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BITF Bitfarms Ltd

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  • 2.960
  • +0.090+3.14%
15min DelayMarket Closed Nov 22 16:00 ET
1.40BMarket Cap-5758P/E (TTM)

Bitfarms Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
128.90%145.54M
329.49%195.37M
211.60%123.5M
227.02%115.91M
227.02%115.91M
49.86%63.58M
-19.89%45.49M
-77.55%39.64M
-81.50%35.44M
-81.50%35.44M
-Cash and cash equivalents
55.88%72.91M
348.74%138.62M
124.53%65.96M
172.77%84.04M
172.77%84.04M
30.61%46.78M
-32.82%30.89M
-61.99%29.38M
-75.47%30.81M
-75.47%30.81M
-Short term investments
332.08%72.63M
288.76%56.75M
461.00%57.54M
587.59%31.87M
587.59%31.87M
154.10%16.81M
35.14%14.6M
-89.67%10.26M
-92.98%4.64M
-92.98%4.64M
Receivables
12.28%13.31M
-2.87%18.81M
-79.69%3.3M
-86.83%2.21M
-86.83%2.21M
-25.57%11.85M
65.06%19.37M
1,082.34%16.27M
1,515.32%16.77M
1,515.32%16.77M
-Accounts receivable
27.31%1.47M
-27.87%735K
94.92%729K
1.85%714K
1.85%714K
-18.23%1.16M
58.23%1.02M
-44.10%374K
-32.47%701K
-32.47%701K
-Taxes receivable
9.31%11.24M
-2.99%17.52M
-92.68%1.14M
-94.96%805K
-94.96%805K
-28.02%10.29M
65.51%18.06M
2,340.97%15.55M
--15.96M
--15.96M
-Other receivables
44.28%593K
92.44%560K
315.32%1.44M
537.96%689K
537.96%689K
85.14%411K
62.57%291K
394.29%346K
--108K
--108K
Inventory
60.96%1.18M
62.29%1.08M
71.50%1.02M
19.90%705K
19.90%705K
24.57%730K
9.23%663K
-5.87%593K
--588K
--588K
Prepaid assets
280.81%15.92M
274.55%10.67M
-66.39%4.51M
-50.52%6.39M
-50.52%6.39M
-51.65%4.18M
-7.14%2.85M
200.58%13.41M
303.53%12.92M
303.53%12.92M
Restricted cash
--0
--0
--0
-2.19%2.1M
-2.19%2.1M
-93.53%2.17M
-95.84%2.14M
-98.48%2.12M
-97.53%2.15M
-97.53%2.15M
Hedging assets-current
--7M
--2.26M
1,205.63%3.02M
--1.28M
--1.28M
----
----
--231K
--0
--0
Holding assets for sale
400.57%6.11M
486.10%9.11M
19.23%1.97M
13.77%1.39M
13.77%1.39M
-29.44%1.22M
43.76%1.55M
36.58%1.65M
0.74%1.22M
0.74%1.22M
Total current assets
125.77%189.05M
229.30%237.29M
85.78%137.32M
88.14%129.98M
88.14%129.98M
-18.56%83.73M
-42.20%72.06M
-77.17%73.91M
-75.94%69.09M
-75.94%69.09M
Non current assets
Net PPE
55.56%373.37M
13.45%281.39M
10.81%279.28M
-10.40%240.14M
-10.40%240.14M
-10.51%240.02M
-27.44%248.02M
-11.87%252.02M
83.27%268.02M
83.27%268.02M
-Gross PPE
19.88%535.59M
0.70%440.74M
24.57%520.62M
12.03%466.66M
12.03%466.66M
17.03%446.77M
7.58%437.66M
23.75%417.94M
184.83%416.55M
184.83%416.55M
-Accumulated depreciation
21.54%-162.22M
15.97%-159.35M
-45.46%-241.35M
-52.51%-226.52M
-52.51%-226.52M
-82.07%-206.75M
-191.68%-189.64M
-220.52%-165.92M
---148.53M
---148.53M
Non current accounts receivable
--7.13M
----
----
----
----
----
----
-32.15%1.81M
--2.08M
--2.08M
Non current prepaid assets
