Pool Safe Inc.

PFFEF · OTC
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9/30/2025
6/30/2025
3/31/2025
12/31/2024
Market Cap$1$1$1$1
- Cash$0$0$0$0
+ Debt$2$2$3$3
Enterprise Value$2$3$4$3
Revenue$1$0$0$0
% Growth34.4%469%190.5%
Gross Profit$1$0-$0-$0
% Margin87.8%58.4%-183.8%-530.2%
EBITDA$0$0-$0-$0
% Margin74.1%33.9%-344.7%-1,160.4%
Net Income$0-$0-$0-$1
% Margin29.6%-4.7%-560.2%-2,087.8%
EPS Diluted0.001-0-0.004-0.006
% Growth750%94.9%30.4%
Operating Cash Flow$0-$0-$0$0
Capital Expenditures-$0-$0-$0$0
Free Cash Flow$1-$0-$1$0
Pool Safe Inc. (PFFEF) Financial Statements & Key Stats | AlphaPilot