Safety Shot, Inc. (SHOT)
Q4-CY2025Q3-CY2025Q2-CY2025Q1-CY2025Q4-CY2024Q3-CY2024Q2-CY2024Q1-CY2024Q4-CY2023Q3-CY2023Q2-CY2023Q1-CY2023Q4-CY2022Q3-CY2022Q2-CY2022Q1-CY2022Q4-CY2021Q3-CY2021Q2-CY2021Q1-CY2021Q4-CY2020Q3-CY2020Q2-CY2020Q1-CY2020Q4-CY2019Q3-CY2019Q2-CY2019Q1-CY2019Q4-CY2018Q3-CY2018Q2-CY2018Q1-CY2018Q4-CY2017Q3-CY2017Q2-CY2017Q1-CY2017Q4-CY2016Q3-CY2016Q2-CY2016Q1-CY2016Q4-CY2015Q3-CY2015Q2-CY2015Q1-CY2015Q4-CY2014Q3-CY2014Q2-CY2014Q1-CY2014Q4-CY2013
Balance Sheet Date2025-Sep-302025-Jun-302025-Mar-312024-Dec-312024-Sep-302024-Jun-302024-Mar-312023-Dec-312021-Mar-312020-Dec-312020-Sep-30
Fiscal PeriodQ3-FY2025Q2-FY2025Q1-FY2025Q4-FY2024Q3-FY2024Q2-FY2024Q1-FY2024Q4-FY2023Q1-FY2021Q4-FY2020Q3-FY2020
Total Assets81,041,676$42,067,222$8,694,791$7,338,403$8,375,444$10,694,624$9,214,880$12,709,180$8,690,763$5,081,935$6,525,593$1,765,985$745,789$
Total Current Assets58,493,917$21,942,705$4,031,433$2,580,353$3,476,294$5,948,758$4,344,429$7,690,824$6,751,489$3,588,509$4,988,264$535,208$745,789$
Cash and Cash Equivalents3,007,792$4,262,168$131,113$358,997$531,026$503,410$
Receivables511,557$
Other Current Assets55,693$56,364$86,174$
Assets Held for Sale in Short Term611,316$
Total Noncurrent Assets22,547,759$20,124,517$4,663,358$4,758,050$4,899,150$4,745,866$4,870,451$5,018,356$1,939,274$1,493,426$1,537,329$1,230,777$0$
Goodwill12,594,180$12,594,180$941,937$941,937$308,690$
Other Intangible Assets7,637,261$7,167,982$4,325,859$4,364,321$4,450,201$4,307,357$4,409,207$4,511,057$5,062,225$518,097$559,800$884,295$
Physical Assets75,134$85,913$85,064$94,007$102,949$47,220$25,621$28,272$52,494$33,392$35,592$37,792$
Other Noncurrent Assets2,195,379$
Assets Held for Sale in Long Term1,242,803$
Total Liabilities5,522,457$18,978,853$9,237,429$9,511,455$1,996,956$4,225,173$3,644,366$3,892,044$5,025,169$650,755$2,132,052$2,556,982$366,581$
Total Current Liabilities5,522,457$18,926,700$9,185,276$9,397,307$1,827,418$3,371,286$3,396,925$3,587,137$4,505,510$650,755$2,125,668$2,526,844$336,444$
Accounts Payable3,061,657$6,158,120$2,841,666$2,218,810$1,266,369$1,106,080$1,053,812$1,493,809$1,548,384$453,328$688,835$7,768$10,721$
Short Term Debt
Short Term Capital Lease Obligations57,700$262,549$223,835$212,964$207,689$237,432$223,835$212,964$164,170$24,606$23,754$5,396$20,566$
Other Current Liabilities
Total Noncurrent Liabilities0$52,153$52,153$114,148$169,538$853,887$247,441$304,907$519,659$0$6,384$30,138$30,137$
Long Term Debt
Long Term Capital Lease Obligations52,153$52,153$114,148$169,538$188,921$52,153$114,148$519,659$6,384$30,138$30,137$
Other Noncurrent Liabilities
Total Equity75,519,219$23,088,369$(542,638$)(2,173,052$)6,378,488$6,469,451$5,570,514$8,817,136$6,709,126$5,668,504$5,808,095$3,665,594$16,602,419$4,431,180$4,393,541$(790,997$)379,208$
Equity to Minority
Equity to Common Shareholders75,519,219$23,088,369$(542,638$)(2,173,052$)6,378,488$6,469,451$5,570,514$8,817,136$6,709,126$5,668,504$5,808,095$3,665,594$16,602,419$4,431,180$4,393,541$(790,997$)379,208$
Additional Paid-In Capital193,290,065$128,127,748$117,854,689$110,856,719$105,967,868$95,336,033$86,458,794$73,726,987$53,763,929$13,554,234$11,657,286$1,264,768$1,032,511$
Retained Earnings(140,839,619$)(107,258,403$)(120,417,280$)(115,090,347$)(101,558,757$)(89,629,480$)(81,355,386$)(65,680,715$)(50,597,674$)(9,470,164$)(7,274,401$)(2,507,658$)(985,196$)
Treasury Stock
Capital Lease Obligations870,406$870,406$870,406$870,406$207,689$237,432$226,030$