BIGG DIGITAL ASSETS INC
BBKCF
The9 Ltd
NCTY
SATO TECHNOLOGIES CORP
CCPUF
SAI TECH Global
SAI
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 | 54.85%275.36M | 34.48%257.7M | 69.10%293.67M | 59.55%295.6M | 59.55%295.6M | -20.96%177.82M | -33.48%191.62M | -38.77%173.66M | -30.44%185.27M | -30.44%185.27M |
-Cash and cash equivalents | 54.85%275.36M | 34.48%257.7M | 69.10%293.67M | 59.55%295.6M | 59.55%295.6M | -20.96%177.82M | -33.48%191.62M | -38.77%173.66M | -30.44%185.27M | -30.44%185.27M |
Receivables | 13.23%131.1M | 11.75%122.28M | 10.52%141.33M | 19.92%140.49M | 19.92%140.49M | 3.10%115.78M | 1.61%109.42M | 21.63%127.88M | -0.18%117.16M | -0.18%117.16M |
-Accounts receivable | 13.23%131.1M | 11.75%122.28M | 10.52%141.33M | 12.99%128.4M | 12.99%128.4M | 3.10%115.78M | 1.61%109.42M | 21.63%127.88M | 71.52%113.64M | 71.52%113.64M |
-Taxes receivable | ---- | ---- | ---- | 9.07%2.9M | 9.07%2.9M | ---- | ---- | ---- | 10.48%2.66M | 10.48%2.66M |
-Other receivables | ---- | ---- | ---- | 336.90%13.2M | 336.90%13.2M | ---- | ---- | ---- | -76.95%3.02M | -76.95%3.02M |
-Recievables adjustments allowances | ---- | ---- | ---- | -85.73%-4.01M | -85.73%-4.01M | ---- | ---- | ---- | 14.43%-2.16M | 14.43%-2.16M |
Prepaid assets | ---- | ---- | ---- | 98.13%32.4M | 98.13%32.4M | ---- | ---- | ---- | 34.62%16.35M | 34.62%16.35M |
Restricted cash | 24.54%25.66M | 25.40%24.43M | 24.10%23.6M | 25.21%23.07M | 25.21%23.07M | 10.17%20.61M | -13.69%19.49M | -6.31%19.02M | -5.82%18.43M | -5.82%18.43M |
Current deferred assets | ---- | ---- | ---- | 27.52%7.75M | 27.52%7.75M | ---- | ---- | ---- | 23.30%6.08M | 23.30%6.08M |
Other current assets | 15.17%101.51M | 72.25%126.37M | 117.76%104.4M | 35.34%62.04M | 35.34%62.04M | 115.03%88.14M | 58.43%73.36M | 15.44%47.94M | 186.64%45.84M | 186.64%45.84M |
Total current assets | 32.63%533.64M | 34.75%530.78M | 52.78%563M | 44.26%561.35M | 44.26%561.35M | 1.36%402.35M | -19.58%393.89M | -22.19%368.5M | -10.82%389.13M | -10.82%389.13M |
Non current assets | ||||||||||
Net PPE | 8.67%75.51M | 9.37%78.53M | 4.30%75.6M | 6.84%77.25M | 6.84%77.25M | 2.59%69.48M | 6.44%71.8M | 1.99%72.49M | 3.65%72.31M | 3.65%72.31M |
-Gross PPE | 5.23%218.88M | 11.73%230.05M | 11.29%224.42M | 13.97%221.37M | 13.97%221.37M | 12.89%208.01M | 14.38%205.9M | 11.15%201.66M | 10.27%194.22M | 10.27%194.22M |
-Accumulated depreciation | -3.50%-143.37M | -12.99%-151.53M | -15.21%-148.82M | -18.21%-144.12M | -18.21%-144.12M | -18.87%-138.53M | -19.15%-134.11M | -17.04%-129.17M | -14.62%-121.92M | -14.62%-121.92M |
Goodwill and other intangible assets | 82.36%1.19B | 83.01%1.19B | 95.68%1.27B | 110.00%1.31B | 110.00%1.31B | 6.61%654.74M | 9.77%652.04M | 8.59%648.05M | 2.82%623.71M | 2.82%623.71M |
-Goodwill | 72.74%750.54M | 69.23%741.65M | 79.11%777.93M | 86.99%791.7M | 86.99%791.7M | 3.99%434.5M | 13.67%438.26M | 11.65%434.34M | 7.65%423.39M | 7.65%423.39M |
