| Bubblr Inc. (BBLR) | |||||||||||||||||||||||||||||||||||||||||||||||||
| Q3-CY2026 | Q2-CY2026 | Q1-CY2026 | Q4-CY2025 | Q3-CY2025 | Q2-CY2025 | Q1-CY2025 | Q4-CY2024 | Q3-CY2024 | Q2-CY2024 | Q1-CY2024 | Q4-CY2023 | Q3-CY2023 | Q2-CY2023 | Q1-CY2023 | Q4-CY2022 | Q3-CY2022 | Q2-CY2022 | Q1-CY2022 | Q4-CY2021 | Q3-CY2021 | Q2-CY2021 | Q1-CY2021 | Q4-CY2020 | Q3-CY2020 | Q2-CY2020 | Q1-CY2020 | Q4-CY2019 | Q3-CY2019 | Q2-CY2019 | Q1-CY2019 | Q4-CY2018 | Q3-CY2018 | Q2-CY2018 | Q1-CY2018 | Q4-CY2017 | Q3-CY2017 | Q2-CY2017 | Q1-CY2017 | Q4-CY2016 | Q3-CY2016 | Q2-CY2016 | Q1-CY2016 | Q4-CY2015 | Q3-CY2015 | Q2-CY2015 | Q1-CY2015 | Q4-CY2014 | Q3-CY2014 | |
| Balance Sheet Date | 2026-Jun-30 | 2026-Mar-31 | 2025-Dec-31 | 2025-Sep-30 | 2025-Jun-30 | 2025-Mar-31 | 2024-Dec-31 | 2024-Sep-30 | 2024-Jun-30 | 2024-Mar-31 | 2023-Dec-31 | ||||||||||||||||||||||||||||||||||||||
| Fiscal Period | Q2-FY2026 | Q1-FY2026 | Q4-FY2025 | Q3-FY2025 | Q2-FY2025 | Q1-FY2025 | Q4-FY2024 | Q3-FY2024 | Q2-FY2024 | Q1-FY2024 | Q4-FY2023 | ||||||||||||||||||||||||||||||||||||||
| Operating Cash Flow | (125,382$) | (79,537$) | (93,108$) | (105,253$) | 23,472$ | (96,091$) | 69,367$ | (82,998$) | (12,846$) | (118,164$) | 157,056$ | (129,016$) | (125,206$) | (158,381$) | |||||||||||||||||||||||||||||||||||
| Investing Cash Flow | 195$ | (6,634$) | (654$) | (72,894$) | (143,404$) | (13,728$) | (246,577$) | (1,904$) | 3,615$ | 1,394$ | (226,436$) | (9,096$) | (1,701$) | (11,138$) | |||||||||||||||||||||||||||||||||||
| Purchases of Property and Equipment | |||||||||||||||||||||||||||||||||||||||||||||||||
| Financing Cash Flow | 119,615$ | 84,055$ | 99,658$ | 175,131$ | 161,627$ | 71,073$ | 218,452$ | 84,927$ | 26,941$ | 92,465$ | 136,276$ | 81,159$ | 98,692$ | 203,119$ | |||||||||||||||||||||||||||||||||||
| End Cash Position | |||||||||||||||||||||||||||||||||||||||||||||||||
| Exchange Rate Effect | 94$ | 607$ | 730$ | (392$) | (40,133$) | 104$ | (775$) | (97$) | (17,872$) | 17,588$ | (60,888$) | 53,106$ | (1,393$) | (31,018$) | |||||||||||||||||||||||||||||||||||
| Dividends Paid | |||||||||||||||||||||||||||||||||||||||||||||||||
| Unlevered Free Cash Flow | (125,382$) | (79,537$) | (93,108$) | (105,253$) | 23,472$ | (96,091$) | 69,367$ | (82,998$) | (12,846$) | (118,164$) | 157,056$ | (129,016$) | (125,206$) | (158,381$) | |||||||||||||||||||||||||||||||||||