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EQUITY / NASDAQ · XNCM
Draganfly Inc. Common Stock
No accepted understanding yet. Follow this company to establish research where evidence supports it.
Open research workspace →01/01/2025 – 12/31/2025 · CAD · Units
Reported figures establish facts for this period; they do not by themselves establish a profitability trend.
Open report ↗5.35 USD · 1.2299%
Observed: Oct 2, 2026, 11:53 PM · TickerLayer indicative price; may be delayed
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10/02/2026 · 5.285 USD · Volume 1,063,606
681 actual observations · Latest bar: 2026-10-02 · Market data is indicative; provider terms apply.
4 available financial reports
Research reports →SEC FINANCIAL REPORTS
01/01/2025 – 12/31/2025 · Units
| Metric | 2025 / Year end | 2024 / Year end | Change |
|---|---|---|---|
| Revenue | 7,731,163 CAD | 6,561,055 CAD | +17.83% |
| Net income | -22,981,079 CAD | -13,877,473 CAD | — |
| Operating cash flow | -23,875,719 CAD | -11,834,271 CAD | — |
| Cash and cash equivalents | 90,156,821 CAD | 6,252,409 CAD | +1,341.95% |
| Total liabilities | 4,791,078 CAD | 5,578,305 CAD | -14.11% |
Changes are calculated only for matching period length, consolidation, currency, and scale. Percentages are not shown for zero or negative baselines.
Each column uses its report's scale. Check column headers before comparing different consolidation scopes and scales.
| Financial metric | 2025 / Year end01/01/2025 – 12/31/2025ConsolidatedUnits · CAD | 2024 / Year end01/01/2024 – 12/31/2024ConsolidatedUnits · CAD | 2023 / Year end12/31/2023 – 12/31/2023ConsolidatedUnits · CAD | 2023 / Year end01/01/2023 – 12/31/2023ConsolidatedUnits · CAD |
|---|---|---|---|---|
| Cash and cash equivalentsBalance sheet | 90,156,821 CAD | 6,252,409 CAD | 3,093,612 CAD | 3,093,612 CAD |
| Financing cash flowCash flow statement | 109,058,611 CAD | 15,026,326 CAD | — | 14,446,923 CAD |
| Gross profitIncome statement | 1,321,336 CAD | 1,398,204 CAD | — | 2,064,114 CAD |
| Investing cash flowCash flow statement | -853,391 CAD | -23,314 CAD | — | -379,577 CAD |
| Net incomeIncome statement | -22,981,079 CAD | -13,877,473 CAD | — | -23,611,810 CAD |
| Operating cash flowCash flow statement | -23,875,719 CAD | -11,834,271 CAD | — | -18,773,654 CAD |
| RevenueIncome statement | 7,731,163 CAD | 6,561,055 CAD | — | 6,554,842 CAD |
| Total assetsBalance sheet | 101,387,873 CAD | 10,200,088 CAD | — | 8,330,292 CAD |
| Total equityBalance sheet | 96,596,795 CAD | 4,621,783 CAD | 407,716 CAD | 407,716 CAD |
| Total liabilitiesBalance sheet | 4,791,078 CAD | 5,578,305 CAD | — | 7,922,576 CAD |
| Report source | Open report ↗ Published: 03/24/2026 | Open report ↗ Published: 03/24/2026 | Open report ↗ Published: 03/24/2026 | Open report ↗ Published: 03/27/2025 |
The latest available source version is shown for each period. Previous versions and correction relationships are not shown in this view.