146.66%12.87M
132.64%12.88M
26.60%5.33M
26.58%4.9M
26.58%4.9M
34.20%5.22M
74.94%5.54M
39.34%4.21M
-95.53%3.87M
-95.53%3.87M
Goodwill and other intangible assets
10.13%4.21M
20,747.62%4.38M
17,384.62%4.55M
11,112.12%3.7M
11,112.12%3.7M
1,369.62%3.82M
-97.37%21K
-99.86%26K
-99.82%33K
-99.82%33K
-Goodwill
----
----
----
--0
--0
----
----
----
--0
--0
-Other intangible assets
10.13%4.21M
20,747.62%4.38M
17,384.62%4.55M
11,112.12%3.7M
11,112.12%3.7M
1,369.62%3.82M
-97.37%21K
-98.05%26K
-98.04%33K
-98.04%33K
Non current deferred assets
----
----
----
--0
--0
----
----
----
--0
--0
Total non current assets
59.63%397.58M
17.77%298.65M
12.05%289.15M
-9.22%248.74M
-9.22%248.74M
-9.15%249.06M
-27.23%253.58M
-18.17%258.07M
7.26%274.01M
7.26%274.01M
Total assets
76.27%586.63M
64.58%535.93M
28.46%426.47M
10.38%378.73M
10.38%378.73M
-11.72%332.8M
-31.17%325.64M
-48.06%331.98M
-36.77%343.1M
-36.77%343.1M
Liabilities
Current liabilities
Current debt and capital lease obligation
-81.19%2.45M
-88.28%2.17M
-90.48%2.28M
-85.27%6.88M
-85.27%6.88M
-80.28%13.03M
-77.85%18.54M
-81.35%23.91M
-37.40%46.7M
-37.40%46.7M
-Current debt
----
-98.95%164K
-99.28%151K
-90.66%4.02M
-90.66%4.02M
-84.04%9.91M
-80.53%15.56M
-83.02%21.03M
-38.72%43.05M
-38.72%43.05M
-Current capital lease obligation
-21.29%2.45M
-32.66%2.01M
-26.39%2.13M
-21.70%2.86M
-21.70%2.86M
-20.68%3.11M
-21.32%2.98M
-34.68%2.89M
-16.04%3.65M
-16.04%3.65M
Payables
315.82%31.69M
102.95%20.91M
-3.98%11.45M
-21.01%10.19M
-21.01%10.19M
-15.29%7.62M
55.17%10.3M
-15.92%11.92M
-51.47%12.9M
-51.47%12.9M
-accounts payable
315.82%31.69M
102.95%20.91M
-10.50%10.67M
-29.62%9.08M
-29.62%9.08M
-15.29%7.62M
55.17%10.3M
15.81%11.92M
-10.93%12.9M
-10.93%12.9M
-Total tax payable
--0
--0
--777K
--1.11M
--1.11M
----
----
----
--0
--0
Current accrued expenses
-70.97%2.62M
-61.25%3.32M
72.46%13.22M
52.56%11.66M
52.56%11.66M
29.02%9.04M
40.93%8.57M
1,662.07%7.67M
--7.64M
--7.64M
Other current liabilities
--14.33M
--20.03M
--18.58M
23,820.71%40.43M
23,820.71%40.43M
----
----
----
-99.73%169K
-99.73%169K
Current liabilities
72.11%51.09M
24.11%46.43M
4.64%45.52M
2.58%69.15M
2.58%69.15M
-63.82%29.69M
-61.20%37.41M
-69.54%43.5M
-59.08%67.41M
-59.08%67.41M
Non current liabilities
Long term debt and capital lease obligation
61.98%21.5M
3.79%13.7M
0.52%13.67M
-29.03%12.99M
-29.03%12.99M
-55.87%13.28M
-66.96%13.2M
-45.07%13.6M
80.61%18.31M
80.61%18.31M
-Long term debt
----
1,936.99%1.49M
2,125.37%1.49M
----
----
-99.35%108K
-99.72%73K
-99.54%67K
349.78%4.09M
349.78%4.09M
-Long term capital lease obligation
63.30%21.5M
-6.97%12.21M
-10.00%12.18M
-8.60%12.99M
-8.60%12.99M
-2.87%13.17M
-5.13%13.12M
33.97%13.54M
54.06%14.22M
54.06%14.22M
Long term provisions
