Bit Origin
BTOG
Bakkt Holdings
BKKT
Bitdeer Technologies
BTDR
SATO TECHNOLOGIES CORP
CCPUF
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 | 62.49%786.3M | 81.64%690.6M | 55.54%616.1M | 30.83%528.8M | 30.83%528.8M | 24.99%483.9M | -38.31%380.2M | -40.27%396.1M | -40.83%404.2M | -40.83%404.2M |
-Cash and cash equivalents | 73.38%749M | 93.53%652.4M | 61.80%584.6M | 33.32%494.6M | 33.32%494.6M | 21.37%432M | -39.55%337.1M | -42.31%361.3M | -43.19%371M | -43.19%371M |
-Short-term investments | -28.13%37.3M | -11.37%38.2M | -9.48%31.5M | 3.01%34.2M | 3.01%34.2M | 66.26%51.9M | -26.53%43.1M | -5.78%34.8M | 10.67%33.2M | 10.67%33.2M |
Receivables | 24.76%320.5M | 16.49%350.3M | 21.64%290.1M | 3.67%231.8M | 3.67%231.8M | 44.13%256.9M | 59.89%300.7M | 82.68%238.5M | 76.90%223.6M | 76.90%223.6M |
-Accounts receivable | 24.76%320.5M | 24.26%314M | 21.64%290.1M | 17.30%204.8M | 17.30%204.8M | 44.13%256.9M | 59.40%252.7M | 82.68%238.5M | 75.83%174.6M | 75.83%174.6M |
-Taxes receivable | ---- | 3.42%36.3M | ---- | -33.00%26.6M | -33.00%26.6M | ---- | 18.82%35.1M | ---- | 47.58%39.7M | 47.58%39.7M |
-Other receivables | ---- | ---- | ---- | -95.70%400K | -95.70%400K | ---- | --12.9M | ---- | 4,550.00%9.3M | 4,550.00%9.3M |
Inventory | -17.81%348.9M | -7.94%401.3M | -21.47%365.3M | -9.88%356.5M | -9.88%356.5M | 61.74%424.5M | 101.14%435.9M | 186.36%465.2M | 194.78%395.6M | 194.78%395.6M |
Prepaid assets | ---- | 89.68%29.4M | ---- | -0.95%20.8M | -0.95%20.8M | ---- | -43.57%15.5M | ---- | 27.27%21M | 27.27%21M |
Other current assets | 17.86%99M | 28.33%29.9M | -4.11%88.6M | 88.73%13.4M | 88.73%13.4M | 17.19%84M | 103.23%23.3M | 57.30%92.4M | 61.36%7.1M | 61.36%7.1M |
Total current assets | 24.45%1.55B | 29.93%1.5B | 14.08%1.36B | 9.49%1.15B | 9.49%1.15B | 20.52%1.25B | 9.00%1.16B | 17.47%1.19B | 9.01%1.05B | 9.01%1.05B |
Non current assets | ||||||||||
Net PPE | 34.78%430.9M | 81.47%431M | 68.26%408.7M | 34.28%307.5M | 34.28%307.5M | -23.15%319.7M | -0.46%237.5M | 7.01%242.9M | 7.92%229M | 7.92%229M |
-Gross PPE | 34.78%430.9M | 83.69%586.9M | 68.26%408.7M | 43.72%417.5M | 43.72%417.5M | -23.15%319.7M | 12.89%319.5M | 7.01%242.9M | 17.14%290.5M | 17.14%290.5M |
-Accumulated depreciation | ---- | -90.12%-155.9M | ---- | -78.86%-110M | -78.86%-110M | ---- | -84.58%-82M | ---- | -71.79%-61.5M | -71.79%-61.5M |
Goodwill and other intangible assets | -8.08%60.3M | -8.46%61.7M | -8.68%63.1M | -8.11%64.6M | -8.11%64.6M | 16.11%65.6M | 18.30%67.4M | 19.84%69.1M | 22.26%70.3M | 22.26%70.3M |
-Goodwill | ---- | 0.00%1.8M | ---- | 0.00%1.8M | 0.00%1.8M | ---- | 0.50%1.8M | ---- | 0.00%1.8M | 0.00%1.8M |
