AgEagle Aerial Systems, Inc.

AMEX:UAVS

0.1339 (USD) • At close November 17, 2023
Overview | Financials

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

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Operating Activities:
Net Income -2.93-6.316-24.512-8.02-5.291-4.599-46.721.665-5.602-7.597-18.729-3.771-4.678-2.931-2.695-0.579-1.255-0.403-0.655-0.563-0.739-0.565-0.474-0.69-0.712-0.203-1.339-0.31911.17-1.237-2.327-1.694-3.463-5.692-12.31-8.946-13.311-17.3553.6891.788-1.0070.1041.174-0.620.7170.020.057-1.2963.062-1.082-3.2113.1190.922-2.847-0.8031.048-1.809-3.039-0.5360.436-0.376-1.424-2.875-0.632-0.75-0.8361.218-4.46-0.488-0.245-1.062-0.21-0.0150.025-0.0110.025-0.006-0.007-0.0110
Depreciation & Amortization 0.2660.2811.5051.0131.0131.0011.0521.0430.9680.8760.7170.330.320.1350.0450.0440.0420.0420.0430.0420.0410.0450.0410.0160.0040.004234.1350.0050.0840.124413.9670.0640.3430.1641,311.4460.1120.3430.7463,549.2450.8990.8320.7641,856.66000.4451.633000-0.276000.276000.046000-0.58400.3060.4360.4030.387-1.6791.8240.1630.0220.02000000000.167
Deferred Income Tax 00-3.0633.0330.030000012.681000-1.80200000000.275-0.0300-234.33000.011000000000000000000000002.234002.97400000000000000000000000
Stock Based Compensation 0.0290.0190.180.1430.470.5130.3620.5570.7481.7541.1880.7932.0820.4460.1380.1250.0850.0550.0430.0720.0840.0610.0190.0670.0220.0020.022000.02400.1580.3080.2280000000000000000.0530000.01900-2.81500000000000000000000000
Change In Working Capital 1.0090.4750.5531.511.06-1.169-1.176-0.349-1.235-1.536-1.607-0.476-2.951.2211.699-0.3230.48-0.053-0.2910.286-0.1170.0410.6810.01-0.394-0.5730.814-0.024-0.2780.8150.7690.461-0.703-0.8820.689-0.227-1.139-0.6710.2110.7430.157-1.32-0.0040.874-0.141-0.680.924-0.3851.447-1.5270.628-1.0790.1350.457-0.031-0.1840.0850.577-0.133-0.1090.863-0.44-0.4210.1520.18-0.3940.513-0.0810.0210.0810.9310.0800.004-0.0040.00400-0.004-0.133
Accounts Receivables -0.1890.67600.0910.817-0.6851.0340.547-0.711-0.2330.7080.19-0.25-0.1331.8-0.0030.050.016-0.057-0.0070.01-0.0110.014-0.008-0.00600.1210.0050.006-0.0270.220.185-0.1170.0890.0450.954-1.0170.3190.580.2090.494-0.099-0.224-0.3710.2190.0150.068-0.0440.482-0.274-0.528-0.125-0.146-0.298-0.0670.0650.0330.12700-0.23500-0.803-0.22300-0.141000000000000
Change In Inventory 0.070.278-0.6070.4010.1210.139-0.383-0.519-0.415-1.287-1.069-0.707-0.136-0.070.0230.305-0.3470.105-0.073-0.0230.0090.015-0.012-0.0010.0110.0150-0-0-0.0160.04-0.023-0.004-0.0550.09-0.0480.0360.0250.0160.02-0.0490.0040.204000000000000000000.23500-0.382-0.15200-0.003000000000000
Change In Accounts Payables 0.411-0.3410.8420.630.018-0.384-0.40.0660.247-0.595-0.070.0350.5160.0710.0010.0170.0570.028-0.004-0.075-0.0910.030.6370.001-0.404-0.461-0.028-0.061-0.5490.543-0.0860.067-0.381-0.4480.361-0.41-0.836-1.0150.3140.45-0.2260.081-0.4430.798-0.444-0.4560.821-0.5591.054-1.2881.23-0.6450.4310.230.027-0.0670.0120.188-0.274-0.064-0.024001.1860.375000.145000.290.07500.004-0.0040.00400-0.004-0.133
