Intchains Group
ICG
BIGG DIGITAL ASSETS INC
BBKCF
NEPTUNE DIGITAL ASSETS CORP
NPPTF
Bitdeer Technologies
BTDR
FRMO CORP
FRMO
(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 | -29.85%71.9M | -30.75%72.3M | -52.12%53.1M | -64.71%39M | -64.71%39M | -22.93%102.5M | -31.41%104.4M | -32.50%110.9M | -22.07%110.5M | -22.07%110.5M |
-Cash and cash equivalents | -29.85%71.9M | -30.75%72.3M | -52.12%53.1M | -64.71%39M | -64.71%39M | -22.93%102.5M | -31.41%104.4M | -32.50%110.9M | -22.07%110.5M | -22.07%110.5M |
Receivables | 10.43%86.8M | 7.48%86.2M | 8.08%88.3M | -9.35%87.3M | -9.35%87.3M | -4.50%78.6M | 7.80%80.2M | 11.76%81.7M | 31.38%96.3M | 31.38%96.3M |
-Accounts receivable | 10.43%86.8M | 7.48%86.2M | 8.08%88.3M | -2.29%93.8M | -2.29%93.8M | -4.50%78.6M | 7.80%80.2M | 11.76%81.7M | 32.05%96M | 32.05%96M |
-Other receivables | ---- | ---- | ---- | -45.38%6.5M | -45.38%6.5M | ---- | ---- | ---- | 153.19%11.9M | 153.19%11.9M |
-Recievables adjustments allowances | ---- | ---- | ---- | -12.07%-13M | -12.07%-13M | ---- | ---- | ---- | -182.93%-11.6M | -182.93%-11.6M |
Inventory | -5.00%38M | -3.01%38.7M | 1.50%40.6M | 10.34%39.5M | 10.34%39.5M | 3.09%40M | 5.84%39.9M | 6.95%40M | 0.85%35.8M | 0.85%35.8M |
Other current assets | -22.38%16.3M | -7.10%15.7M | -19.10%14.4M | -15.06%14.1M | -15.06%14.1M | 20.69%21M | 57.94%16.9M | 42.40%17.8M | 25.76%16.6M | 25.76%16.6M |
Total current assets | -12.02%213M | -11.81%212.9M | -21.57%196.4M | -30.59%179.9M | -30.59%179.9M | -10.83%242.1M | -12.22%241.4M | -12.84%250.4M | -1.74%259.2M | -1.74%259.2M |
Non current assets | ||||||||||
Net PPE | -1.70%444.9M | -3.70%447.4M | -3.55%448.8M | -6.59%450.9M | -6.59%450.9M | -6.43%452.6M | -2.50%464.6M | 2.92%465.3M | 18.98%482.7M | 18.98%482.7M |
-Gross PPE | -1.70%444.9M | -3.70%447.4M | -3.55%448.8M | 3.48%743.4M | 3.48%743.4M | -6.43%452.6M | -2.50%464.6M | 2.92%465.3M | 24.72%718.4M | 24.72%718.4M |
-Accumulated depreciation | ---- | ---- | ---- | -24.10%-292.5M | -24.10%-292.5M | ---- | ---- | ---- | -38.40%-235.7M | -38.40%-235.7M |
Goodwill and other intangible assets | 0.83%2.52B | 0.67%2.54B | 0.46%2.53B | 0.57%2.54B | 0.57%2.54B | -1.00%2.5B | 2.82%2.52B | 7.46%2.52B | 17.02%2.52B | 17.02%2.52B |
-Goodwill | 3.94%2.26B | 3.85%2.25B | 3.70%2.23B | 3.61%2.21B | 3.61%2.21B | 2.12%2.17B | 5.43%2.17B | 9.66%2.15B | 18.09%2.14B | 18.09%2.14B |
-Other intangible assets | -19.58%265.8M | -18.77%287.3M | -18.43%301M | -16.29%322.1M | -16.29%322.1M | -17.54%330.5M | -10.75%353.7M | -3.76%369M | 11.44%384.8M | 11.44%384.8M |
