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Safe Pro Group Inc. (SPAI) — key financial figures for fiscal year 2025 (in USD), standardized from XBRL/iXBRL filings by Hub-Equity:

Revenue (FY2025)
$606.7K
Net Income/Loss (FY2025)
-$14.3M
Total Assets (FY2025)
$19.1M
Total Equity (FY2025)
$17.7M
Cash Flows from Operating Activities (FY2025)
-$6.2M

Source: Safe Pro Group Inc. 10-K filing (FY2025). Full income statement, balance sheet and cash flow, restatement-aware and traceable to the source filing, at Hub-Equity.

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