-14.13%2.01M
-15.59%1.93M
-15.86%1.87M
-8.24%1.82M
-8.24%1.82M
31.33%2.34M
43.38%2.28M
398.65%2.22M
728.03%1.98M
728.03%1.98M
Non current deferred liabilities
----
----
----
--0
--0
----
----
----
--0
--0
Total non current liabilities
50.59%23.51M
0.93%15.62M
-1.78%15.54M
-27.00%14.81M
-27.00%14.81M
-51.00%15.61M
-62.73%15.48M
-56.69%15.82M
7.75%20.29M
7.75%20.29M
Total liabilities
64.69%74.6M
17.33%62.06M
2.93%61.06M
-4.26%83.96M
-4.26%83.96M
-60.24%45.3M
-61.66%52.89M
-66.93%59.32M
-52.23%87.7M
-52.23%87.7M
Shareholders'equity
Share capital
59.45%796.75M
55.59%727.06M
31.75%586.26M
30.92%530.12M
30.92%530.12M
17.97%499.68M
12.64%467.28M
9.76%444.96M
14.16%404.93M
14.16%404.93M
-common stock
59.45%796.75M
55.59%727.06M
31.75%586.26M
30.92%530.12M
30.92%530.12M
17.97%499.68M
12.64%467.28M
9.76%444.96M
14.16%404.93M
14.16%404.93M
Additional paid-in capital
-11.39%63.79M
-15.25%59.41M
-12.25%59.69M
18.82%56.62M
18.82%56.62M
16.63%71.98M
21.39%70.1M
36.46%68.02M
84.38%47.65M
84.38%47.65M
Retained earnings
-23.81%-351.82M
-18.80%-315.74M
-21.47%-293.41M
-49.56%-294.92M
-49.56%-294.92M
-27.87%-284.16M
-93.41%-265.78M
-5,462.88%-241.54M
-815.24%-197.19M
-815.24%-197.19M
Gains losses not affecting retained earnings
--3.31M
175.79%3.16M
951.10%12.88M
--2.94M
--2.94M
----
--1.14M
--1.23M
--0
--0
Total stockholders'equity
78.10%512.02M
73.74%473.88M
34.02%365.41M
15.41%294.76M
15.41%294.76M
9.30%287.5M
-18.63%272.75M
-40.69%272.66M
-28.86%255.4M
-28.86%255.4M
Total equity
78.10%512.02M
73.74%473.88M
34.02%365.41M
15.41%294.76M
15.41%294.76M
9.30%287.5M
-18.63%272.75M
-40.69%272.66M
-28.86%255.4M
-28.86%255.4M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 128.90%145.54M329.49%195.37M211.60%123.5M227.02%115.91M227.02%115.91M49.86%63.58M-19.89%45.49M-77.55%39.64M-81.50%35.44M-81.50%35.44M
-Cash and cash equivalents 55.88%72.91M348.74%138.62M124.53%65.96M172.77%84.04M172.77%84.04M30.61%46.78M-32.82%30.89M-61.99%29.38M-75.47%30.81M-75.47%30.81M
-Short term investments 332.08%72.63M288.76%56.75M461.00%57.54M587.59%31.87M587.59%31.87M154.10%16.81M35.14%14.6M-89.67%10.26M-92.98%4.64M-92.98%4.64M
Receivables 12.28%13.31M-2.87%18.81M-79.69%3.3M-86.83%2.21M-86.83%2.21M-25.57%11.85M65.06%19.37M1,082.34%16.27M1,515.32%16.77M1,515.32%16.77M
-Accounts receivable 27.31%1.47M-27.87%735K94.92%729K1.85%714K1.85%714K-18.23%1.16M58.23%1.02M-44.10%374K-32.47%701K-32.47%701K
-Taxes receivable 9.31%11.24M-2.99%17.52M-92.68%1.14M-94.96%805K-94.96%805K-28.02%10.29M65.51%18.06M2,340.97%15.55M--15.96M--15.96M
-Other receivables 44.28%593K92.44%560K315.32%1.44M537.96%689K537.96%689K85.14%411K62.57%291K394.29%346K--108K--108K
Inventory 60.96%1.18M62.29%1.08M71.50%1.02M19.90%705K19.90%705K24.57%730K9.23%663K-5.87%593K--588K--588K