Investments and advances | 1,745.45%20.3M | --300K | 100.00%200K | --0 | --0 | 1,000.00%1.1M | --0 | -66.67%100K | -66.67%100K | -66.67%100K |
Non current accounts receivable | 1.10%9.2M | -1.00%9.9M | -8.40%10.9M | 10.23%9.7M | 10.23%9.7M | -40.52%9.1M | -23.66%10M | -21.19%11.9M | -12.00%8.8M | -12.00%8.8M |
Financial assets | -99.62%100K | -64.97%6.9M | --10.8M | 123.53%3.8M | 123.53%3.8M | --26.4M | --19.7M | --0 | --1.7M | --1.7M |
Non current deferred assets | 3.89%104.1M | 4.39%104.7M | 4.28%104.8M | 7.71%104.8M | 7.71%104.8M | --100.2M | --100.3M | --100.5M | --97.3M | --97.3M |
Other non current assets | -24.14%2.2M | -58.33%2.5M | -73.33%2.8M | -30.77%2.7M | -30.77%2.7M | -27.50%2.9M | 160.87%6M | 320.00%10.5M | 50.00%3.9M | 50.00%3.9M |
Total non current assets | 0.30%3.1B | -0.38%3.11B | 0.05%3.1B | -0.26%3.11B | -0.26%3.11B | 2.11%3.09B | 6.03%3.12B | 10.42%3.1B | 21.09%3.12B | 21.09%3.12B |
Total assets | -0.60%3.31B | -1.20%3.32B | -1.57%3.3B | -2.59%3.29B | -2.59%3.29B | 1.05%3.33B | 4.47%3.36B | 8.26%3.35B | 18.97%3.38B | 18.97%3.38B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 12.44%144.6M | 15.69%157.8M | 2.29%133.9M | -9.70%104.3M | -9.70%104.3M | -17.77%128.6M | -2.08%136.4M | 0.15%130.9M | 21.45%115.5M | 21.45%115.5M |
-accounts payable | 12.44%144.6M | 15.69%157.8M | 2.29%133.9M | 9.10%97.1M | 9.10%97.1M | -17.77%128.6M | -2.08%136.4M | 0.15%130.9M | 15.28%89M | 15.28%89M |
-Other payable | ---- | ---- | ---- | -72.83%7.2M | -72.83%7.2M | ---- | ---- | ---- | 48.04%26.5M | 48.04%26.5M |
Current accrued expenses | ---- | ---- | ---- | 19.32%21M | 19.32%21M | ---- | ---- | ---- | 31.34%17.6M | 31.34%17.6M |
Current debt and capital lease obligation | -46.00%29M | 5.95%28.5M | 7.92%28.6M | 2.94%28M | 2.94%28M | 102.64%53.7M | 5.08%26.9M | 8.61%26.5M | 17.75%27.2M | 17.75%27.2M |
-Current debt | ---- | ---- | ---- | ---- | ---- | --26.1M | ---- | ---- | ---- | ---- |
-Current capital lease obligation | 5.07%29M | 5.95%28.5M | 7.92%28.6M | 2.94%28M | 2.94%28M | 4.15%27.6M | 5.08%26.9M | 8.61%26.5M | 17.75%27.2M | 17.75%27.2M |
Current deferred liabilities | 23.08%4.8M | 36.59%5.6M | 67.44%7.2M | 24.53%6.6M | 24.53%6.6M | -25.00%3.9M | 51.85%4.1M | 59.26%4.3M | 120.83%5.3M | 120.83%5.3M |
Other current liabilities | -90.32%300K | -95.12%400K | -44.94%4.9M | -74.85%4.3M | -74.85%4.3M | -83.77%3.1M | -62.39%8.2M | -76.46%8.9M | -54.03%17.1M | -54.03%17.1M |
Current liabilities | -5.60%178.7M | 9.51%192.3M | 2.34%174.6M | -10.13%164.2M | -10.13%164.2M | -8.64%189.3M | -7.29%175.6M | -12.78%170.6M | 6.72%182.7M | 6.72%182.7M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | 0.42%1.33B | -1.71%1.33B | -1.42%1.33B | -1.29%1.33B | -1.29%1.33B | -0.17%1.33B | 5.77%1.35B | 12.54%1.35B | 18.84%1.34B | 18.84%1.34B |
