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BTCM BIT Mining

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  • 2.659
  • -0.131-4.69%
Trading Dec 30 12:40 ET
40.51MMarket Cap-7.19P/E (TTM)

BIT Mining Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 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
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-49.66%2.3M
-58.04%3.24M
-58.04%3.24M
-86.72%2.64M
-79.78%4.56M
-66.63%6.98M
-56.25%7.73M
-56.25%7.73M
-42.18%19.89M
123.04%22.56M
-Cash and cash equivalents
-49.66%2.3M
-39.60%3.24M
-39.60%3.24M
-78.95%2.64M
-79.78%4.56M
-77.92%4.62M
-69.60%5.37M
-69.60%5.37M
-63.52%12.55M
123.04%22.56M
-Short-term investments
----
--0
--0
--0
--0
--2.36M
--2.36M
--2.36M
--7.34M
----
Receivables
-68.08%3.43M
-74.85%2.23M
-74.85%2.23M
22.67%3.77M
53.02%10.75M
-31.23%4.75M
-53.40%8.87M
-53.40%8.87M
374.54%3.08M
-50.45%7.03M
-Accounts receivable
-25.69%3.07M
-19.55%2.88M
-19.55%2.88M
22.67%3.77M
229.87%4.13M
157.48%4.75M
385.07%3.58M
385.07%3.58M
487.95%3.08M
-61.35%1.25M
-Loans receivable
-58.30%894K
-28.91%895K
-28.91%895K
----
28.00%2.14M
----
-86.50%1.26M
-86.50%1.26M
----
--1.68M
-Taxes receivable
----
--0
--0
----
-10.11%3.26M
----
-52.60%3.54M
-52.60%3.54M
----
-56.61%3.63M
-Other receivables
25.47%1.52M
6.94%539K
6.94%539K
----
159.19%1.21M
----
-66.80%504K
-66.80%504K
----
-80.87%468K
-Recievables adjustments allowances
---2.05M
---2.08M
---2.08M
----
----
----
--0
--0
----
----
Prepaid assets
-1.91%4.47M
657.62%4.77M
657.62%4.77M
----
-75.53%4.56M
----
-77.66%630K
-77.66%630K
----
659.08%18.64M
Restricted cash
----
--0
--0
8.70%125K
4.88%129K
-3.82%126K
-5.97%126K
-5.97%126K
-31.14%115K
-99.72%123K
Current deferred assets
-15.15%907K
-73.24%430K
-73.24%430K
----
68.61%1.07M
----
300.75%1.61M
300.75%1.61M
----
-61.93%634K
Other current assets
0.57%16.88M
26.52%7.97M
26.52%7.97M
-32.61%28.39M
1.78%16.78M
-60.68%28.35M
-88.15%6.3M
-88.15%6.3M
-47.08%42.12M
-74.05%16.49M
Total current assets
-19.37%30.52M
-4.19%33.86M
-4.19%33.86M
-46.43%34.93M
-53.67%37.85M
-59.82%40.2M
-62.11%35.34M
-62.11%35.34M
-43.21%65.2M
-39.92%81.7M
Non current assets
Net PPE
-34.50%21.03M
-13.52%27.11M
-13.52%27.11M
-28.72%29.46M
-38.42%32.1M
-48.84%34.74M
-58.96%31.34M
-58.96%31.34M
-21.42%41.33M
-4.93%52.14M
-Gross PPE
-1.06%103.93M
5.39%105.25M
5.39%105.25M
-28.72%29.46M
32.12%105.04M
-48.84%34.74M
-17.82%99.87M
-17.82%99.87M
-21.42%41.33M
-14.20%79.51M
-Accumulated depreciation
-13.67%-82.9M
-14.03%-78.14M
-14.03%-78.14M
----
-166.50%-72.94M
----
-51.75%-68.53M
-51.75%-68.53M
----
27.65%-27.37M
Goodwill and other intangible assets
-47.03%1.42M
-38.38%2.03M
-38.38%2.03M
-97.07%2.35M
-97.04%2.68M
-96.89%2.99M
-96.65%3.3M
-96.65%3.3M
-4.33%80.22M
6.05%90.36M
-Goodwill
----
----
----
----
----
----
----
----
-1.29%26.57M
-0.99%26.57M