-Other intangible assets | ---- | -8.69%59.9M | ---- | -8.32%62.8M | -8.32%62.8M | ---- | 18.88%65.6M | ---- | 22.98%68.5M | 22.98%68.5M |
Non current deferred assets | -16.50%59.2M | -32.77%51.7M | 37.41%55.1M | 119.24%69.5M | 119.24%69.5M | 219.92%70.9M | 366.77%76.9M | 939.13%40.1M | 1,340.91%31.7M | 1,340.91%31.7M |
Other non current assets | ---- | 66.67%-100K | 0.00%-100K | 200.00%100K | 200.00%100K | ---100K | ---300K | ---100K | ---100K | ---100K |
Total non current assets | 20.68%550.4M | 42.67%544.3M | 49.66%526.8M | 33.48%441.7M | 33.48%441.7M | -7.79%456.1M | 22.25%381.5M | 22.00%352M | 21.70%330.9M | 21.70%330.9M |
Total assets | 23.44%2.11B | 33.09%2.05B | 22.18%1.89B | 15.23%1.59B | 15.23%1.59B | 11.38%1.71B | 12.01%1.54B | 18.48%1.54B | 11.80%1.38B | 11.80%1.38B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 3.26%139.5M | 48.49%226.3M | -29.63%111.6M | -22.68%119.3M | -22.68%119.3M | 112.63%135.1M | 46.18%152.4M | 213.10%158.6M | 42.47%154.3M | 42.47%154.3M |
-accounts payable | 29.56%129.3M | 64.67%148.2M | -29.23%92.5M | -41.35%65.1M | -41.35%65.1M | 71.65%99.8M | 102.51%90M | 206.00%130.7M | 141.83%111M | 141.83%111M |
-Total tax payable | -71.10%10.2M | -30.29%43.5M | -31.54%19.1M | 16.42%47.5M | 16.42%47.5M | 554.07%35.3M | 50.57%62.4M | 251.30%27.9M | 88.89%40.8M | 88.89%40.8M |
-Other payable | ---- | --34.6M | ---- | 168.00%6.7M | 168.00%6.7M | ---- | ---- | ---- | -93.87%2.5M | -93.87%2.5M |
Current accrued expenses | ---- | 67.12%173.8M | ---- | 181.89%101.2M | 181.89%101.2M | ---- | 14.48%104M | ---- | -34.61%35.9M | -34.61%35.9M |
Current provisions | 86.81%17M | 95.35%16.8M | 97.30%14.6M | 42.00%7.1M | 42.00%7.1M | 110.84%9.1M | 68.56%8.6M | -50.51%7.4M | -66.44%5M | -66.44%5M |
Current debt and capital lease obligation | ---- | 135.47%55.1M | ---- | 79.17%38.7M | 79.17%38.7M | ---- | 35.07%23.4M | ---- | 58.82%21.6M | 58.82%21.6M |
-Current capital lease obligation | ---- | 135.47%55.1M | ---- | 79.17%38.7M | 79.17%38.7M | ---- | 35.07%23.4M | ---- | 58.82%21.6M | 58.82%21.6M |
Other current liabilities | 65.72%378.5M | -21.13%32.1M | 55.44%282.9M | 51.74%39.3M | 51.74%39.3M | 77.26%228.4M | 119.61%40.7M | 5.79%182M | 94.74%25.9M | 94.74%25.9M |
Current liabilities | 43.59%535M | 53.18%504.1M | 17.56%409.1M | 25.92%305.6M | 25.92%305.6M | 89.42%372.6M | 39.42%329.1M | 46.44%348M | 18.39%242.7M | 18.39%242.7M |
Non current liabilities | ||||||||||
Long term provisions | 35.23%11.9M | 40.74%11.4M | 36.25%10.9M | 38.89%10M | 38.89%10M | 36.96%8.8M | 37.99%8.1M | 59.24%8M | 63.64%7.2M | 63.64%7.2M |
