Abits
ABTS
Digihost Technology
DGHI
Ebang International
EBON
BIT Mining
BTCM
Canaan
CAN
(Q2)Feb 28, 2025 | (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 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -22.24%119.51M | -11.64%130.73M | 8.21%167.09M | 8.21%167.09M | -6.79%132.36M | 23.29%153.69M | 14.48%147.96M | 27.93%154.42M | 27.93%154.42M | 14.79%142M |
-Cash and cash equivalents | -22.24%119.51M | -11.64%130.73M | 8.21%167.09M | 8.21%167.09M | -6.79%132.36M | 23.29%153.69M | 14.48%147.96M | 27.93%154.42M | 27.93%154.42M | 14.79%142M |
Receivables | 14.76%111.99M | 6.04%100.65M | 6.85%104.34M | 6.85%104.34M | 3.91%107.62M | -2.74%97.59M | -2.85%94.93M | -8.52%97.65M | -8.52%97.65M | -11.50%103.57M |
-Accounts receivable | 14.76%111.99M | 6.04%100.65M | 6.85%104.34M | 6.85%104.34M | 3.91%107.62M | -2.74%97.59M | -2.85%94.93M | -8.52%97.65M | -8.52%97.65M | -11.50%103.57M |
Inventory | -2.95%80.43M | 1.39%81.2M | -2.51%72.89M | -2.51%72.89M | -14.97%79.11M | -12.03%82.87M | -11.67%80.08M | -10.65%74.77M | -10.65%74.77M | 7.07%93.04M |
Other current assets | 13.02%37.47M | 0.51%37.19M | -3.02%27.94M | -3.02%27.94M | -17.58%28.71M | -8.13%33.15M | 5.53%37M | -7.84%28.81M | -7.84%28.81M | -9.88%34.84M |
Total current assets | -4.87%349.4M | -2.83%349.77M | 4.67%372.26M | 4.67%372.26M | -6.87%347.8M | 3.38%367.31M | 2.07%359.96M | 3.87%355.64M | 3.87%355.64M | 1.95%373.44M |
Non current assets | ||||||||||
Net PPE | 32.64%49.03M | 20.70%45.82M | 3.38%40.29M | 3.38%40.29M | -13.27%36.24M | -10.39%36.96M | -9.14%37.96M | -5.81%38.97M | -5.81%38.97M | -5.89%41.78M |
-Gross PPE | 11.16%169.9M | 9.23%166.01M | 6.40%160.27M | 6.40%160.27M | -6.21%154.38M | -5.19%152.84M | -4.66%151.98M | -3.25%150.64M | -3.25%150.64M | 3.10%164.59M |
-Accumulated depreciation | -4.31%-120.87M | -5.41%-120.19M | -7.45%-119.99M | -7.45%-119.99M | 3.81%-118.14M | 3.40%-115.88M | 3.07%-114.02M | 2.32%-111.67M | 2.32%-111.67M | -6.56%-122.81M |
Goodwill and other intangible assets | 6.92%323.92M | 5.82%321.98M | 0.60%305.66M | 0.60%305.66M | -0.23%303.06M | 0.37%302.97M | 0.52%304.26M | 1.46%303.83M | 1.46%303.83M | -2.75%303.77M |
-Goodwill | 4.18%277.24M | 7.87%287.5M | 1.16%269.6M | 1.16%269.6M | 0.80%266.81M | 1.51%266.11M | 1.86%266.54M | 3.31%266.49M | 3.31%266.49M | -0.94%264.69M |
-Other intangible assets | 26.66%46.68M | -8.60%34.48M | -3.43%36.06M | -3.43%36.06M | -7.27%36.24M | -7.20%36.86M | -8.05%37.73M | -10.04%37.34M | -10.04%37.34M | -13.46%39.08M |
Other non current assets | -12.52%54.28M | -8.84%57.78M | -7.84%59.13M | -7.84%59.13M | -15.80%62.37M | -17.04%62.05M | -17.96%63.38M | -13.42%64.16M | -13.42%64.16M | -0.23%74.08M |
Total non current assets | 6.28%427.23M | 4.92%425.58M | -0.46%405.07M | -0.46%405.07M | -4.28%401.67M | -3.81%401.98M | -3.82%405.61M | -1.92%406.96M | -1.92%406.96M | -2.64%419.63M |
Total assets | 0.95%776.63M | 1.28%775.35M | 1.93%777.33M | 1.93%777.33M | -5.50%749.46M | -0.50%769.29M | -1.14%765.57M | 0.70%762.6M | 0.70%762.6M | -0.53%793.07M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | -2.01%47.11M | 4.74%52.66M | -10.26%48.69M | -10.26%48.69M | -7.99%48.89M | -21.06%48.08M | -36.89%50.28M | -29.65%54.25M | -29.65%54.25M | -23.70%53.13M |
-accounts payable | -0.26%43.9M | 3.13%46.93M | -14.09%43.37M | -14.09%43.37M | -11.64%41.66M | -18.93%44.02M | -39.06%45.51M | -30.39%50.48M | -30.39%50.48M | -28.28%47.15M |
-Total tax payable | -21.01%3.21M | 20.05%5.73M | 41.10%5.32M | 41.10%5.32M | 20.75%7.22M | -38.57%4.06M | -4.41%4.77M | -17.91%3.77M | -17.91%3.77M | 53.70%5.98M |
