Mawson Infrastructure
MIGI
Coinbase
COIN
Bit Digital
BTBT
Intchains Group
ICG
The9 Ltd
NCTY
(Q2)Jun 30, 2024 | (FY)Dec 31, 2023 | (Q4)Dec 31, 2023 | (Q2)Jun 30, 2023 | (FY)Dec 31, 2022 | (Q4)Dec 31, 2022 | (Q2)Jun 30, 2022 | (FY)Dec 31, 2021 | (Q4)Dec 31, 2021 | (Q2)Jun 30, 2021 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | 885.13%16.49M | 2,144.64%30.37M | 2,144.64%30.37M | -86.82%1.67M | -93.62%1.35M | -93.62%1.35M | 58.89%12.7M | 70.88%21.21M | 70.88%21.21M | -58.71%7.99M |
-Cash and cash equivalents | 885.13%16.49M | 2,144.64%30.37M | 2,144.64%30.37M | -86.82%1.67M | -93.62%1.35M | -93.62%1.35M | 58.89%12.7M | 70.88%21.21M | 70.88%21.21M | -58.71%7.99M |
-Accounts receivable | 429.33%10.43M | 0.46%440K | 0.46%440K | 108.57%1.97M | -54.47%438K | -54.47%438K | -66.26%945K | -58.59%962K | -58.59%962K | -65.51%2.8M |
-Taxes receivable | ---- | 162.63%1.72M | 162.63%1.72M | ---- | -32.96%653K | -32.96%653K | ---- | -54.99%974K | -54.99%974K | ---- |
Inventory | --6.02M | 1,576.85%1.81M | 1,576.85%1.81M | --0 | -74.77%108K | -74.77%108K | -51.26%213K | -11.02%428K | -11.02%428K | -93.67%437K |
Prepaid assets | 54.12%692K | -37.43%321K | -37.43%321K | -36.58%449K | -52.01%513K | -52.01%513K | 68.17%708K | 210.76%1.07M | 210.76%1.07M | -80.63%421K |
Total current assets | 213.10%33.64M | 1,030.73%34.66M | 1,030.73%34.66M | -26.22%10.74M | -87.56%3.07M | -87.56%3.07M | 25.00%14.56M | 39.03%24.64M | 39.03%24.64M | -68.13%11.65M |
Non current assets | ||||||||||
Net PPE | 259.46%2.81M | -42.26%582K | -42.26%582K | -34.94%782K | -23.87%1.01M | -23.87%1.01M | -25.06%1.2M | -30.39%1.32M | -30.39%1.32M | -68.45%1.6M |
-Gross PPE | ---- | -0.53%6.79M | -0.53%6.79M | ---- | -10.31%6.83M | -10.31%6.83M | ---- | -2.99%7.61M | -2.99%7.61M | ---- |
-Accumulated depreciation | ---- | -6.70%-6.21M | -6.70%-6.21M | ---- | 7.46%-5.82M | 7.46%-5.82M | ---- | -5.77%-6.29M | -5.77%-6.29M | ---- |
Goodwill and other intangible assets | 39.86%71.45M | 24.93%73.97M | 24.93%73.97M | -18.98%51.09M | -8.34%59.21M | -8.34%59.21M | -4.64%63.06M | -4.55%64.6M | -4.55%64.6M | 16.17%66.12M |
-Other intangible assets | ---- | 24.93%73.97M | 24.93%73.97M | ---- | -8.34%59.21M | -8.34%59.21M | ---- | -4.55%64.6M | -4.55%64.6M | ---- |
Defined pension benefit | ---- | ---- | ---- | ---- | ---- | ---- | --475K | ---- | ---- | ---- |
Total non current assets | 42.57%74.61M | 23.59%74.97M | 23.59%74.97M | -19.76%52.33M | -8.75%60.66M | -8.75%60.66M | -4.88%65.22M | -6.32%66.48M | -6.32%66.48M | 7.95%68.57M |
Total assets | 71.61%108.25M | 72.03%109.63M | 72.03%109.63M | -20.94%63.08M | -30.06%63.73M | -30.06%63.73M | -0.54%79.78M | 2.74%91.12M | 2.74%91.12M | -19.84%80.22M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 66.41%15.18M | -38.67%6.67M | -38.67%6.67M | 71.56%9.12M | 124.35%10.88M | 124.35%10.88M | 71.41%5.32M | -16.00%4.85M | -16.00%4.85M | -71.70%3.1M |
-accounts payable | 70.85%14.92M | -8.70%3.56M | -8.70%3.56M | 79.33%8.73M | 61.48%3.9M | 61.48%3.9M | 58.83%4.87M | -36.58%2.41M | -36.58%2.41M | -71.13%3.07M |
-Total tax payable | -32.40%265K | -67.09%182K | -67.09%182K | -12.69%392K | 107.89%553K | 107.89%553K | 1,113.51%449K | 343.33%266K | 343.33%266K | -89.37%37K |
-Other payable | ---- | -54.37%2.94M | -54.37%2.94M | ---- | 196.13%6.44M | 196.13%6.44M | ---- | 13.65%2.17M | 13.65%2.17M | ---- |
Current provisions | -93.72%35K | 1,181.82%141K | 1,181.82%141K | 286.81%557K | -94.27%11K | -94.27%11K | -51.02%144K | -90.56%192K | -90.56%192K | --294K |