-Other intangible assets
-47.03%1.42M
-38.38%2.03M
-38.38%2.03M
-95.61%2.35M
-95.81%2.68M
----
-95.41%3.3M
-95.41%3.3M
-5.77%53.65M
9.28%63.79M
Investments and advances
-34.39%4.2M
-48.16%4.17M
-48.16%4.17M
-38.40%6.34M
-24.99%6.4M
-28.97%6.66M
-19.91%8.05M
-19.91%8.05M
11.78%10.3M
-13.87%8.53M
Non current prepaid assets
-7.24%2.28M
3.31%2.47M
3.31%2.47M
-4.94%2.46M
3.27%2.46M
2,394.95%2.47M
2,311.11%2.39M
2,311.11%2.39M
-34.46%2.59M
-40.81%2.38M
Other non current assets
482.67%3.83M
-53.64%2.96M
-53.64%2.96M
-86.79%72K
-79.46%658K
-75.06%1.11M
43.41%6.39M
43.41%6.39M
-98.15%545K
-85.71%3.2M
Total non current assets
-26.05%32.76M
-24.73%38.74M
-24.73%38.74M
-69.86%40.69M
-71.72%44.3M
-74.61%47.97M
-74.39%51.47M
-74.39%51.47M
-24.59%134.98M
-11.22%156.61M
Total assets
-22.97%63.28M
-16.37%72.6M
-16.37%72.6M
-62.23%75.61M
-65.53%82.15M
-69.49%88.17M
-70.50%86.8M
-70.50%86.8M
-31.86%200.18M
-23.71%238.31M
Liabilities
Current liabilities
Payables
-93.77%1.72M
-49.98%3.22M
-49.98%3.22M
-3.28%24.11M
-14.42%27.65M
-40.78%30.17M
-90.47%6.45M
-90.47%6.45M
-59.93%24.93M
-48.67%32.31M
-accounts payable
-98.41%409K
-78.36%787K
-78.36%787K
-3.31%24.04M
-5.99%25.73M
-30.51%30.1M
-93.31%3.64M
-93.31%3.64M
-59.22%24.86M
-53.96%27.37M
-Total tax payable
3.13%198K
-31.89%205K
-31.89%205K
7.46%72K
-1.54%192K
-85.22%73K
-60.03%301K
-60.03%301K
-92.39%67K
-83.00%195K
-Due to related parties current
----
----
----
----
----
----
----
----
--0
--0
-Other payable
-35.40%1.12M
-11.00%2.23M
-11.00%2.23M
----
-63.57%1.73M
----
-44.04%2.51M
-44.04%2.51M
----
140.79%4.75M
Current accrued expenses
1,629.10%10.34M
1,293.57%10.41M
1,293.57%10.41M
-37.37%4.26M
-7.43%598K
-74.00%4.95M
-56.97%747K
-56.97%747K
-75.00%6.8M
-95.91%646K
Current debt and capital lease obligation
31.76%1.59M
22.97%1.68M
22.97%1.68M
2.24%1.46M
-20.67%1.21M
-84.65%1.29M
-38.23%1.37M
-38.23%1.37M
39.65%1.43M
-94.56%1.52M
-Current capital lease obligation
31.76%1.59M
22.97%1.68M
22.97%1.68M
2.24%1.46M
-20.67%1.21M
-38.67%1.29M
-38.23%1.37M
-38.23%1.37M
39.65%1.43M
54.92%1.52M
Current deferred liabilities
-25.98%1.85M
6.82%1.8M
6.82%1.8M
----
-80.58%2.5M
----
-81.68%1.69M
-81.68%1.69M
----
43.15%12.88M
Other current liabilities
-59.77%107K
35.04%27.81M
35.04%27.81M
----
-92.54%266K
----
470.95%20.59M
470.95%20.59M
----
98.00%3.57M
Current liabilities
-51.54%15.62M
45.68%44.93M
45.68%44.93M
-10.03%29.83M
-36.72%32.23M
-53.56%36.41M
-63.46%30.84M
-63.46%30.84M
-63.34%33.16M
-56.68%50.93M
Non current liabilities
Long term debt and capital lease obligation
-23.68%1.78M
-10.54%2.54M
-10.54%2.54M
-15.98%2.59M
-34.23%2.33M
-38.96%2.59M
-37.91%2.84M
-37.91%2.84M
210.15%3.09M
266.19%3.54M
-Long term capital lease obligation
-23.68%1.78M
-10.54%2.54M
-10.54%2.54M
-15.98%2.59M
-34.23%2.33M
-38.96%2.59M
-37.91%2.84M
-37.91%2.84M
210.15%3.09M
