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Safe-T Group Ltd. (IL:ALAR)
:ALAR
Israel Market

Safe-T Group (ALAR) Financial Statements

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Safe-T Group Financial Overview

Safe-T Group's market cap is currently 172.17M. The company's EPS TTM is 0.399; its P/E ratio is 6.44; Safe-T Group is scheduled to report earnings on April 1, 2025, and the estimated EPS forecast is ―. See an overview of income statement, balance sheet, and cash flow financials.
Dec 23Dec 22Dec 21Dec 20Dec 19
Income Statement
Total Revenue$ 26.52M$ 18.78M$ 10.28M$ 4.89M$ 3.28M
Gross Profit$ 19.11M$ 10.13M$ 5.14M$ 2.39M$ 1.40M
Operating Income$ -5.50M$ -13.42M$ -15.01M$ -11.33M$ -9.79M
EBITDA$ -2.90M$ -10.53M$ -9.70M$ -8.03M$ -7.47M
Net Income$ -5.53M$ -13.15M$ -13.13M$ -7.84M$ -13.00M
Balance Sheet
Cash & Short-Term Investments$ 10.87M$ 3.29M$ 9.71M$ 11.02M$ 4.34M
Total Assets$ 20.07M$ 22.37M$ 30.65M$ 22.97M$ 17.84M
Total Debt$ 1.99M$ 3.05M$ 562.00K$ 663.00K$ 7.66M
Net Debt$ -8.89M$ -244.00K$ -3.27M$ -10.35M$ 3.32M
Total Liabilities$ 6.88M$ 9.06M$ 6.47M$ 6.76M$ 15.06M
Stockholders' Equity$ 13.18M$ 13.31M$ 24.19M$ 16.22M$ 2.78M
Cash Flow
Free Cash Flow$ 4.67M$ -8.11M$ -9.49M$ -6.75M$ -6.78M
Operating Cash Flow$ 4.73M$ -8.05M$ -9.21M$ -6.61M$ -6.73M
Investing Cash Flow$ 592.00K$ 5.04M$ -9.80M$ -1.19M$ -5.60M
Financing Cash Flow$ 2.21M$ 2.60M$ 11.74M$ 14.71M$ 13.11M
Currency in USD

Safe-T Group Earnings and Revenue History

Safe-T Group Debt to Assets

Safe-T Group Cash Flow

Safe-T Group Forecast EPS vs Actual EPS

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