SHOT
Safety Shot Inc
NASDAQ: SHOT · CONSUMER DEFENSIVE · BEVERAGES - NON-ALCOHOLIC
$9.80
-0.10% today
Updated 2026-07-24
Market cap
$67.15M
P/E ratio
—
P/S ratio
153.25x
EPS (TTM)
$-0.35
Dividend yield
—
52W range
$0 – $1
Volume
2.1M
WallStSmart proprietary scores
18
out of 100
Grade: F
Strong Sell
Investment rating
3.7
Growth
D5.0
Quality
C+3.3
Profitability
D5.0
Valuation
C+—/9
Piotroski F-Score
—
—
Altman Z-Score
—
—
Industry rank
—
View all highly rated stocks (75+) →204 stocks currently score above 75
Price targets
Analyst target
—
—
12-Month target
—
—
Intrinsic (DCF)
—
Margin of safety
—
Price chart
Stock snapshot
Strengths
Insufficient data
Risks
- Thin margins at 0.00%
- Revenue declining -93.70% QoQ
Key financials
Revenue Net Income Free Cash Flow
| Metric | TTM |
|---|---|
| Revenue | $-91956.00 |
| Net income | — |
| EPS | $-0.35 |
| Free cash flow | — |
| Profit margin | — |
Peer comparison
Smart narrative
Safety Shot Inc trades at $9.80. Our Smart Value Score of 18/100 indicates the stock is weak. TTM revenue stands at $-91956.00.
Frequently asked questions
What is Safety Shot Inc's stock price?
Safety Shot Inc (SHOT) trades at $9.80, on a P/S of 153.3x. Those multiples show what the market is paying for each dollar of earnings and sales, which is the real starting point for judging whether the price is reasonable.
Is Safety Shot Inc overvalued?
Safety Shot Inc carries a Smart Value Score of 18/100 (Grade F), which we rate Strong Sell. That score blends growth, quality, and valuation into one read.
What is Safety Shot Inc's revenue?
Safety Shot Inc's trailing twelve-month revenue is $-91956.00. Revenue scale anchors the valuation multiples and shows whether growth is reaching the top line, so it is best read alongside margin and growth trends to see if that revenue is getting more profitable over time.
Company info
SectorCONSUMER DEFENSIVE
IndustryBEVERAGES - NON-ALCOHOLIC
CountryUSA
ExchangeNASDAQ
CurrencyUSD
Quick metrics
P/S ratio153.25x
ROE—
Beta1.64
50D MA$0.48
200D MA$0.48
Shares out0.17B
Float0.10B
Short ratio—
Avg volume2.1M
Performance
1 week—
1 month—
3 months—
YTD—
1 year—
3 years—
5 years—