266.19%3.54M
Total non current liabilities
-23.68%1.78M
-10.54%2.54M
-10.54%2.54M
-15.98%2.59M
-34.23%2.33M
-38.96%2.59M
-37.91%2.84M
-37.91%2.84M
210.15%3.09M
243.87%3.54M
Total liabilities
-49.66%17.4M
40.94%47.46M
40.94%47.46M
-10.54%32.42M
-36.56%34.56M
-52.81%39M
-62.15%33.68M
-62.15%33.68M
-60.36%36.24M
-54.07%54.47M
Shareholders'equity
Share capital
3.70%56K
0.00%54K
0.00%54K
0.00%54K
22.73%54K
50.00%54K
50.00%54K
50.00%54K
50.00%54K
37.42%44K
-common stock
3.70%56K
0.00%54K
0.00%54K
0.00%54K
22.73%54K
50.00%54K
50.00%54K
50.00%54K
50.00%54K
37.42%44K
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-0.55%-551.04M
-5.30%-570.88M
-5.30%-570.88M
-28.13%-552.38M
-34.02%-548.02M
-41.03%-547.09M
-40.18%-542.17M
-40.18%-542.17M
-15.32%-431.13M
-16.53%-408.9M
Paid-in capital
0.21%622.86M
0.17%621.84M
0.17%621.84M
0.12%621.56M
1.59%621.56M
4.78%621.56M
5.12%620.81M
5.12%620.81M
5.55%620.81M
15.36%611.83M
Less: Treasury stock
0.00%21.6M
0.00%21.6M
0.00%21.6M
0.00%21.6M
0.00%21.6M
0.00%21.6M
0.00%21.6M
0.00%21.6M
0.00%21.6M
-2.86%21.6M
Gains losses not affecting retained earnings
0.20%-4.39M
-7.98%-4.28M
-7.98%-4.28M
-5.91%-4.44M
-39.42%-4.4M
-75.15%-3.75M
-68.15%-3.96M
-68.15%-3.96M
-69.95%-4.2M
-114.66%-3.16M
Total stockholders'equity
-3.59%45.88M
-52.70%25.13M
-52.70%25.13M
-73.66%43.19M
-73.30%47.59M
-72.92%49.18M
-70.47%53.13M
-70.47%53.13M
-13.85%163.94M
-0.33%178.21M
Noncontrolling interests
----
----
----
----
----
----
----
----
--0
-62.47%5.63M
Total equity
-3.59%45.88M
-52.70%25.13M
-52.70%25.13M
-73.66%43.19M
-74.11%47.59M
-76.17%49.18M
-74.12%53.13M
-74.12%53.13M
-18.99%163.94M
-5.13%183.84M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
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
--
--
--
(Q2)Jun 30, 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(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -49.66%2.3M-58.04%3.24M-58.04%3.24M-86.72%2.64M-79.78%4.56M-66.63%6.98M-56.25%7.73M-56.25%7.73M-42.18%19.89M123.04%22.56M
-Cash and cash equivalents -49.66%2.3M-39.60%3.24M-39.60%3.24M-78.95%2.64M-79.78%4.56M-77.92%4.62M-69.60%5.37M-69.60%5.37M-63.52%12.55M123.04%22.56M
-Short-term investments ------0--0--0--0--2.36M--2.36M--2.36M--7.34M----
Receivables -68.08%3.43M-74.85%2.23M-74.85%2.23M22.67%3.77M53.02%10.75M-31.23%4.75M-53.40%8.87M-53.40%8.87M374.54%3.08M-50.45%7.03M
-Accounts receivable -25.69%3.07M-19.55%2.88M-19.55%2.88M22.67%3.77M229.87%4.13M157.48%4.75M385.07%3.58M385.07%3.58M487.95%3.08M-61.35%1.25M
-Loans receivable -58.30%894K-28.91%895K-28.91%895K----28.00%2.14M-----86.50%1.26M-86.50%1.26M------1.68M
-Taxes receivable ------0--0-----10.11%3.26M-----52.60%3.54M-52.60%3.54M-----56.61%3.63M
-Other receivables 25.47%1.52M6.94%539K6.94%539K----159.19%1.21M-----66.80%504K-66.80%504K-----80.87%468K