-Other intangible assets | 101.35%443.44M | 111.26%451.64M | 129.37%490.19M | 158.62%518.07M | 158.62%518.07M | 12.19%220.24M | 2.56%213.78M | 2.86%213.71M | -6.08%200.32M | -6.08%200.32M |
Investments and advances | -26.04%35.56M | 53.00%29.55M | 94.58%34.8M | 93.46%32.65M | 93.46%32.65M | 195.29%48.08M | 10.24%19.31M | 2.63%17.88M | 11.02%16.88M | 11.02%16.88M |
Financial assets | -93.48%749K | -6.36%7.24M | 20.70%6.96M | -41.06%4.39M | -41.06%4.39M | 62.55%11.49M | --7.73M | --5.77M | --7.44M | --7.44M |
Non current deferred assets | 79.16%32.75M | 188.61%23.85M | 150.81%19.88M | 739.27%47.85M | 739.27%47.85M | 237.64%18.28M | 17.10%8.26M | 11.43%7.93M | -17.50%5.7M | -17.50%5.7M |
Other non current assets | 33.66%22.77M | 43.50%26.7M | 69.57%28.13M | 62.90%27.01M | 62.90%27.01M | 27.37%17.04M | 388.33%18.61M | 477.19%16.59M | 67.02%16.58M | 67.02%16.58M |
Total non current assets | 66.20%1.36B | 74.75%1.36B | 86.48%1.43B | 101.84%1.5B | 101.84%1.5B | 13.14%819.11M | 14.45%777.75M | 11.73%768.7M | 4.83%742.61M | 4.83%742.61M |
Total assets | 55.14%1.89B | 61.31%1.89B | 75.56%2B | 82.04%2.06B | 82.04%2.06B | 8.96%1.22B | 0.20%1.17B | -2.10%1.14B | -1.14%1.13B | -1.14%1.13B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 11.27%59.38M | 27.87%64.34M | 17.13%66.63M | 78.65%69.92M | 78.65%69.92M | 20.60%53.36M | 34.36%50.32M | 40.10%56.89M | 9.88%39.14M | 9.88%39.14M |
-accounts payable | 2.48%53.7M | 19.89%60.12M | 39.84%66.63M | 123.73%66.52M | 123.73%66.52M | 56.48%52.4M | 45.61%50.15M | 56.37%47.65M | 4.37%29.73M | 4.37%29.73M |
-Total tax payable | 492.28%5.67M | 2,369.01%4.22M | --0 | -63.83%3.4M | -63.83%3.4M | -91.09%958K | -94.32%171K | -8.84%9.24M | 31.88%9.41M | 31.88%9.41M |
Current accrued expenses | 30.51%119.17M | 43.47%114.42M | 46.10%116.98M | 60.12%129.16M | 60.12%129.16M | 10.28%91.31M | 0.90%79.75M | 12.29%80.06M | 8.22%80.67M | 8.22%80.67M |
Current debt and capital lease obligation | -4.23%31.35M | 16.10%31.28M | 319.81%111.44M | -34.54%30.56M | -34.54%30.56M | -6.01%32.73M | -5.21%26.94M | -2.56%26.55M | 84.31%46.69M | 84.31%46.69M |
-Current debt | -10.78%23.87M | 15.02%23.87M | 400.56%103.87M | -41.43%23.87M | -41.43%23.87M | -7.16%26.75M | -7.78%20.75M | -1.78%20.75M | 106.33%40.75M | 106.33%40.75M |
-Current capital lease obligation | 25.07%7.48M | 19.70%7.41M | 30.69%7.58M | 12.75%6.69M | 12.75%6.69M | -0.47%5.98M | 4.53%6.19M | -5.28%5.8M | 6.38%5.94M | 6.38%5.94M |
Current deferred liabilities | 59.65%23.03M | 6.02%18.89M | -4.05%18.94M | 38.28%21.06M | 38.28%21.06M | -15.38%14.43M | -16.74%17.82M | -7.60%19.74M | -12.48%15.23M | -12.48%15.23M |
Other current liabilities | -34.11%37.5M | 157.40%62.04M | --40.45M | 78.38%47.62M | 78.38%47.62M | --56.91M | --24.1M | ---- | --26.7M | --26.7M |
