Bit Digital
BTBT
Riot Platforms
RIOT
Cipher Mining
CIFR
CleanSpark
CLSK
Bitdeer Technologies
BTDR
(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 | |
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Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -0.14%25.39B | 1.32%25.95B | -1.13%25.24B | -2.90%24.11B | -2.90%24.11B | -1.98%25.42B | 0.43%25.61B | 6.07%25.53B | 4.40%24.83B | 4.40%24.83B |
-Cash and cash equivalents | -1.80%12.61B | -19.55%13.32B | -40.51%10.56B | -29.91%12.44B | -29.91%12.44B | -36.80%12.84B | -0.14%16.56B | 46.62%17.75B | 7.06%17.75B | 7.06%17.75B |
-Short-term investments | 1.55%12.78B | 39.47%12.63B | 88.78%14.68B | 64.77%11.67B | 64.77%11.67B | 123.83%12.58B | 1.50%9.06B | -34.98%7.78B | -1.73%7.08B | -1.73%7.08B |
-Accounts receivable | -31.71%570.01M | -23.98%474.59M | -53.70%234.5M | 37.65%790.86M | 37.65%790.86M | 58.45%834.72M | 32.09%624.31M | 37.61%506.45M | 28.19%574.55M | 28.19%574.55M |
-Taxes receivable | 0.50%260.68M | -9.90%233.42M | 2.84%259.67M | 10.72%281.52M | 10.72%281.52M | 44.97%259.38M | 41.93%259.06M | 41.27%252.5M | 42.39%254.26M | 42.39%254.26M |
-Other receivables | -6.51%189M | -47.19%118.6M | -16.51%155.98M | 8.13%147.94M | 8.13%147.94M | 102.65%202.15M | 211.07%224.57M | 243.53%186.82M | 173.31%136.82M | 173.31%136.82M |
Inventory | -14.48%1.13B | -17.11%1.17B | -9.00%1.25B | -17.95%1.17B | -17.95%1.17B | -22.79%1.33B | -18.63%1.41B | -24.50%1.37B | -13.89%1.42B | -13.89%1.42B |
Prepaid assets | 15.29%494.25M | 4.61%506.73M | 4.25%321.29M | 10.43%403.81M | 10.43%403.81M | -4.68%428.7M | 11.29%484.38M | 17.41%308.21M | 12.51%365.67M | 12.51%365.67M |
Other current assets | 2,797.56%1.19M | -69.91%1.28M | -10.23%632K | -35.18%2.97M | -35.18%2.97M | -98.71%41K | 99.72%4.25M | -94.41%704K | 574.63%4.57M | 574.63%4.57M |
Total current assets | -1.54%28.04B | -0.58%28.46B | -2.46%27.46B | -2.48%26.9B | -2.48%26.9B | -1.52%28.48B | 0.77%28.62B | 5.21%28.15B | 4.35%27.59B | 4.35%27.59B |
Non current assets | ||||||||||
Net PPE | -3.92%6.69B | -3.68%6.72B | -4.06%6.8B | -5.42%6.79B | -5.42%6.79B | -5.57%6.96B | -6.22%6.97B | -2.33%7.08B | -6.46%7.18B | -6.46%7.18B |
-Gross PPE | -3.92%6.69B | -3.68%6.72B | -4.06%6.8B | -5.42%6.79B | -5.42%6.79B | -5.57%6.96B | -6.22%6.97B | -2.33%7.08B | -6.46%7.18B | -6.46%7.18B |
Goodwill and other intangible assets | 3.44%184.06M | 86.72%188.88M | 139.24%192.98M | 125.19%183.12M | 125.19%183.12M | 162.60%177.94M | 53.92%101.16M | 23.50%80.66M | 136.85%81.32M | 136.85%81.32M |
Non current prepaid assets | 1,414.42%353.06M | 389.90%360.61M | -71.55%20.7M | -72.59%20.02M | -72.59%20.02M | -64.40%23.31M | 12.93%73.61M | 15.16%72.75M | 457.96%73.04M | 457.96%73.04M |
Defined pension benefit | 2.82%510.42M | 2.77%509.63M | 2.91%509.74M | 2.82%508.77M | 2.82%508.77M | 44.32%496.41M | 43.77%495.87M | 43.22%495.34M | 42.67%494.81M | 42.67%494.81M |
Other non current assets | 12.22%16.48M | -57.18%42.62M | 481.01%20.13M | 38.55%13.82M | 38.55%13.82M | 69.83%14.69M | 650.18%99.54M | -78.51%3.47M | 24.13%9.97M | 24.13%9.97M |
Total non current assets | 2.04%19.1B | 2.88%19.2B | 1.76%18.91B | -0.91%18.68B | -0.91%18.68B | -2.41%18.72B | -1.47%18.66B | 0.15%18.58B | 6.23%18.85B | 6.23%18.85B |
Total assets | -0.12%47.14B | 0.79%47.65B | -0.79%46.37B | -1.85%45.58B | -1.85%45.58B | -1.87%47.2B | -0.13%47.28B | 3.14%46.73B | 5.10%46.44B | 5.10%46.44B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | -5.24%8.65B | -2.76%8.83B | -8.36%8.21B | -11.54%8.59B | -11.54%8.59B | -10.72%9.13B | -8.60%9.08B | -8.60%8.96B | -6.36%9.71B | -6.36%9.71B |
-accounts payable | -4.62%5.41B | -3.84%5.59B | -7.33%5.19B | -8.27%5.22B | -8.27%5.22B | -4.72%5.67B | 1.40%5.82B | 1.36%5.6B | 4.07%5.69B | 4.07%5.69B |