-Recievables adjustments allowances ---2.05M---2.08M---2.08M--------------0--0--------
Prepaid assets -1.91%4.47M657.62%4.77M657.62%4.77M-----75.53%4.56M-----77.66%630K-77.66%630K----659.08%18.64M
Restricted cash ------0--08.70%125K4.88%129K-3.82%126K-5.97%126K-5.97%126K-31.14%115K-99.72%123K
Current deferred assets -15.15%907K-73.24%430K-73.24%430K----68.61%1.07M----300.75%1.61M300.75%1.61M-----61.93%634K
Other current assets 0.57%16.88M26.52%7.97M26.52%7.97M-32.61%28.39M1.78%16.78M-60.68%28.35M-88.15%6.3M-88.15%6.3M-47.08%42.12M-74.05%16.49M
Total current assets -19.37%30.52M-4.19%33.86M-4.19%33.86M-46.43%34.93M-53.67%37.85M-59.82%40.2M-62.11%35.34M-62.11%35.34M-43.21%65.2M-39.92%81.7M
Non current assets
Net PPE -34.50%21.03M-13.52%27.11M-13.52%27.11M-28.72%29.46M-38.42%32.1M-48.84%34.74M-58.96%31.34M-58.96%31.34M-21.42%41.33M-4.93%52.14M
-Gross PPE -1.06%103.93M5.39%105.25M5.39%105.25M-28.72%29.46M32.12%105.04M-48.84%34.74M-17.82%99.87M-17.82%99.87M-21.42%41.33M-14.20%79.51M
-Accumulated depreciation -13.67%-82.9M-14.03%-78.14M-14.03%-78.14M-----166.50%-72.94M-----51.75%-68.53M-51.75%-68.53M----27.65%-27.37M
Goodwill and other intangible assets -47.03%1.42M-38.38%2.03M-38.38%2.03M-97.07%2.35M-97.04%2.68M-96.89%2.99M-96.65%3.3M-96.65%3.3M-4.33%80.22M6.05%90.36M
-Goodwill ---------------------------------1.29%26.57M-0.99%26.57M
-Other intangible assets -47.03%1.42M-38.38%2.03M-38.38%2.03M-95.61%2.35M-95.81%2.68M-----95.41%3.3M-95.41%3.3M-5.77%53.65M9.28%63.79M
Investments and advances -34.39%4.2M-48.16%4.17M-48.16%4.17M-38.40%6.34M-24.99%6.4M-28.97%6.66M-19.91%8.05M-19.91%8.05M11.78%10.3M-13.87%8.53M
Non current prepaid assets -7.24%2.28M3.31%2.47M3.31%2.47M-4.94%2.46M3.27%2.46M2,394.95%2.47M2,311.11%2.39M2,311.11%2.39M-34.46%2.59M-40.81%2.38M
Other non current assets 482.67%3.83M-53.64%2.96M-53.64%2.96M-86.79%72K-79.46%658K-75.06%1.11M43.41%6.39M43.41%6.39M-98.15%545K-85.71%3.2M
Total non current assets -26.05%32.76M-24.73%38.74M-24.73%38.74M-69.86%40.69M-71.72%44.3M-74.61%47.97M-74.39%51.47M-74.39%51.47M-24.59%134.98M-11.22%156.61M
Total assets -22.97%63.28M-16.37%72.6M-16.37%72.6M-62.23%75.61M-65.53%82.15M-69.49%88.17M-70.50%86.8M-70.50%86.8M-31.86%200.18M-23.71%238.31M
Liabilities
Current liabilities
Payables -93.77%1.72M-49.98%3.22M-49.98%3.22M-3.28%24.11M-14.42%27.65M-40.78%30.17M-90.47%6.45M-90.47%6.45M-59.93%24.93M-48.67%32.31M
-accounts payable -98.41%409K-78.36%787K-78.36%787K-3.31%24.04M-5.99%25.73M-30.51%30.1M-93.31%3.64M-93.31%3.64M-59.22%24.86M-53.96%27.37M
-Total tax payable 3.13%198K-31.89%205K-31.89%205K7.46%72K-1.54%192K-85.22%73K-60.03%301K-60.03%301K-92.39%67K-83.00%195K
-Due to related parties current ----------------------------------0--0
-Other payable -35.40%1.12M-11.00%2.23M-11.00%2.23M-----63.57%1.73M-----44.04%2.51M-44.04%2.51M----140.79%4.75M