Current liabilities | 8.72%270.42M | 46.27%290.97M | 93.43%354.43M | 43.14%298.31M | 43.14%298.31M | 39.03%248.74M | 19.61%198.93M | 14.15%183.23M | 36.32%208.41M | 36.32%208.41M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | 145.22%936.03M | 142.85%942.7M | 140.52%950.4M | 138.79%955.85M | 138.79%955.85M | -13.25%381.7M | -13.29%388.18M | -13.23%395.14M | -13.22%400.29M | -13.22%400.29M |
-Long term debt | 148.45%930.85M | 146.57%936M | 144.89%941.72M | 143.09%946.82M | 143.09%946.82M | -12.20%374.66M | -12.28%379.6M | -12.35%384.55M | -12.43%389.5M | -12.43%389.5M |
-Long term capital lease obligation | -26.56%5.17M | -21.94%6.7M | -17.99%8.69M | -16.27%9.03M | -16.27%9.03M | -47.11%7.05M | -42.58%8.58M | -36.42%10.59M | -34.44%10.79M | -34.44%10.79M |
Non current deferred liabilities | 126.71%101.77M | 134.57%100.28M | 143.15%105.64M | 193.67%129.74M | 193.67%129.74M | 5.07%44.89M | 22.55%42.75M | 11.19%43.45M | 14.37%44.18M | 14.37%44.18M |
Derivative product liabilities | --9M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Other non current liabilities | 225.09%31.8M | 738.97%30.44M | 706.33%34.12M | 894.76%40.98M | 894.76%40.98M | 140.78%9.78M | -53.95%3.63M | -50.65%4.23M | -50.62%4.12M | -50.62%4.12M |
Total non current liabilities | 147.17%1.08B | 147.01%1.07B | 146.19%1.09B | 151.14%1.13B | 151.14%1.13B | -10.36%436.37M | -11.39%434.56M | -12.47%442.82M | -14.00%448.59M | -14.00%448.59M |
Total liabilities | 96.91%1.35B | 115.38%1.36B | 130.75%1.44B | 116.88%1.42B | 116.88%1.42B | 2.91%685.11M | -3.54%633.49M | -6.06%626.05M | -2.59%657M | -2.59%657M |
Shareholders'equity | ||||||||||
Share capital | -1.55%636K | -0.62%644K | -1.08%644K | 0.93%654K | 0.93%654K | -1.37%646K | -9.12%648K | -9.21%651K | -9.87%648K | -9.87%648K |
-common stock | -1.55%636K | -0.62%644K | -1.08%644K | 0.93%654K | 0.93%654K | -1.37%646K | -9.12%648K | -9.21%651K | -9.87%648K | -9.87%648K |
-Preferred stock | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 |
Retained earnings | 6.03%562.73M | 2.24%541.25M | 0.98%512.54M | 10.58%538.9M | 10.58%538.9M | 10.40%530.71M | -3.01%529.36M | -3.57%507.56M | -3.70%487.35M | -3.70%487.35M |
Paid-in capital | 15.35%5.08M | --10.78M | --0 | --36.53M | --36.53M | --4.4M | --0 | --0 | --0 | --0 |
Gains losses not affecting retained earnings | -1,863.69%-65.82M | -1,630.82%-69.24M | -1,227.80%-5.92M | 210.45%18.21M | 210.45%18.21M | 88.67%-3.35M | 111.46%4.52M | 98.77%-446K | 65.74%-16.49M | 65.74%-16.49M |
Total stockholders'equity | -5.60%502.62M | -9.56%483.43M | -0.10%507.26M | 26.04%594.29M | 26.04%594.29M | 17.84%532.41M | 5.07%534.54M | 3.44%507.77M | 1.14%471.51M | 1.14%471.51M |
Noncontrolling interests | 1,000.15%43.32M | 1,067.17%42.1M | 1,223.45%44.64M | 1,169.17%41.08M | 1,169.17%41.08M | 14.28%3.94M | -6.43%3.61M | -21.04%3.37M | -20.19%3.24M | -20.19%3.24M |
Total equity | 1.79%545.94M | -2.34%525.53M | 7.97%551.9M | 33.83%635.38M | 33.83%635.38M | 17.81%536.35M | 4.98%538.14M | 3.23%511.14M | 0.95%474.75M | 0.95%474.75M |
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 | -- |