DarkPulse, Inc.

OTC:DPLS

0.00155 (USD) • At close November 17, 2023
Overview | Financials

Numbers are in millions (except for per share data and ratios) USD.

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995
Operating Activities:
Net Income -20.821-35.518-4.826-0.276-1.825-3.318-0.185-0.269-0.499-0.2780.521-0.4510.209-0.393-0.5550.0961.564-0.85-0.737-0.632-1.362-1.026-2.342-4.066-1.7-1.5-0.76-0.83-1.31
Depreciation & Amortization 0.5571.5680.1290.0870.0510.0510.0310.0290.0230.0240.0160.003000000.0070.0440.1440.230.2390.2470.2330.20.220.180.160.12
Deferred Income Tax 00-4.17600.6220.6540000-0.404-0.00700000000000000000
Stock Based Compensation 000.60300.1421.603000.16300.4040.021000.00200.020.04400000000000
Change In Working Capital 0.5530.471-1.7810.270.410.4110.0520.180.20.1570.0460.2580.3220.1610.096-0.116-1.9320.6140.390.2530.3780.7770.478-0.6690.3-0.74-0.10.050.28
Accounts Receivables -0.2681.460.7710000000000000.0250000000000000
Inventory 0.024-0.0121.17600000000000000000000000000
Accounts Payables 4.8023.499-2.440.1960.2650.0490.0220.0360.0310.0210.0330.070.030.1270.093-0.002-0.07700000000-0.510.01-0.010
Other Working Capital -4.005-4.476-1.2880.0740.1450.3620.0290.1440.1690.1360.0120.1880.2910.0350.002-0.139-1.85500000000-0.23-0.010.060.28
Other Non Cash Items 10.61411.739-1.312-0.0720.429-0.2910.0520.0590.0130.055-0.7310.007-0.7060.1570.0200.050.0340.023-0.1130.492-0.2010.2361.10501.450.0900.18
Operating Cash Flow -5.653-21.739-11.3630.008-0.172-0.891-0.05-0.059-0.1-0.042-0.148-0.168-0.175-0.074-0.437-0.02-0.298-0.152-0.28-0.349-0.262-0.21-1.382-3.397-1.2-0.57-0.59-0.62-0.73
Investing Activities:
Investments In Property Plant And Equipment -0.102-2.075-0.946-0.005-0.055-0.063-0.009-0.044-0.121-0.082-0.108-0.14-0.132-0.066000-0.007-0.013000-0.066-0.078-0.5-0.01-0.01-0.01-0.02
Acquisitions Net -0.113-0.104-0.58300-0.0380.03100000000000000-0.0360000000
Purchases Of Investments -0.113-1.604000000000000000000000000000
Sales Maturities Of Investments 01.604000000000000000000000000000
Other Investing Activites -0.113-2.867-0.159-0.005-0.055-0.038-0.007-0.044-0.121-0.0820-0.140.4920000000.314-0.0190.013-0.056-0.0340-0.02-0.02-0.04-0.03
Investing Cash Flow -0.215-5.045-1.689-0.005-0.055-0.102-0.009-0.044-0.121-0.082-0.108-0.140.36-0.066000-0.007-0.0130.314-0.019-0.023-0.122-0.112-0.5-0.03-0.03-0.05-0.05
Financing Activities:
Debt Repayment -0.145-0.111-0.385-0.044-0.025-0.076-0.007-0.006-0.0080-0.025000-0.016-0.0030-0.00400000000000
Common Stock Issued 3.50224.27614.5930000.050.070.2080.0920.3170.1220.0380.0750.450.0120.2730.1470.2730.0650.1740.0250.4842.5221.70000
Common Stock Repurchased 000000000.11400.085000000000000000.660.570.690.82
Dividends Paid 000000-0.035-0.086-0.1140-0.06000000000000000000
Other Financing Activities -0.01524.1663.1030.040.181.1320.0380.0920.030.004-0.0110.011-0.0450.0450.0230.0110.0230.0170.001-0.0090.1060.2111.0170.7880.1-0.020.03-0.02-0.04
Financing Cash Flow 3.63224.16617.311-0.0040.1551.0570.0570.0760.230.0950.3050.133-0.0070.120.4570.020.2960.1590.2740.0560.2790.2361.5013.3091.80.640.60.670.78
Other Information:
Effect Of Forex Changes On Cash 0.1881.02-0.60000000000000000000.2331.50401.70000
Net Change In Cash -2.048-1.5993.659-0.001-0.0710.064-0.002-0.0270.009-0.0280.049-0.1750.177-0.020.020-0.003-0.001-0.0190.021-0.0020.2361.501-0.21.80.04-0.020.010
Cash At End Of Period 0.0122.063.65900.0010.0720.0020.0050.0320.0230.0520.0030.1780.0010.0210.00100.0030.0040.0230.0020.0031.5040.0030.20.050.010.040