Other Working Capital 0.718-0.1380.3180.3880.104-0.239-1.426-0.443-0.3550.579-1.1750.005-3.0811.353-0.125-0.6410.72-0.202-0.1570.391-0.0440.0070.0430.0190.006-0.1270.7210.0310.2650.3150.5940.232-0.201-0.4680.192-0.7240.6780-0.6980.064-0.061-1.3050.4590.4470.084-0.2390.0340.218-0.090.035-0.074-0.309-0.150.5260.01-0.1820.040.2620.141-0.0450.887-0.44-0.4210.1520.18-0.3940.513-0.0810.0210.0810.6410.005-0-0.0040.004-0.004000.0040.133
Other Non Cash Items 0.4643.95623.1020.2750.1690.0241.717-6.630.002-0.008-0.035-0.0472.8490.8481.8020.0010.298-0.1960.1630.3050.1910.028-0.2750.2650.166-0.4610.0190.359-11.3030.056-413.2161.0813.3075.722-1,299.2289.32513.64416.734-3,552.92-2.0051.0750.386-1,856.521.192-0.1180.114-1.1661.95-2.5951.2092.982-2.945-1.2190.0440.869-1.011.012.9881.030.4630.6535.3512.2830.3960.5090.390.0292.3370.1360-1.0090.12-0-0.0040.004-0.0040.0060.0070.004-0.317
Operating Cash Flow -1.43-1.553-2.127-2.046-2.549-4.235-4.766-3.714-5.118-6.51-5.785-3.171-2.378-1.129-0.814-0.732-0.351-0.36-0.697-0.162-0.54-0.4190.267-0.362-0.914-0.77-0.7260.017-0.326-0.207-0.807-0.088-0.516-0.6880.5960.264-0.463-0.5450.2251.4251.058-0.0661.3091.4470.458-0.1011.4480.2691.914-1.3470.122-0.905-0.1630.1840.036-0.145-0.5090.5260.360.790.5563.487-0.7080.3510.342-0.4520.081-0.379-0.167-0.141-1.12-0.01-0.0150.025-0.0110.025-0.006-0.007-0.011-0.283
Investing Activities:
Investments In Property Plant And Equipment -0.05-0.043-0.213-0.14-0.17-0.254-0.297-0.384-0.501-0.567-0.913-0.409-0.291-0.289-0.109-0.064-0.004-0.0020.033-0.023-0.03500000000-0.0050.001-0.167-0.086-0.008-0.059-0.087-0.019-0.116-1.994-2.704-1.382-1.315-2.791-1.99-1.559-1.519-3.89-1.918-2.779-1.776-2.387-1.359-1.605-1.21400-0.1280.007-0.053-0.127-0.81-0.236-1.274-1.008-0.63-2.051-5.399-1.60-0.004-0.04000000000
Acquisitions Net 000000-6.611-3.6742.937-2.937-11.458-5.472-10.992-12.9900000000-0.656-0.490.256-0.035-0.07500000000000000000000000000000000000000000000000000000
Purchases Of Investments 00000000000.763-0.394-0.163-0.206000000000000000000000000000000000000000000000000000000000000000000
Sales Maturities Of Investments 000000000000000000000000000000000000000000000000001.4001.400000000000000000000000000
Other Investing Activites 0-0.021-0.093-0.093-0.127-0.2496.611-3.674-2.937-0.4920.515-0.2-0.163-0.206-0.60000.0350-0.0350-0.6350.03500.2560000-0.05000.0050.0294.2270.02600.001000.9880.0110.6420.4360.017-0.2230.008003.92500-2.900.0880.0490000.30-0.30.30.32300-0.0140.009-0.01-0.11000000000
Investing Cash Flow -0.05-0.043-0.213-0.14-0.17-0.254-0.297-4.059-0.501-3.503-11.855-6.08-11.283-13.279-0.709-0.064-0.004-0.0020.033-0.023-0.0350-1.291-0.490.2560.221000-0.005-0.049-0.167-0.086-0.008-0.0314.1410.006-0.116-1.993-2.704-1.381-0.328-2.779-1.347-1.123-1.502-4.113-1.91-2.779-1.7762.938-1.359-1.605-2.71400.088-0.0790.007-0.053-0.127-0.51-0.236-1.574-0.708-0.307-2.051-5.399-1.60.009-0.014-0.15000000000
