Corporate Presantation
Financial Summary
Financial Results
Revenues
Comprehensive Profit
(Loss)
In Canadian $
Balance Sheet
Cash
In Canadian $
Q1 2022
$2,044,562
Q4 2021
$1,635,265
Q1 2022
Q1 2021
$19,576,902
$1,539,736
FY 2021
$7,053,865
draganfly
FY 2020
$6,292,494*1 $12,635,466*2 $44,914,647*3 $16,399,137*4 ($8,015,709)
$4,363,511
*2 *The comprehensive income (loss) for the first quarter of 2022 include a fair value
derivative liability expense of $1,230,860, and a recovery of note receivable impairment
of $771,260 and would otherwise be a loss of $5,832,894.
*2 The comprehensive income (loss) for the fourth quarter of 2021 include a fair value
derivative liability gain of $23,428,117 and an impairment of goodwill of $4,579,763
and would otherwise be a loss of $6.212.888.
*3 The comprehensive income (loss) for the first quarter of 2021 include a fair value
derivative liability expense of $41,019,172 and would otherwise be a loss of
$3,895,475.
*4 The comprehensive income (loss) for FY 2021 include a fair value derivative liability
gain of $8,149,8121 and an impairment of goodwill of $4,579,763 and would
otherwise be a loss of $19,969,186.
14View entire presentation