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BMNR BITMINE IMMERSION TECNOLOGIES INC

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  • 0.300
  • 0.0000.00%
15min DelayClose Jan 17 16:00 ET
11.90MMarket Cap-2.31P/E (TTM)

BITMINE IMMERSION TECNOLOGIES INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Nov 30, 2024
(FY)Aug 31, 2024
(Q4)Aug 31, 2024
(Q3)May 31, 2024
(Q2)Feb 29, 2024
(Q1)Nov 30, 2023
(FY)Aug 31, 2023
(Q4)Aug 31, 2023
(Q3)May 31, 2023
(Q2)Feb 28, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
69.45%797.31K
84.54%499.27K
84.54%499.27K
-45.80%281K
-14.95%342.3K
--470.53K
-31.08%270.55K
-31.08%270.55K
--518.43K
--402.45K
-Cash and cash equivalents
69.45%797.31K
84.54%499.27K
84.54%499.27K
-45.80%281K
-14.95%342.3K
--470.53K
-31.08%270.55K
-31.08%270.55K
--518.43K
--402.45K
Receivables
-66.14%374.44K
0.00%374.44K
0.00%374.44K
195.35%1.11M
195.35%1.11M
--1.11M
-23.80%374.44K
-23.80%374.44K
--374.44K
--374.44K
-Notes receivable
-66.14%374.44K
0.00%374.44K
0.00%374.44K
195.35%1.11M
195.35%1.11M
--1.11M
-23.80%374.44K
-23.80%374.44K
--374.44K
--374.44K
Prepaid assets
-85.43%33.58K
542.86%675K
542.86%675K
641.62%778.7K
3,861.68%198.08K
--230.45K
2,000.00%105K
2,000.00%105K
--105K
--5K
Other current assets
-2.10%149.78K
-88.44%14.97K
-88.44%14.97K
16,963,300.00%169.63K
1,173,300.00%11.73K
--152.99K
--129.47K
--129.47K
---1
---1
Total current assets
-30.86%1.36M
77.80%1.56M
77.80%1.56M
134.02%2.34M
112.05%1.66M
--1.96M
-1.07%879.46K
-1.07%879.46K
--997.87K
--781.89K
Non current assets
Net PPE
11.33%5.69M
-3.59%4.77M
-3.59%4.77M
-4.61%4.65M
2.05%4.86M
--5.11M
-24.23%4.95M
-24.23%4.95M
--4.87M
--4.76M
-Gross PPE
24.30%7.22M
13.76%6.17M
13.76%6.17M
15.61%5.8M
17.92%5.79M
--5.81M
-17.06%5.42M
-17.06%5.42M
--5.02M
--4.91M
-Accumulated depreciation
-119.98%-1.52M
-196.22%-1.39M
-196.22%-1.39M
-684.54%-1.16M
-530.57%-928.61K
---693.24K
-14,962.56%-470.71K
-14,962.56%-470.71K
---147.27K
---147.27K
Goodwill and other intangible assets
----
----
----
----
----
----
----
----
--61.23K
--36.06K
-Other intangible assets
----
----
----
----
----
----
----
----
--61.23K
--36.06K
Investments and advances
-29.28%667.71K
-32.38%667.71K
-32.38%667.71K
-18.13%808.41K
-12.17%867.25K
--944.22K
--987.43K
--987.43K
--987.43K
--987.43K
Long-term notes receivables
-61.11%218.43K
-79.75%280.83K
-79.75%280.83K
-75.23%374.45K
-70.26%468.06K
--561.67K
160.50%1.39M
160.50%1.39M
--1.51M
--1.57M
Total non current assets
-0.61%6.58M
-21.90%5.72M
-21.90%5.72M
-21.55%5.83M
-15.83%6.19M
--6.62M
3.36%7.32M
3.36%7.32M
--7.43M
--7.36M
Total assets
-7.52%7.93M
-11.21%7.28M
-11.21%7.28M
-3.14%8.17M
-3.54%7.85M
--8.58M
2.87%8.2M
2.87%8.2M
--8.43M
--8.14M
Liabilities
Current liabilities
Payables
48.19%300.1K
434.80%400.58K
434.80%400.58K
960.39%559.15K
825.43%403.74K
--202.51K
-11.63%74.9K
-11.63%74.9K
--52.73K
--43.63K
-accounts payable
48.19%300.1K
434.80%400.58K
434.80%400.58K
960.39%559.15K
825.43%403.74K
--202.51K
-11.63%74.9K
-11.63%74.9K
--52.73K
--43.63K
Current accrued expenses
156.96%376.32K
223.83%315.61K
223.83%315.61K
362.42%257.29K
642.92%200.73K
--146.45K
--97.46K
--97.46K
--55.64K
--27.02K
Current debt and capital lease obligation
45.55%2.94M
25.00%1.63M
25.00%1.63M
25.00%1.63M
114.85%1.72M
--2.02M
--1.3M
--1.3M
--1.3M
--800K
-Current debt
45.55%2.94M
25.00%1.63M
25.00%1.63M
25.00%1.63M
114.85%1.72M
--2.02M
--1.3M
--1.3M
--1.3M
--800K
