353.70K
89.93%384.90K
96.98%334.08K
62.92%285.02K
127.59%245.11K
116.64%202.65K
95.62%169.60K
107.98%174.95K
--107.70K
--93.54K
--86.70K
--84.11K
Goodwill e outros Ativos Intangíveis
-20.00%42.88K
-20.00%45.14K
-68.62%47.96K
-68.62%50.78K
-68.62%53.60K
-68.62%56.43K
-97.73%152.83K
-97.52%161.82K
-97.34%170.81K
-97.25%179.80K
-66.66%6.73M
-67.63%6.51M
-68.18%6.43M
167.75%6.53M
953.13%20.18M
950.05%20.12M
4017445.13%20.21M
176104.33%2.44M
54935.09%1.92M
34218.09%1.92M
--503.00
--1.39K
--3.48K
--5.58K
Dívida de longo prazo
----
----
----
----
----
----
----
----
----
-100.00%0.00
--1.08M
--1.00M
--961.72K
--964.01K
----
----
----
----
--193.81K
----
----
----
----
----
Total de ativos não circulantes
-34.38%1.07M
-32.20%1.12M
-36.03%1.19M
-17.27%1.51M
39.96%1.63M
46.93%1.65M
-78.54%1.87M
-78.39%1.83M
-86.13%1.16M
-86.89%1.12M
-58.64%8.70M
-59.88%8.44M
-60.77%8.38M
212.36%8.55M
763.18%21.03M
830.91%21.04M
9128.42%21.36M
1010.95%2.74M
6047.56%2.44M
1042.40%2.26M
--231.49K
--246.52K
--39.64K
--197.89K
Total de ativos
-23.04%6.92M
22.45%10.20M
-6.67%8.53M
-21.81%9.90M
-54.08%8.99M
-43.09%8.33M
-68.87%9.14M
-61.38%12.66M
-47.92%19.58M
-65.24%14.64M
-51.27%29.36M
-22.71%32.79M
-16.56%37.59M
493.10%42.11M
1156.14%60.24M
721.50%42.42M
1470.07%45.06M
120.39%7.10M
-32.45%4.80M
983.36%5.16M
--2.87M
--3.22M
--7.10M
--476.70K
Passivos
Passivos circulantes
-Outros a pagar
----
-100.00%0.00
----
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
-80.86%33.71K
-73.85%33.71K
--33.71K
-93.38%33.71K
422.48%176.12K
282.37%128.89K
----
1073.86%509.34K
-99.53%33.71K
-96.26%33.71K
--33.71K
--43.39K
--7.12M
--900.86K
Despesas acumuladas
69.85%2.04M
32.97%1.79M
----
-56.82%961.08K
-29.79%1.20M
-33.76%1.35M
222.37%2.99M
322.45%2.23M
681.20%1.71M
404.68%2.03M
178.96%926.81K
9.61%526.84K
--219.47K
-21.41%402.54K
-4.81%332.23K
382.39%480.64K
----
214.90%512.21K
481.05%349.02K
-17.20%99.64K
--116.45K
--162.66K
--60.07K
--120.34K
Dívidas e arrendamentos de curto prazo
-50.67%157.99K
-65.52%154.15K
-53.48%210.01K
-54.02%265.72K
67.10%320.30K
107.48%447.06K
261.68%451.45K
390.96%577.97K
57.10%191.69K
83.81%215.47K
19.04%124.82K
1.27%117.72K
0.22%122.01K
-24.96%117.23K
-61.16%104.86K
-46.76%116.24K
183.13%121.75K
263.30%156.22K
-74.52%269.96K
-91.48%218.34K
--43.00K
--43.00K
--1.06M
--2.56M
-Dívida de curto prazo
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----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
-94.10%62.56K
-97.62%61.01K
----
--0.00
--1.06M
--2.56M
-Passivos de arrendamento de curto prazo
-50.15%157.99K
-57.42%154.15K
-42.63%210.01K
-46.54%264.04K
191.03%316.93K
170.23%362.00K
210.01%366.05K
345.03%493.88K
-5.53%108.90K
21.25%133.96K
20.35%118.08K
1.35%110.98K
38.41%115.27K
18.49%110.48K
-5.35%98.11K
5.63%109.50K
93.68%83.28K
116.83%93.24K
--103.66K
--103.66K
--43.00K
--43.00K
----
----
Passivos diferidos
126.42%37.22K
53.09%18.54K
-74.08%14.43K
-41.85%9.24K
315.34%16.44K
-80.98%12.11K
-11.74%55.67K
-82.05%15.89K
191.41%3.96K
-13.09%63.69K
-66.73%63.07K
-72.33%88.53K
-100.98%-4.33K
--73.29K
--189.57K
--320.00K
--440.00K
----
----
----
----
----
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Outros passivos circulantes
312.07%463.75K
222.07%484.84K
-20.64%109.78K
-4.98%153.94K
-58.76%112.54K
-48.47%150.54K
-11.85%138.33K
-26.36%162.00K
14.22%272.89K
4.67%292.16K
-64.01%156.92K
-61.76%219.99K
-67.26%238.91K
-68.80%279.13K
198.92%435.94K
574.92%575.25K
2065.01%729.80K
1962.19%894.79K
-97.95%145.84K
-90.54%85.23K
--33.71K
--43.39K
--7.12M
--900.86K
Total de passivos circulantes
-24.65%5.15M
-29.23%5.24M
-17.80%3.79M
264.82%12.08M
87.65%6.83M
121.00%7.40M
113.70%4.60M
55.14%3.31M
-53.26%3.64M