Current debt and capital lease obligation | 8.86%23.94M | -5.43%21.51M | -5.43%21.51M | 48.27%21.99M | 42.39%22.75M | 42.39%22.75M | -44.99%14.83M | 40.59%15.98M | 40.59%15.98M | 1,160.85%26.96M |
-Current debt | 10.75%23.67M | -5.35%20.94M | -5.35%20.94M | 50.93%21.37M | 43.98%22.13M | 43.98%22.13M | -45.98%14.16M | 45.05%15.37M | 45.05%15.37M | 2,282.64%26.21M |
-Current capital lease obligation | -56.29%271K | -8.35%571K | -8.35%571K | -7.74%620K | 2.30%623K | 2.30%623K | -10.16%672K | -20.81%609K | -20.81%609K | -27.94%748K |
Current liabilities | -31.44%53.05M | -10.32%44.32M | -10.32%44.32M | 100.59%77.38M | 50.73%49.41M | 50.73%49.41M | -13.61%38.58M | 12.77%32.78M | 12.77%32.78M | 49.00%44.65M |
Non current liabilities | ||||||||||
Long term provisions | ---- | ---- | ---- | ---- | 48.51%24.96M | 48.51%24.96M | --24.95M | --16.81M | --16.81M | ---- |
Long term debt and capital lease obligation | -87.52%2.44M | -99.84%35K | -99.84%35K | -24.38%19.52M | -19.67%21.69M | -19.67%21.69M | 57.30%25.81M | -54.85%27M | -54.85%27M | -72.42%16.41M |
-Long term debt | ---- | --0 | --0 | -22.85%19.21M | -18.28%21.08M | -18.28%21.08M | 68.46%24.9M | -55.43%25.8M | -55.43%25.8M | -74.07%14.78M |
-Long term capital lease obligation | 685.81%2.44M | -94.23%35K | -94.23%35K | -66.05%310K | -49.54%607K | -49.54%607K | -43.95%913K | -37.57%1.2M | -37.57%1.2M | -35.02%1.63M |
Derivative product liabilities | -88.32%845K | -84.45%1.48M | -84.45%1.48M | 68.54%7.24M | 13.09%9.51M | 13.09%9.51M | -13.65%4.29M | --8.41M | --8.41M | 1,688.85%4.97M |
Other non current liabilities | ---- | ---- | ---- | ---- | --1K | --1K | ---- | ---- | ---- | ---- |
Total non current liabilities | -74.91%7.14M | -90.74%5.37M | -90.74%5.37M | -48.31%28.46M | 1.74%58M | 1.74%58M | 102.32%55.05M | -13.59%57.01M | -13.59%57.01M | -61.07%27.21M |
Total liabilities | -43.13%60.19M | -53.74%49.69M | -53.74%49.69M | 13.04%105.84M | 19.63%107.41M | 19.63%107.41M | 30.28%93.63M | -5.53%89.79M | -5.53%89.79M | -28.04%71.86M |
Shareholders'equity | ||||||||||
Share capital | 0.08%1.26M | 67.60%1.26M | 67.60%1.26M | -98.29%1.26M | -98.62%753K | -98.62%753K | 135.52%73.73M | 181.05%54.61M | 181.05%54.61M | 137.42%31.3M |
-common stock | 0.08%1.26M | 67.60%1.26M | 67.60%1.26M | -98.29%1.26M | -98.62%753K | -98.62%753K | 135.52%73.73M | 181.05%54.61M | 181.05%54.61M | 137.42%31.3M |
Retained earnings | 9.66%-587.98M | 8.73%-572.72M | 8.73%-572.72M | -11.04%-650.84M | -12.77%-627.5M | -12.77%-627.5M | -12.41%-586.15M | -11.09%-556.43M | -11.09%-556.43M | -12.12%-521.42M |
Paid-in capital | 4.82%633.88M | 8.50%630.52M | 8.50%630.52M | 17.65%604.73M | 14.05%581.12M | 14.05%581.12M | 2.30%514.02M | 6.15%509.51M | 6.15%509.51M | 9.78%502.47M |
Less: Treasury stock | -73.02%92K | 39.36%131K | 39.36%131K | -98.25%341K | -98.13%94K | -98.13%94K | 939.25%19.49M | 217.72%5.02M | 217.72%5.02M | 15.38%1.88M |
Total stockholders'equity | 212.38%48.06M | 237.21%59.94M | 237.21%59.94M | -208.86%-42.76M | -3,389.61%-43.69M | -3,389.61%-43.69M | -265.75%-13.85M | 120.90%1.33M | 120.90%1.33M | 3,877.62%8.35M |
Total equity | 212.38%48.06M | 237.21%59.94M | 237.21%59.94M | -208.86%-42.76M | -3,389.61%-43.69M | -3,389.61%-43.69M | -265.75%-13.85M | 120.90%1.33M | 120.90%1.33M | 3,877.62%8.35M |
Currency Unit | CHF | CHF | CHF | CHF | CHF | CHF | CHF | CHF | CHF | CHF |