Current accrued expenses 1,629.10%10.34M1,293.57%10.41M1,293.57%10.41M-37.37%4.26M-7.43%598K-74.00%4.95M-56.97%747K-56.97%747K-75.00%6.8M-95.91%646K
Current debt and capital lease obligation 31.76%1.59M22.97%1.68M22.97%1.68M2.24%1.46M-20.67%1.21M-84.65%1.29M-38.23%1.37M-38.23%1.37M39.65%1.43M-94.56%1.52M
-Current capital lease obligation 31.76%1.59M22.97%1.68M22.97%1.68M2.24%1.46M-20.67%1.21M-38.67%1.29M-38.23%1.37M-38.23%1.37M39.65%1.43M54.92%1.52M
Current deferred liabilities -25.98%1.85M6.82%1.8M6.82%1.8M-----80.58%2.5M-----81.68%1.69M-81.68%1.69M----43.15%12.88M
Other current liabilities -59.77%107K35.04%27.81M35.04%27.81M-----92.54%266K----470.95%20.59M470.95%20.59M----98.00%3.57M
Current liabilities -51.54%15.62M45.68%44.93M45.68%44.93M-10.03%29.83M-36.72%32.23M-53.56%36.41M-63.46%30.84M-63.46%30.84M-63.34%33.16M-56.68%50.93M
Non current liabilities
Long term debt and capital lease obligation -23.68%1.78M-10.54%2.54M-10.54%2.54M-15.98%2.59M-34.23%2.33M-38.96%2.59M-37.91%2.84M-37.91%2.84M210.15%3.09M266.19%3.54M
-Long term capital lease obligation -23.68%1.78M-10.54%2.54M-10.54%2.54M-15.98%2.59M-34.23%2.33M-38.96%2.59M-37.91%2.84M-37.91%2.84M210.15%3.09M266.19%3.54M
Total non current liabilities -23.68%1.78M-10.54%2.54M-10.54%2.54M-15.98%2.59M-34.23%2.33M-38.96%2.59M-37.91%2.84M-37.91%2.84M210.15%3.09M243.87%3.54M
Total liabilities -49.66%17.4M40.94%47.46M40.94%47.46M-10.54%32.42M-36.56%34.56M-52.81%39M-62.15%33.68M-62.15%33.68M-60.36%36.24M-54.07%54.47M
Shareholders'equity
Share capital 3.70%56K0.00%54K0.00%54K0.00%54K22.73%54K50.00%54K50.00%54K50.00%54K50.00%54K37.42%44K
-common stock 3.70%56K0.00%54K0.00%54K0.00%54K22.73%54K50.00%54K50.00%54K50.00%54K50.00%54K37.42%44K
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -0.55%-551.04M-5.30%-570.88M-5.30%-570.88M-28.13%-552.38M-34.02%-548.02M-41.03%-547.09M-40.18%-542.17M-40.18%-542.17M-15.32%-431.13M-16.53%-408.9M
Paid-in capital 0.21%622.86M0.17%621.84M0.17%621.84M0.12%621.56M1.59%621.56M4.78%621.56M5.12%620.81M5.12%620.81M5.55%620.81M15.36%611.83M
Less: Treasury stock 0.00%21.6M0.00%21.6M0.00%21.6M0.00%21.6M0.00%21.6M0.00%21.6M0.00%21.6M0.00%21.6M0.00%21.6M-2.86%21.6M
Gains losses not affecting retained earnings 0.20%-4.39M-7.98%-4.28M-7.98%-4.28M-5.91%-4.44M-39.42%-4.4M-75.15%-3.75M-68.15%-3.96M-68.15%-3.96M-69.95%-4.2M-114.66%-3.16M
Total stockholders'equity -3.59%45.88M-52.70%25.13M-52.70%25.13M-73.66%43.19M-73.30%47.59M-72.92%49.18M-70.47%53.13M-70.47%53.13M-13.85%163.94M-0.33%178.21M
Noncontrolling interests ----------------------------------0-62.47%5.63M
Total equity -3.59%45.88M-52.70%25.13M-52.70%25.13M-73.66%43.19M-74.11%47.59M-76.17%49.18M-74.12%53.13M-74.12%53.13M-18.99%163.94M-5.13%183.84M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------
Heat List
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