-50.19%3.35M
-88.48%2.15M
-95.61%2.13M
-82.51%7.79M
113.56%6.72M
1029.17%18.70M
3955.62%48.58M
5729.72%44.53M
235.78%3.15M
-84.93%1.66M
-77.14%1.20M
--763.81K
--937.36K
--10.99M
--5.24M
Passivos não circulantes
Dívidas e arrendamentos de longo prazo
--0.00
--0.00
--0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
-98.03%1.69K
-96.09%3.37K
-94.16%5.06K
-4.80%82.83K
-1.93%85.77K
21.24%86.16K
147.79%86.57K
190.01%87.00K
--87.46K
--71.07K
--34.94K
--30.00K
--0.00
--0.00
--0.00
--0.00
--0.00
-Dívida de longo prazo
----
----
----
----
----
-100.00%0.00
-100.00%0.00
-98.03%1.69K
-96.09%3.37K
-94.16%5.06K
-4.80%82.83K
-1.93%85.77K
21.24%86.16K
147.79%86.57K
190.01%87.00K
--87.46K
--71.07K
--34.94K
--30.00K
----
----
----
----
----
Passivos diferidos
-30.94%63.16K
-28.70%68.14K
-16.39%68.67K
--86.57K
--91.46K
--95.56K
--82.13K
----
----
----
----
----
----
-100.00%0.00
--1.34K
--7.72K
--8.93K
--5.06K
----
----
----
----
----
----
Outros passivos não circulantes
-30.94%63.16K
-28.70%68.14K
-16.39%68.67K
--86.57K
--91.46K
--95.56K
--82.13K
----
----
----
----
----
----
-100.00%0.00
--1.34K
--7.72K
--8.93K
--5.06K
----
----
----
----
----
----
Total de passivos não circulantes
-38.62%296.07K
-34.68%342.01K
-36.89%382.52K
-26.80%441.05K
98.77%482.37K
109.65%523.58K
62.64%606.09K
46.50%602.53K
-44.13%242.67K
-46.32%249.74K
46.99%372.67K
48.16%411.28K
196.70%434.36K
343.55%465.21K
139.40%253.53K
186.56%277.58K
69.56%146.40K
12.69%104.89K
--105.90K
--96.87K
--86.34K
--93.07K
----
----
Total de passivos
-25.57%5.44M
-29.59%5.58M
-20.02%4.17M
219.93%12.52M
88.34%7.31M
120.22%7.92M
106.17%5.21M
53.75%3.91M
-52.78%3.88M
-49.94%3.60M
-86.66%2.53M
-94.79%2.55M
-81.60%8.22M
120.98%7.19M
975.68%18.95M
3673.63%48.86M
5154.89%44.67M
215.63%3.25M
-83.96%1.76M
-75.29%1.29M
--850.15K
--1.03M
--10.99M
--5.24M
Patrimônio líquido dos acionistas
Capital ordinário
14.39%122.51M
17.58%122.22M
13.53%117.24M
7.15%109.89M
4.37%107.10M
14.39%103.94M
14.75%103.27M
16.00%102.56M
16.37%102.62M
3.91%90.86M
-15.46%89.99M
6.91%88.41M
8.31%88.18M
118.79%87.44M
198.48%106.44M
142.90%82.70M
160.84%81.42M
31.93%39.97M
57.98%35.66M
153.25%34.05M
--31.21M
--30.29M
--22.57M
--13.44M
Lucros retidos
-14.64%-120.89M
-13.40%-117.47M
-13.42%-112.74M
-19.79%-112.54M
-21.15%-105.45M
-29.52%-103.59M
-56.80%-99.40M
-61.85%-93.95M
-48.73%-87.04M
-52.85%-79.98M
2.64%-63.39M
34.78%-58.05M
28.03%-58.53M
-44.86%-52.32M
-99.56%-65.11M
-194.97%-89.01M
-178.42%-81.32M
-28.52%-36.12M
-23.30%-32.63M
-65.75%-30.18M
---29.21M
---28.10M
---26.46M
---18.21M
Reservas de capital
59.54%11.28M
67.02%11.47M
42.59%11.05M
-3.80%7.44M
-8.58%7.07M
-5.43%6.87M
-1.86%7.75M
7.64%7.74M
10.13%7.74M
13.40%7.26M
-0.29%7.90M
7.56%7.19M
17.95%7.02M
111.84%6.41M
168.56%7.92M
206.29%6.68M
162.22%5.96M
20.56%3.02M
68.81%2.95M
147.35%2.18M
--2.27M
--2.51M
--1.75M
--882.18K
Ganhos (perdas) fora do lucro retido
-504.64%-138.99K
-336.74%-130.10K
-332.97%-136.09K
-80.07%28.26K
-72.22%34.35K
-64.08%54.96K
-74.50%58.42K
218.93%141.78K
143.50%123.63K
178.04%153.00K
613.66%229.07K
-0.97%-119.21K
-199.19%-284.22K
-188620.19%-196.06K
-3843.06%-44.60K
-116999.01%-118.07K
1974.23%286.53K
--104.00
---1.13K
--101.00
--13.81K
----
----
----
Patrimônio total
-12.03%1.48M
1033.58%4.62M
11.05%4.36M
-129.97%-2.62M
-89.31%1.68M
-96.31%407.72K
-85.36%3.93M
-71.07%8.75M
-46.56%15.70M
-68.39%11.04M
-35.02%26.83M
570.12%30.24M
7599.66%29.37M
807.60%34.93M
1260.93%41.29M
-266.25%-6.43M
-81.11%381.49K
75.61%3.85M
178.05%3.03M
181.26%3.87M
--2.02M
--2.19M
---3.89M
---4.76M
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Opinião da Auditoria
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KeyAI