Current debt and capital lease obligation | 0.00%5M | 14.29%5M | 33.33%5M | 33.33%5M | 60.00%5M | 100.00%5M | 133.33%4.38M | -6.25%3.75M | -6.25%3.75M | --3.13M |
-Current debt | 0.00%5M | 14.29%5M | 33.33%5M | 33.33%5M | 60.00%5M | 100.00%5M | 133.33%4.38M | -6.25%3.75M | -6.25%3.75M | --3.13M |
Other current liabilities | -3.99%42.84M | -13.30%43.84M | -12.43%49.85M | -12.43%49.85M | -20.94%43.8M | -20.09%44.62M | 2.83%50.56M | 12.32%56.92M | 12.32%56.92M | 26.87%55.4M |
Current liabilities | -3.48%114.03M | -5.55%119.94M | -12.64%129.39M | -12.64%129.39M | -13.00%121.99M | -17.62%118.15M | -17.62%126.98M | -3.31%148.12M | -3.31%148.12M | 4.23%140.22M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | -22.02%187.09M | -21.59%188.29M | -9.91%189.5M | -9.91%189.5M | -17.64%190.71M | 16.04%239.92M | 19.85%240.13M | 5.17%210.34M | 5.17%210.34M | 12.95%231.55M |
-Long term debt | -22.02%187.09M | -21.59%188.29M | -9.91%189.5M | -9.91%189.5M | -17.64%190.71M | 16.04%239.92M | 19.85%240.13M | 5.17%210.34M | 5.17%210.34M | 12.95%231.55M |
Non current deferred liabilities | 29.92%8.63M | 1.33%6.11M | -34.78%3.7M | -34.78%3.7M | -55.56%3.66M | -21.63%6.64M | -23.53%6.03M | -22.95%5.67M | -22.95%5.67M | 24.90%8.23M |
Employee benefits | -16.06%8.45M | -10.83%9.07M | -1.70%10.07M | -1.70%10.07M | -14.09%9.87M | -13.97%10.07M | -14.57%10.17M | -14.19%10.25M | -14.19%10.25M | -28.97%11.49M |
Other non current liabilities | -8.91%52.45M | -10.98%53.93M | -14.48%52.68M | -14.48%52.68M | -11.55%57.46M | -7.20%57.58M | -7.91%60.58M | -6.96%61.61M | -6.96%61.61M | -5.48%64.97M |
Total non current liabilities | -18.33%256.62M | -18.78%257.4M | -11.08%255.96M | -11.08%255.96M | -17.24%261.7M | 8.73%314.21M | 10.83%316.91M | 0.82%287.86M | 0.82%287.86M | 6.65%316.23M |
Total liabilities | -14.27%370.65M | -14.99%377.34M | -11.61%385.35M | -11.61%385.35M | -15.94%383.69M | -0.01%432.36M | 0.87%443.89M | -0.62%435.98M | -0.62%435.98M | 5.90%456.46M |
Shareholders'equity | ||||||||||
Share capital | 0.01%10.85M | -35.21%10.88M | -35.25%10.85M | -35.25%10.85M | -35.18%10.86M | -35.20%10.85M | 0.52%16.79M | 0.44%16.75M | 0.44%16.75M | 0.48%16.75M |
-common stock | 0.01%10.85M | -35.21%10.88M | -35.25%10.85M | -35.25%10.85M | -35.18%10.86M | -35.20%10.85M | 0.52%16.79M | 0.44%16.75M | 0.44%16.75M | 0.48%16.75M |
Retained earnings | 30.61%290.01M | -72.86%279.24M | -74.10%261.87M | -74.10%261.87M | -75.25%245.26M | -77.31%222.05M | 5.61%1.03B | 4.59%1.01B | 4.59%1.01B | 3.35%991.08M |
Paid-in capital | 4.40%236.02M | 4.69%233.96M | 6.89%235.66M | 6.89%235.66M | 5.88%231M | 4.72%226.08M | 3.85%223.47M | 3.51%220.47M | 3.51%220.47M | 2.93%218.16M |
Less: Treasury stock | ---- | ---- | --0 | --0 | --0 | --0 | 11.28%826.62M | 7.76%800.51M | 7.76%800.51M | 8.47%763.68M |
Gains losses not affecting retained earnings | -7.66%-127.33M | -4.29%-122.3M | 4.34%-112.62M | 4.34%-112.62M | 3.87%-117.56M | 4.91%-118.27M | 6.71%-117.26M | 10.65%-117.73M | 10.65%-117.73M | -7.12%-122.3M |
Other equity interest | 5.35%-3.58M | -5.54%-3.77M | -8.41%-3.78M | -8.41%-3.78M | -10.93%-3.78M | -13.77%-3.78M | -10.40%-3.58M | -8.57%-3.48M | -8.57%-3.48M | -8.16%-3.41M |
Total stockholders'equity | 20.49%405.98M | 23.73%398.01M | 20.01%391.98M | 20.01%391.98M | 8.66%365.77M | -1.13%336.93M | -3.78%321.68M | 2.51%326.62M | 2.51%326.62M | -8.10%336.62M |
Total equity | 20.49%405.98M | 23.73%398.01M | 20.01%391.98M | 20.01%391.98M | 8.66%365.77M | -1.13%336.93M | -3.78%321.68M | 2.51%326.62M | 2.51%326.62M | -8.10%336.62M |
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 | -- | -- |