Long term debt and capital lease obligation | ---- | 104.47%288.1M | ---- | 37.10%190.3M | 37.10%190.3M | ---- | -20.09%140.9M | ---- | -16.99%138.8M | -16.99%138.8M |
-Long term debt | ---- | --3.7M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
-Long term capital lease obligation | ---- | 101.85%284.4M | ---- | 37.10%190.3M | 37.10%190.3M | ---- | -20.09%140.9M | ---- | -16.99%138.8M | -16.99%138.8M |
Non current deferred liabilities | -49.15%9M | -63.53%9.7M | -50.57%8.7M | -41.34%10.5M | -41.34%10.5M | -9.05%17.7M | 62.22%26.6M | 149.04%17.6M | 219.64%17.9M | 219.64%17.9M |
Employee benefits | -57.14%2.1M | -72.41%1.6M | -13.33%2.6M | -65.08%2.2M | -65.08%2.2M | 187.56%4.9M | 240.38%5.8M | -52.00%3M | 6.78%6.3M | 6.78%6.3M |
Other non current liabilities | 35.61%281.8M | 50.00%-100K | 83.33%272.8M | 0.00%-100K | 0.00%-100K | -39.94%207.8M | ---200K | -12.03%148.8M | 0.00%-100K | 0.00%-100K |
Total non current liabilities | 27.42%304.8M | 71.47%310.7M | 66.29%295M | 25.16%212.9M | 25.16%212.9M | -35.97%239.2M | -9.54%181.2M | -5.38%177.4M | -7.05%170.1M | -7.05%170.1M |
Total liabilities | 37.27%839.8M | 59.67%814.8M | 34.01%704.1M | 25.61%518.5M | 25.61%518.5M | 7.28%611.8M | 16.95%510.3M | 23.58%525.4M | 6.39%412.8M | 6.39%412.8M |
Shareholders'equity | ||||||||||
Share capital | 0.60%33.7M | 0.00%33.5M | 0.00%33.5M | 0.00%33.5M | 0.00%33.5M | 0.14%33.5M | 0.14%33.5M | 0.14%33.5M | 0.00%33.5M | 0.00%33.5M |
-common stock | 0.60%33.7M | 0.00%33.5M | 0.00%33.5M | 0.00%33.5M | 0.00%33.5M | 0.14%33.5M | 0.14%33.5M | 0.14%33.5M | 0.00%33.5M | 0.00%33.5M |
Retained earnings | 344.26%89.4M | 161.87%58.9M | 128.43%28M | 55.70%-63.3M | 55.70%-63.3M | 68.58%-36.6M | 30.57%-95.2M | 47.12%-98.5M | 28.76%-142.9M | 28.76%-142.9M |
Less: Treasury stock | 1.52%26.8M | 1.14%26.7M | 2.30%26.7M | 2.30%26.7M | 2.30%26.7M | 0.97%26.4M | 0.99%26.4M | 1.02%26.1M | 4.40%26.1M | 4.40%26.1M |
Gains losses not affecting retained earnings | 4.09%1.17B | 4.52%1.17B | 3.42%1.15B | 2.34%1.13B | 2.34%1.13B | 4.95%1.12B | 4.62%1.11B | 5.02%1.11B | 6.20%1.11B | 6.20%1.11B |
Total stockholders'equity | 15.70%1.27B | 19.89%1.23B | 16.09%1.18B | 10.82%1.07B | 10.82%1.07B | 13.81%1.09B | 9.71%1.03B | 16.01%1.02B | 14.27%969.6M | 14.27%969.6M |
Total equity | 15.70%1.27B | 19.89%1.23B | 16.09%1.18B | 10.82%1.07B | 10.82%1.07B | 13.81%1.09B | 9.71%1.03B | 16.01%1.02B | 14.27%969.6M | 14.27%969.6M |
Currency Unit | CHF | CHF | CHF | CHF | CHF | CHF | CHF | CHF | CHF | CHF |
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 | -- |