Current deferred liabilities
0.00%86.19K
816.19%789.69K
816.19%789.69K
1,121.58%789.69K
9.09%86.19K
--86.19K
-62.99%86.19K
-62.99%86.19K
--64.65K
--79.01K
Other current liabilities
-100.00%-1
---1
---1
----
--114.84K
--152.61K
----
----
---1
----
Current liabilities
56.28%4.08M
100.88%3.13M
100.88%3.13M
119.35%3.23M
165.81%2.52M
--2.61M
390.62%1.56M
390.62%1.56M
--1.47M
--949.66K
Non current liabilities
Non current deferred liabilities
-86.24%50.28K
-83.29%64.65K
-83.29%64.65K
-26.29%322.24K
-21.36%343.79K
--365.34K
53.33%386.88K
53.33%386.88K
--437.16K
--437.16K
Other non current liabilities
0.00%1
----
----
----
200.00%1
--1
----
----
----
---1
Total non current liabilities
-86.24%50.28K
-83.29%64.65K
-83.29%64.65K
-26.29%322.24K
-21.36%343.79K
--365.34K
53.33%386.88K
53.33%386.88K
--437.16K
--437.16K
Total liabilities
38.77%4.13M
64.26%3.2M
64.26%3.2M
86.02%3.55M
106.81%2.87M
--2.97M
241.31%1.95M
241.31%1.95M
--1.91M
--1.39M
Shareholders'equity
Share capital
-20.08%4.01K
0.48%5.04K
0.48%5.04K
0.94%5.04K
1.97%5.03K
--5.02K
2.16%5.01K
2.16%5.01K
--4.99K
--4.93K
-common stock
-20.26%3.97K
0.48%4.99K
0.48%4.99K
0.95%4.99K
1.99%4.98K
--4.98K
2.18%4.97K
2.18%4.97K
--4.94K
--4.89K
-Preferred stock
0.00%45
0.00%45
0.00%45
0.00%45
0.00%45
--45
0.00%45
0.00%45
--45
--45
Retained earnings
-107.45%-12.16M
-66.76%-8.22M
-66.76%-8.22M
-96.64%-7.41M
-108.40%-6.76M
---5.86M
-99.93%-4.93M
-99.93%-4.93M
---3.77M
---3.24M
Paid-in capital
39.27%15.96M
10.04%12.31M
10.04%12.31M
16.86%12.02M
17.49%11.74M
--11.46M
13.36%11.18M
13.36%11.18M
--10.28M
--9.99M
Total stockholders'equity
-32.06%3.81M
-34.67%4.09M
-34.67%4.09M
-29.26%4.61M
-26.21%4.98M
--5.61M
-15.49%6.26M
-15.49%6.26M
--6.52M
--6.75M
Total equity
-32.06%3.81M
-34.67%4.09M
-34.67%4.09M
-29.26%4.61M
-26.21%4.98M
--5.61M
-15.49%6.26M
-15.49%6.26M
--6.52M
--6.75M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
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Unqualified Opinion
--
--
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--
Unqualified Opinion
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(Q1)Nov 30, 2024(FY)Aug 31, 2024(Q4)Aug 31, 2024(Q3)May 31, 2024(Q2)Feb 29, 2024(Q1)Nov 30, 2023(FY)Aug 31, 2023(Q4)Aug 31, 2023(Q3)May 31, 2023(Q2)Feb 28, 2023
Assets
Current assets
Cash, cash equivalents and short term investments 69.45%797.31K84.54%499.27K84.54%499.27K-45.80%281K-14.95%342.3K--470.53K-31.08%270.55K-31.08%270.55K--518.43K--402.45K
-Cash and cash equivalents 69.45%797.31K84.54%499.27K84.54%499.27K-45.80%281K-14.95%342.3K--470.53K-31.08%270.55K-31.08%270.55K--518.43K--402.45K
Receivables -66.14%374.44K0.00%374.44K0.00%374.44K195.35%1.11M195.35%1.11M--1.11M-23.80%374.44K-23.80%374.44K--374.44K--374.44K
-Notes receivable -66.14%374.44K0.00%374.44K0.00%374.44K195.35%1.11M195.35%1.11M--1.11M-23.80%374.44K-23.80%374.44K--374.44K--374.44K
Prepaid assets -85.43%33.58K542.86%675K542.86%675K641.62%778.7K3,861.68%198.08K--230.45K2,000.00%105K2,000.00%105K--105K--5K
Other current assets -2.10%149.78K-88.44%14.97K-88.44%14.97K16,963,300.00%169.63K1,173,300.00%11.73K--152.99K--129.47K--129.47K---1---1
Total current assets -30.86%1.36M77.80%1.56M77.80%1.56M134.02%2.34M112.05%1.66M--1.96M-1.07%879.46K-1.07%879.46K--997.87K--781.89K
Non current assets
Net PPE 11.33%5.69M-3.59%4.77M-3.59%4.77M-4.61%4.65M2.05%4.86M--5.11M-24.23%4.95M-24.23%4.95M--4.87M--4.76M