-Total tax payable | -52.92%51.68M | -18.99%63.54M | -36.07%73.99M | -73.39%55.51M | -73.39%55.51M | 34.60%109.76M | 25.76%78.43M | 143.21%115.74M | 321.06%208.6M | 321.06%208.6M |
-Other payable | -4.72%3.19B | -0.40%3.17B | -9.16%2.94B | -13.04%3.32B | -13.04%3.32B | -20.13%3.34B | -22.99%3.18B | -23.33%3.24B | -21.44%3.82B | -21.44%3.82B |
Current provisions | -33.73%483.96M | -29.74%562.62M | -30.25%599.83M | -29.53%665.57M | -29.53%665.57M | -25.15%730.33M | -21.86%800.75M | -21.26%860M | -16.15%944.42M | -16.15%944.42M |
Current debt and capital lease obligation | -3.69%3.63B | 0.42%3.63B | 24.95%3.73B | 38.44%3.72B | 38.44%3.72B | 25.51%3.77B | 33.59%3.61B | 8.26%2.99B | 1.13%2.68B | 1.13%2.68B |
-Current debt | -2.70%3.6B | 1.41%3.6B | 26.50%3.7B | 40.15%3.7B | 40.15%3.7B | 25.42%3.7B | 33.96%3.55B | 8.33%2.93B | 1.54%2.64B | 1.54%2.64B |
-Current capital lease obligation | -57.61%28.84M | -54.23%29.26M | -49.33%30.84M | -62.92%16.55M | -62.92%16.55M | 30.17%68.03M | 15.58%63.93M | 4.81%60.86M | -18.13%44.64M | -18.13%44.64M |
Other current liabilities | 3.65%355.29M | -13.66%319.34M | -7.21%279.85M | 12.96%345.18M | 12.96%345.18M | -17.07%342.79M | 2.21%369.88M | -9.68%301.61M | -8.75%305.58M | -8.75%305.58M |
Current liabilities | -6.38%13.14B | -4.34%13.4B | -1.77%12.91B | -1.64%13.5B | -1.64%13.5B | -5.91%14.04B | -1.17%14B | -7.13%13.14B | -5.78%13.73B | -5.78%13.73B |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | 38.68%11.85B | 43.19%11.46B | 24.12%10.06B | 31.07%9.05B | 31.07%9.05B | 39.60%8.54B | 30.65%8B | 123.31%8.11B | 223.16%6.91B | 223.16%6.91B |
-Long term debt | 40.48%11.8B | 44.30%11.4B | 25.00%10B | 32.35%9B | 32.35%9B | 40.00%8.4B | 31.67%7.9B | 128.57%8B | 240.00%6.8B | 240.00%6.8B |
-Long term capital lease obligation | -65.77%49.44M | -44.39%56.06M | -41.42%62.92M | -50.06%53.49M | -50.06%53.49M | 19.77%144.42M | -18.53%100.81M | -17.70%107.4M | -22.03%107.11M | -22.03%107.11M |
Other non current liabilities | 4.18%151.42M | 5.24%152.26M | -5.32%152.2M | -7.16%150.07M | -7.16%150.07M | -15.28%145.35M | -4.96%144.68M | 4.96%160.76M | -0.26%161.64M | -0.26%161.64M |
Total non current liabilities | 38.01%12.05B | 42.32%11.65B | 23.09%10.26B | 29.67%9.28B | 29.67%9.28B | 36.72%8.73B | 28.52%8.19B | 114.92%8.33B | 198.89%7.15B | 198.89%7.15B |
Total liabilities | 10.64%25.19B | 12.87%25.05B | 7.88%23.17B | 9.09%22.78B | 9.09%22.78B | 6.87%22.77B | 8.04%22.19B | 19.12%21.47B | 23.10%20.88B | 23.10%20.88B |
Shareholders'equity | ||||||||||
Share capital | 0.11%8.33B | 0.11%8.32B | 0.15%8.32B | 0.30%8.32B | 0.30%8.32B | 0.49%8.32B | 0.63%8.31B | 0.75%8.31B | 0.61%8.3B | 0.61%8.3B |
-common stock | 0.11%8.33B | 0.11%8.32B | 0.15%8.32B | 0.30%8.32B | 0.30%8.32B | 0.49%8.32B | 0.63%8.31B | 0.75%8.31B | 0.61%8.3B | 0.61%8.3B |
Retained earnings | 8.87%-5.88B | 10.07%-5B | 5.28%-7.52B | -0.81%-7.34B | -0.81%-7.34B | 0.53%-6.45B | -0.99%-5.56B | 0.59%-7.94B | -0.73%-7.28B | -0.73%-7.28B |
Paid-in capital | 0.19%16.25B | 0.21%16.25B | 0.44%16.28B | 0.68%16.27B | 0.68%16.27B | 0.71%16.22B | 0.90%16.22B | 1.11%16.21B | 0.97%16.16B | 0.97%16.16B |
Other equity interest | 9.61%-2.32B | 8.94%-2.54B | 20.42%-2.79B | 11.79%-3.36B | 11.79%-3.36B | 22.05%-2.57B | 33.81%-2.79B | 20.68%-3.51B | 27.04%-3.81B | 27.04%-3.81B |
Total stockholders'equity | -10.15%21.95B | -9.91%22.6B | -8.15%23.2B | -10.78%22.81B | -10.78%22.81B | -8.83%24.43B | -6.38%25.09B | -7.42%25.26B | -6.11%25.56B | -6.11%25.56B |
Total equity | -10.15%21.95B | -9.91%22.6B | -8.15%23.2B | -10.78%22.81B | -10.78%22.81B | -8.83%24.43B | -6.38%25.09B | -7.42%25.26B | -6.11%25.56B | -6.11%25.56B |
Currency Unit | TWD | TWD | TWD | TWD | TWD | TWD | TWD | TWD | TWD | TWD |