Prepaid assets 280.81%15.92M274.55%10.67M-66.39%4.51M-50.52%6.39M-50.52%6.39M-51.65%4.18M-7.14%2.85M200.58%13.41M303.53%12.92M303.53%12.92M
Restricted cash --0--0--0-2.19%2.1M-2.19%2.1M-93.53%2.17M-95.84%2.14M-98.48%2.12M-97.53%2.15M-97.53%2.15M
Hedging assets-current --7M--2.26M1,205.63%3.02M--1.28M--1.28M----------231K--0--0
Holding assets for sale 400.57%6.11M486.10%9.11M19.23%1.97M13.77%1.39M13.77%1.39M-29.44%1.22M43.76%1.55M36.58%1.65M0.74%1.22M0.74%1.22M
Total current assets 125.77%189.05M229.30%237.29M85.78%137.32M88.14%129.98M88.14%129.98M-18.56%83.73M-42.20%72.06M-77.17%73.91M-75.94%69.09M-75.94%69.09M
Non current assets
Net PPE 55.56%373.37M13.45%281.39M10.81%279.28M-10.40%240.14M-10.40%240.14M-10.51%240.02M-27.44%248.02M-11.87%252.02M83.27%268.02M83.27%268.02M
-Gross PPE 19.88%535.59M0.70%440.74M24.57%520.62M12.03%466.66M12.03%466.66M17.03%446.77M7.58%437.66M23.75%417.94M184.83%416.55M184.83%416.55M
-Accumulated depreciation 21.54%-162.22M15.97%-159.35M-45.46%-241.35M-52.51%-226.52M-52.51%-226.52M-82.07%-206.75M-191.68%-189.64M-220.52%-165.92M---148.53M---148.53M
Non current accounts receivable --7.13M-------------------------32.15%1.81M--2.08M--2.08M
Non current prepaid assets 146.66%12.87M132.64%12.88M26.60%5.33M26.58%4.9M26.58%4.9M34.20%5.22M74.94%5.54M39.34%4.21M-95.53%3.87M-95.53%3.87M
Goodwill and other intangible assets 10.13%4.21M20,747.62%4.38M17,384.62%4.55M11,112.12%3.7M11,112.12%3.7M1,369.62%3.82M-97.37%21K-99.86%26K-99.82%33K-99.82%33K
-Goodwill --------------0--0--------------0--0
-Other intangible assets 10.13%4.21M20,747.62%4.38M17,384.62%4.55M11,112.12%3.7M11,112.12%3.7M1,369.62%3.82M-97.37%21K-98.05%26K-98.04%33K-98.04%33K
Non current deferred assets --------------0--0--------------0--0
Total non current assets 59.63%397.58M17.77%298.65M12.05%289.15M-9.22%248.74M-9.22%248.74M-9.15%249.06M-27.23%253.58M-18.17%258.07M7.26%274.01M7.26%274.01M
Total assets 76.27%586.63M64.58%535.93M28.46%426.47M10.38%378.73M10.38%378.73M-11.72%332.8M-31.17%325.64M-48.06%331.98M-36.77%343.1M-36.77%343.1M
Liabilities
Current liabilities
Current debt and capital lease obligation -81.19%2.45M-88.28%2.17M-90.48%2.28M-85.27%6.88M-85.27%6.88M-80.28%13.03M-77.85%18.54M-81.35%23.91M-37.40%46.7M-37.40%46.7M
-Current debt -----98.95%164K-99.28%151K-90.66%4.02M-90.66%4.02M-84.04%9.91M-80.53%15.56M-83.02%21.03M-38.72%43.05M-38.72%43.05M
-Current capital lease obligation -21.29%2.45M-32.66%2.01M-26.39%2.13M-21.70%2.86M-21.70%2.86M-20.68%3.11M-21.32%2.98M-34.68%2.89M-16.04%3.65M-16.04%3.65M
Payables 315.82%31.69M102.95%20.91M-3.98%11.45M-21.01%10.19M-21.01%10.19M-15.29%7.62M55.17%10.3M-15.92%11.92M-51.47%12.9M-51.47%12.9M
