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PFFEF:OTCMKTS
Pool Safe Inc
0.00%
(0.00) 1D
Jun 15, 12:20:04 AM GMT-4  ·   USD
All symbols
SymbolPriceChange% Change
Generating top insights for PFFEF...
Mkt. cap
3.09M
Volume
0.00
52-wk high
$0.00
52-wk low
$0.00
Beta
6.73
Shares outstanding
17.18M
Mkt. cap
3.09M
Volume
0.00
52-wk high
$0.00
52-wk low
$0.00
Beta
6.73
Shares outstanding
17.18M
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About Pool Safe Inc
CEO-
Employees-
Founded2009
Headquarters-
SectorLeisure
Previous reportsAll values in CAD
Loading Previous Earnings...
Income statement
Revenue
Net income
All values in CAD
Jun 2025
Sep 2025
Dec 2025
Mar 2026
Revenue
449.00K
840.67K
34.31K
84.08K
Cost of goods sold
186.75K
99.62K
277.04K
173.17K
Cost of revenue
186.75K
99.62K
277.04K
173.17K
Research and development expenses
-
-
-
-
Total research and development expenses
-
-
-
-
Selling, general, and admin expenses
192.22K
387.69K
153.95K
217.18K
Operating expense
195.30K
390.74K
181.70K
231.06K
Total operating expenses
382.05K
490.36K
458.74K
404.23K
Operating income
66.95K
350.31K
-424.43K
-320.15K
Other non operating income
25.90K
-2.49K
-7.27K
-10.32K
EBT including unusual items
-21.15K
248.94K
-547.38K
-403.62K
EBT excluding unusual items
-21.15K
248.94K
-547.38K
-403.62K
Income tax expense
-
-
-
-
Effective tax rate
-
-
-
-
Other operating expenses
-
-
-
-
Net income
-21.15K
248.94K
-547.38K
-403.62K
Net profit margin
-4.71%
29.61%
-1,595.43%
-480.04%
Earnings per share
-
-
-
-
Interest and investment income
-
-
-
-
Interest expense
-114.28K
-100.40K
-115.65K
-73.09K
Net interest expenses
-114.28K
-100.40K
-115.65K
-73.09K
Depreciation and amortization charges
3.08K
3.06K
27.74K
13.88K
EBITDA
152.37K
442.06K
-325.13K
-284.21K
Gain or loss from assets sale
-
-
-
-
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