Financing Activities:
Debt Repayment -0.314-0.353-0.005-0.046-0.004-0.045-3.113-0.17300-0.180000000-0.0410-0.009-0.032-0.021-0.03100-0.068-0.09300-0.687-0.075-0.205-0.407-0.448-2.426-2.055-0.007-0.008-0.009-14.009-0.009-0.234-0.2-0.2-0.2-0.0160-0.014-0.004-3.006-0.005-0.005-0.004-0.005-0.019-0.345-0.21-0.267-0.779-0.1070000000000000000000
Common Stock Issued -0.114-0.1591.82503.81734.5830.013-4.5834.5830.012.25928.68214.661-09.90000001.97003.981,681.22100000004,601.098002.71413,347.56400000000000-3.43601.2162.220000000000-0004.3140-0.0540000000000.098
Common Stock Repurchased -0.114-0.1592.955000-3.113000000000000000-00-0.211000000000-4,601.163000.5-13,345.567000000000003.49200000000000000000000.77000000000
Dividends Paid 0-0.061-0.3400-0.067-0.1730000000-9.11100-0.04-0.16400-0.040000-208.5000-3,010.211000-0.195-0.586-0.546-0.47-0.014-0.52200-0.191-0.19900-0.218-0.15600-0.05600000000000000000000000000000
Other Financing Activities 2.0751.4481.82-0.0463.77635.10.17314.5340.0310.012.25928.68214.6619.8812.68212.9070.040.2050-0.0090.041.98-0.0310.0073.980.050.1380.0580.193,011.018-0.060.030.030.011-0.0151.9810.0520.0381.73213.5350.5311.9831.2880.6321.53.260.6331.781.0241.494001.40-0.0190.6890-00.0390-3.3271.5010.45-0.042-0.0932.7323.7060.250.154-0.040.010.005-0.0170.017-0.017000.017-0.098
Financing Cash Flow 1.6471.6421.82-0.0463.8212.9553.2850.0139.9514.6140.012.25928.68214.6610.7712.58212.907-0.04-0.0820-0.009-0.0321.949-0.0310.0073.980.050.1380.0580.190.12-0.135-0.175-0.377-0.698-3.027-0.622.7892.0131.2-0.4740.5221.5580.8890.4321.33.0260.4781.7661.02-1.512-0.0051.2113.616-0.005-0.0190.345-0.21-0.267-0.74-0.107-3.3271.5010.45-0.042-0.0932.7328.020.250.10.730.010.005-0.0170.017-0.017000.0170.098
Other Information:
Effect Of Forex Changes On Cash -0.013-0.042-0.262-0.370.297-0.0130.825-0.443-0.013-0.00500000000.040.08200000-0.2560-0.050000000000000000000000-0000000000000000000000000000000
Net Change In Cash 0.1540.004-0.781-2.6021.355-1.502-0.953-8.2034.319-5.404-17.631-6.99315.0210.253-0.75311.78612.552-0.362-0.664-0.186-0.584-0.4510.924-0.883-0.9073.4310.663-0.076-0.10.012-0.735-0.39-0.776-1.072-0.1321.377-1.0772.1280.245-0.079-0.7970.1280.0880.989-0.233-0.3030.361-1.1630.901-2.1021.549-2.27-0.5571.0860.031-0.076-0.2430.3230.04-0.078-0.061-0.076-0.780.093-0.006-2.596-2.5866.040.092-0.056-0.540-0.0090.0070.0060.007-0.006-0.0070.006-0.186
Cash At End Of Period 0.9770.8230.8191.64.2022.8484.355.30213.5069.18714.59132.22239.21524.19423.9424.69312.9080.3560.7181.3821.5672.1512.6021.6772.563.4670.6780.0150.0910.190.1280.8631.2532.033.1023.2341.8572.9340.8060.5610.6391.4371.3081.220.2310.4640.7670.4061.5690.6682.771.2223.4914.0480.1240.0930.1690.4120.090.050.1280.1880.2641.0440.9510.9573.5536.140.0990.008-0.530-0.0090.0130.0060.001-0.006-0.0070.0060.369