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DFSCDEFSEC Technologies Inc.
$2.15$3M
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HomeStocksDFSCQuarterly Balance Sheet

DEFSEC Technologies Inc. (DFSC) Quarterly Balance Sheet

120+ quarters historyFree accessUpdated daily

DEFSEC Technologies Inc. (DFSC) quarterly balance sheet — complete assets, liabilities & equity history

DFSC Balance Sheet

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ2'26Q1'26Q4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24
Total Current Assets6.06M7.53M8.95M4.57M6.45M4.61M1.84M2.67M2.17M
Cash & Short-Term Investments3.01M5.04M6.69M2.54M4.41M2.85M256.83K1.18M263.73K
Cash Only2.96M5.04M6.69M2.54M4.41M2.85M256.83K1.18M263.73K
Short-Term Investments47.62K00000000
Accounts Receivable2.02M1.14M1.49M1.13M1.08M1.04M567.88K401.6K562.24K
Days Sales Outstanding93.1992.5487.9171.0175.5383.3279.65133.1422.38
Inventory515.74K587.17K519.61K508.75K581.2K529.78K533.16K618.86K612.84K
Days Inventory Outstanding41.4956.3862.848.7152.62101.2175.12194.14917.95
Other Current Assets519.93K111.1K245.84K109.44K46.35K184.94K484.49K470.78K731.43K
Total Non-Current Assets3.77M3.83M3.98M5.53M3.14M3.46M3.77M4.07M4.35M
Property, Plant & Equipment1.36M1.38M1.44M2.93M311.66K401.93K541.84K603.12K669.88K
Fixed Asset Turnover1.11x0.93x0.63x0.87x3.54x1.88x0.98x0.52x0.73x
Goodwill000000000
Intangible Assets2.21M2.29M2.39M2.49M2.73M2.96M3.17M3.42M3.65M
Long-Term Investments000000000
Other Non-Current Assets204.8K152.79K141.11K112.4K99.31K95.81K58.13K48.62K27.41K
Total Assets9.83M11.36M12.92M10.11M9.59M8.07M5.62M6.74M6.52M
Asset Turnover0.14x0.11x0.12x0.14x0.14x0.13x0.09x0.05x0.07x
Asset Growth %2.58%40.73%130.04%49.9%47.12%----
Total Current Liabilities2.53M1.77M2.92M2.15M1.56M1.79M2.98M2.33M4.35M
Accounts Payable2.07M1.31M409.7K304.65K383.12K470.86K881.84K713.82K1.15M
Days Payables Outstanding127.3787.8543.6230.7440.45128.79242.56294.251.73K
Short-Term Debt17.16K00000000
Deferred Revenue (Current)37.44K07.67K78.52K122.61K92.99K120.57K107.1K95.9K
Other Current Liabilities404.03K145.66K210.97K360.82K191.23K399.42K847.29K288.85K2.2M
Current Ratio2.40x4.25x3.07x2.13x4.13x2.57x0.62x1.15x0.50x
Quick Ratio2.19x3.92x2.89x1.89x3.76x2.28x0.44x0.88x0.36x
Cash Conversion Cycle7.361.06107.0988.9987.755.7312.2133-386.69
Total Non-Current Liabilities2.17M2.32M2.2M3.37M1.24M1.27M1.27M1.27M1.46M
Long-Term Debt000000000
Capital Lease Obligations1.24M1.19M1.11M2.33M38.49K103.87K155.15K194.98K228.39K
Deferred Tax Liabilities000000000
Other Non-Current Liabilities924.05K1.13M1.09M1.04M1.2M1.16M1.12M1.07M1.23M
Total Liabilities4.7M4.09M5.12M5.52M2.8M3.06M4.25M3.59M5.8M
Total Debt1.26M1.3M1.3M2.74M179.46K268.25K302.22K342.22K368.43K
Net Debt-1.7M-3.74M-5.38M197.54K-4.23M-2.59M45.4K-836.66K104.69K
Debt / Equity0.25x0.18x0.17x0.60x0.03x0.05x0.22x0.11x0.52x
Debt / EBITDA---------
Net Debt / EBITDA---------
Interest Coverage-54.13x-25.21x-31.13x-31.14x-29.18x-53.13x-37.83x-17.14x-54.48x
Total Equity5.14M7.27M7.8M4.58M6.78M5.01M1.37M3.15M712.38K
Equity Growth %-24.25%44.95%470.18%45.7%852.15%----
Book Value per Share2.584.856.487.3328.6234.72-75.0625.69
Total Shareholders' Equity5.14M7.27M7.8M4.58M6.78M5.01M1.37M3.15M712.38K
Common Stock47.98M47.85M47M44.2M43.2M42.21M37.82M37.42M33.97M
Retained Earnings-56.53M-54.36M-52.28M-49.87M-47.57M-46.11M-42.65M-40.32M-39.15M
Treasury Stock000000000
Accumulated OCI8.28M8.38M-85.08K-55.54K-133.41K-134.8K-38.52K-57.44K-42.87K
Minority Interest000000000