-accounts payable 315.82%31.69M102.95%20.91M-10.50%10.67M-29.62%9.08M-29.62%9.08M-15.29%7.62M55.17%10.3M15.81%11.92M-10.93%12.9M-10.93%12.9M
-Total tax payable --0--0--777K--1.11M--1.11M--------------0--0
Current accrued expenses -70.97%2.62M-61.25%3.32M72.46%13.22M52.56%11.66M52.56%11.66M29.02%9.04M40.93%8.57M1,662.07%7.67M--7.64M--7.64M
Other current liabilities --14.33M--20.03M--18.58M23,820.71%40.43M23,820.71%40.43M-------------99.73%169K-99.73%169K
Current liabilities 72.11%51.09M24.11%46.43M4.64%45.52M2.58%69.15M2.58%69.15M-63.82%29.69M-61.20%37.41M-69.54%43.5M-59.08%67.41M-59.08%67.41M
Non current liabilities
Long term debt and capital lease obligation 61.98%21.5M3.79%13.7M0.52%13.67M-29.03%12.99M-29.03%12.99M-55.87%13.28M-66.96%13.2M-45.07%13.6M80.61%18.31M80.61%18.31M
-Long term debt ----1,936.99%1.49M2,125.37%1.49M---------99.35%108K-99.72%73K-99.54%67K349.78%4.09M349.78%4.09M
-Long term capital lease obligation 63.30%21.5M-6.97%12.21M-10.00%12.18M-8.60%12.99M-8.60%12.99M-2.87%13.17M-5.13%13.12M33.97%13.54M54.06%14.22M54.06%14.22M
Long term provisions -14.13%2.01M-15.59%1.93M-15.86%1.87M-8.24%1.82M-8.24%1.82M31.33%2.34M43.38%2.28M398.65%2.22M728.03%1.98M728.03%1.98M
Non current deferred liabilities --------------0--0--------------0--0
Total non current liabilities 50.59%23.51M0.93%15.62M-1.78%15.54M-27.00%14.81M-27.00%14.81M-51.00%15.61M-62.73%15.48M-56.69%15.82M7.75%20.29M7.75%20.29M
Total liabilities 64.69%74.6M17.33%62.06M2.93%61.06M-4.26%83.96M-4.26%83.96M-60.24%45.3M-61.66%52.89M-66.93%59.32M-52.23%87.7M-52.23%87.7M
Shareholders'equity
Share capital 59.45%796.75M55.59%727.06M31.75%586.26M30.92%530.12M30.92%530.12M17.97%499.68M12.64%467.28M9.76%444.96M14.16%404.93M14.16%404.93M
-common stock 59.45%796.75M55.59%727.06M31.75%586.26M30.92%530.12M30.92%530.12M17.97%499.68M12.64%467.28M9.76%444.96M14.16%404.93M14.16%404.93M
Additional paid-in capital -11.39%63.79M-15.25%59.41M-12.25%59.69M18.82%56.62M18.82%56.62M16.63%71.98M21.39%70.1M36.46%68.02M84.38%47.65M84.38%47.65M
Retained earnings -23.81%-351.82M-18.80%-315.74M-21.47%-293.41M-49.56%-294.92M-49.56%-294.92M-27.87%-284.16M-93.41%-265.78M-5,462.88%-241.54M-815.24%-197.19M-815.24%-197.19M
Gains losses not affecting retained earnings --3.31M175.79%3.16M951.10%12.88M--2.94M--2.94M------1.14M--1.23M--0--0
Total stockholders'equity 78.10%512.02M73.74%473.88M34.02%365.41M15.41%294.76M15.41%294.76M9.30%287.5M-18.63%272.75M-40.69%272.66M-28.86%255.4M-28.86%255.4M
Total equity 78.10%512.02M73.74%473.88M34.02%365.41M15.41%294.76M15.41%294.76M9.30%287.5M-18.63%272.75M-40.69%272.66M-28.86%255.4M-28.86%255.4M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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