-Gross PPE 24.30%7.22M13.76%6.17M13.76%6.17M15.61%5.8M17.92%5.79M--5.81M-17.06%5.42M-17.06%5.42M--5.02M--4.91M
-Accumulated depreciation -119.98%-1.52M-196.22%-1.39M-196.22%-1.39M-684.54%-1.16M-530.57%-928.61K---693.24K-14,962.56%-470.71K-14,962.56%-470.71K---147.27K---147.27K
Goodwill and other intangible assets ----------------------------------61.23K--36.06K
-Other intangible assets ----------------------------------61.23K--36.06K
Investments and advances -29.28%667.71K-32.38%667.71K-32.38%667.71K-18.13%808.41K-12.17%867.25K--944.22K--987.43K--987.43K--987.43K--987.43K
Long-term notes receivables -61.11%218.43K-79.75%280.83K-79.75%280.83K-75.23%374.45K-70.26%468.06K--561.67K160.50%1.39M160.50%1.39M--1.51M--1.57M
Total non current assets -0.61%6.58M-21.90%5.72M-21.90%5.72M-21.55%5.83M-15.83%6.19M--6.62M3.36%7.32M3.36%7.32M--7.43M--7.36M
Total assets -7.52%7.93M-11.21%7.28M-11.21%7.28M-3.14%8.17M-3.54%7.85M--8.58M2.87%8.2M2.87%8.2M--8.43M--8.14M
Liabilities
Current liabilities
Payables 48.19%300.1K434.80%400.58K434.80%400.58K960.39%559.15K825.43%403.74K--202.51K-11.63%74.9K-11.63%74.9K--52.73K--43.63K
-accounts payable 48.19%300.1K434.80%400.58K434.80%400.58K960.39%559.15K825.43%403.74K--202.51K-11.63%74.9K-11.63%74.9K--52.73K--43.63K
Current accrued expenses 156.96%376.32K223.83%315.61K223.83%315.61K362.42%257.29K642.92%200.73K--146.45K--97.46K--97.46K--55.64K--27.02K
Current debt and capital lease obligation 45.55%2.94M25.00%1.63M25.00%1.63M25.00%1.63M114.85%1.72M--2.02M--1.3M--1.3M--1.3M--800K
-Current debt 45.55%2.94M25.00%1.63M25.00%1.63M25.00%1.63M114.85%1.72M--2.02M--1.3M--1.3M--1.3M--800K
Current deferred liabilities 0.00%86.19K816.19%789.69K816.19%789.69K1,121.58%789.69K9.09%86.19K--86.19K-62.99%86.19K-62.99%86.19K--64.65K--79.01K
Other current liabilities -100.00%-1---1---1------114.84K--152.61K-----------1----
Current liabilities 56.28%4.08M100.88%3.13M100.88%3.13M119.35%3.23M165.81%2.52M--2.61M390.62%1.56M390.62%1.56M--1.47M--949.66K
Non current liabilities
Non current deferred liabilities -86.24%50.28K-83.29%64.65K-83.29%64.65K-26.29%322.24K-21.36%343.79K--365.34K53.33%386.88K53.33%386.88K--437.16K--437.16K
Other non current liabilities 0.00%1------------200.00%1--1---------------1
Total non current liabilities -86.24%50.28K-83.29%64.65K-83.29%64.65K-26.29%322.24K-21.36%343.79K--365.34K53.33%386.88K53.33%386.88K--437.16K--437.16K
Total liabilities 38.77%4.13M64.26%3.2M64.26%3.2M86.02%3.55M106.81%2.87M--2.97M241.31%1.95M241.31%1.95M--1.91M--1.39M
Shareholders'equity
Share capital -20.08%4.01K0.48%5.04K0.48%5.04K0.94%5.04K1.97%5.03K--5.02K2.16%5.01K2.16%5.01K--4.99K--4.93K
-common stock -20.26%3.97K0.48%4.99K0.48%4.99K0.95%4.99K1.99%4.98K--4.98K2.18%4.97K2.18%4.97K--4.94K--4.89K
-Preferred stock 0.00%450.00%450.00%450.00%450.00%45--450.00%450.00%45--45--45
Retained earnings -107.45%-12.16M-66.76%-8.22M-66.76%-8.22M-96.64%-7.41M-108.40%-6.76M---5.86M-99.93%-4.93M-99.93%-4.93M---3.77M---3.24M
Paid-in capital 39.27%15.96M10.04%12.31M10.04%12.31M16.86%12.02M17.49%11.74M--11.46M13.36%11.18M13.36%11.18M--10.28M--9.99M
Total stockholders'equity -32.06%3.81M-34.67%4.09M-34.67%4.09M-29.26%4.61M-26.21%4.98M--5.61M-15.49%6.26M-15.49%6.26M--6.52M--6.75M
Total equity -32.06%3.81M-34.67%4.09M-34.67%4.09M-29.26%4.61M-26.21%4.98M--5.61M-15.49%6.26M-15.49%6.26M--6.52M--6.75M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------
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