-Long term debt | 0.05%1.05B | -2.38%1.05B | -2.36%1.05B | -1.26%1.05B | -1.26%1.05B | 0.16%1.05B | 6.56%1.07B | 13.48%1.07B | 18.55%1.06B | 18.55%1.06B |
-Long term capital lease obligation | 1.83%283.9M | 0.82%283.7M | 2.23%283.7M | -1.41%279.7M | -1.41%279.7M | -1.38%278.8M | 2.85%281.4M | 9.04%277.5M | 19.91%283.7M | 19.91%283.7M |
Non current deferred liabilities | -11.33%36M | 0.23%43M | 3.36%43.1M | -0.94%42.3M | -0.94%42.3M | 10,050.00%40.6M | 21,350.00%42.9M | 41,600.00%41.7M | 42,600.00%42.7M | 42,600.00%42.7M |
Employee benefits | 111.11%1.9M | 8.70%2.5M | -61.90%1.6M | -50.00%2.3M | -50.00%2.3M | -76.32%900K | -75.00%2.3M | -67.94%4.2M | -65.67%4.6M | -65.67%4.6M |
Derivative product liabilities | --12.1M | ---- | ---- | ---- | ---- | ---- | ---- | --1.3M | ---- | ---- |
Other non current liabilities | 95.80%28M | 90.07%26.8M | 67.15%22.9M | 22.60%17.9M | 22.60%17.9M | 23.28%14.3M | 42.42%14.1M | 61.18%13.7M | 73.81%14.6M | 73.81%14.6M |
Total non current liabilities | 2.01%1.41B | -0.72%1.4B | -0.88%1.4B | -1.20%1.39B | -1.20%1.39B | 2.81%1.38B | 8.76%1.41B | 15.53%1.41B | 21.95%1.41B | 21.95%1.41B |
Total liabilities | 1.10%1.59B | 0.41%1.59B | -0.53%1.57B | -2.22%1.55B | -2.22%1.55B | 1.28%1.57B | 6.72%1.59B | 11.62%1.58B | 19.98%1.59B | 19.98%1.59B |
Shareholders'equity | ||||||||||
Share capital | 5.34%2.37B | 0.53%2.27B | 0.49%2.26B | 3.03%2.26B | 3.03%2.26B | 4.14%2.25B | 5.67%2.25B | 7.43%2.25B | 14.09%2.19B | 14.09%2.19B |
-common stock | 5.34%2.37B | 0.53%2.27B | 0.49%2.26B | 3.03%2.26B | 3.03%2.26B | 4.14%2.25B | 5.67%2.25B | 7.43%2.25B | 14.09%2.19B | 14.09%2.19B |
Retained earnings | -19.83%-694.2M | -12.03%-638M | -11.39%-626.1M | -20.42%-614.4M | -20.42%-614.4M | -12.09%-579.3M | -13.40%-569.5M | -11.40%-562.1M | -3.36%-510.2M | -3.36%-510.2M |
Paid-in capital | -46.55%48.8M | 10.85%99.1M | 10.13%96.8M | -13.19%94.8M | -13.19%94.8M | -12.04%91.3M | -9.79%89.4M | -6.89%87.9M | 22.42%109.2M | 22.42%109.2M |
Total stockholders'equity | -2.10%1.73B | -2.65%1.73B | -2.49%1.73B | -2.92%1.74B | -2.92%1.74B | 0.83%1.76B | 2.54%1.77B | 5.44%1.77B | 18.08%1.79B | 18.08%1.79B |
Total equity | -2.10%1.73B | -2.65%1.73B | -2.49%1.73B | -2.92%1.74B | -2.92%1.74B | 0.83%1.76B | 2.54%1.77B | 5.44%1.77B | 18.08%1.79B | 18.08%1.79B |
Currency Unit | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD | CAD |
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 | -- |