Bit Origin
BTOG
The9 Ltd
NCTY
Argo Blockchain
ARBK
Abits
ABTS
SATO TECHNOLOGIES CORP
CCPUF
(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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Operating cash flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | ||||||||||
Net income from continuing operations | 4.46%92.07B | -0.02%78.13B | -2.51%86.91B | 2.34%332.46B | -0.26%77.02B | 3.21%88.15B | 4.39%78.15B | 2.03%89.15B | 6.89%324.86B | 9.14%77.22B |
Deferred tax | -183.69%-2.61B | 81.59%-935M | 54.68%-2.39B | 49.86%-9.08B | ---1.85B | --3.12B | ---5.08B | ---5.27B | ---18.11B | ---- |
Other non cashItems | 31.91%7.69B | 30.30%6.94B | 18.56%6.19B | 10.25%20.9B | -18.67%4.53B | 13.96%5.83B | 28.80%5.33B | 25.98%5.22B | 29.91%18.96B | 37.95%5.57B |
Change in working capital | 253.98%613.97B | -91.94%30.96B | -50.08%147.25B | -41.57%413.94B | 20.18%133.8B | -584.50%-398.74B | 42.85%383.94B | -23.72%294.95B | 300.15%708.5B | 236.98%111.33B |
-Change in receivables | -189.39%-17.11B | 34.19%-469.87B | 41.77%-1.13T | 5.82%-2.96T | -33.80%-319.3B | 104.01%19.14B | 39.47%-713.98B | -55.92%-1.95T | -87.64%-3.14T | -49.97%-238.64B |
Cash from discontinued operating activities | ||||||||||
Operating cash flow | 296.81%664.06B | -81.64%81.47B | -43.54%209.34B | -34.30%642.85B | 7.45%165.64B | -3,949.94%-337.41B | 32.26%443.83B | -22.74%370.79B | 124.04%978.42B | 522.26%154.15B |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | ||||||||||
Net investment purchase and sale | -184.19%-389.23B | 117.63%52.82B | 52.74%-126.41B | -27.24%-799.35B | -25.25%-95.38B | -216.15%-136.96B | 31.93%-299.51B | -16.29%-267.5B | -26.84%-628.24B | 63.54%-76.15B |
Net PPE purchase and sale | 117.75%966M | 111.76%425M | -930.07%-8.53B | -3.86%-20.78B | 7.98%-10.9B | -308.79%-5.44B | -234.94%-3.61B | 85.61%-828M | -9.44%-20.01B | 11.59%-11.84B |
Net business purchase and sale | -203.91%-1.62B | 232.20%877M | -85.19%-100M | 67.02%-1.13B | -131.00%-2.9B | 573.03%1.56B | 442.86%264M | 96.93%-54M | 31.06%-3.42B | 48.54%-1.26B |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | -176.82%-389.89B | 117.87%54.12B | 49.68%-135.04B | -26.02%-821.25B | -22.33%-109.17B | -221.14%-140.84B | 31.35%-302.86B | -12.99%-268.38B | -25.67%-651.67B | 60.28%-89.24B |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | ||||||||||
Net issuance payments of debt | 304.19%86.61B | -397.26%-23.4B | 86.11%44.61B | -68.84%25.89B | 1,589.63%49.05B | -512.18%-42.42B | -106.42%-4.71B | 72.62%23.97B | -35.46%83.11B | -88.40%2.9B |
Cash dividends paid | -3.50%-113.39B | -33.37%-5.49B | -48.67%-4.41B | -8.84%-128.68B | 11.04%-12.04B | -7.82%-109.56B | -354.59%-4.11B | -36.54%-2.97B | -13.49%-118.22B | -5.86%-13.54B |
Net other financing activities | -100.79%-467M | -186.36%-2.29B | 3.51%-1.62B | 93.28%55.46B | 60.74%-1.14B | 52.07%59.08B | 84.94%-799M | 13.68%-1.68B | 438.15%28.69B | 43.58%-2.9B |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | 70.67%-27.24B | -224.11%-31.18B | 99.65%38.58B | -636.61%-47.33B | 364.99%35.87B | -33.30%-92.9B | -114.35%-9.62B | 97.83%19.32B | -139.85%-6.43B | -291.08%-13.54B |
Net cash flow | ||||||||||
Beginning cash position | -18.69%1.15T | -17.55%1.04T | -19.08%925.46B | 41.96%1.14T | -24.14%841.12B | 36.14%1.41T | 19.59%1.26T | 41.96%1.14T | -8.34%805.6B | 4.32%1.11T |
Current changes in cash | 143.23%246.93B | -20.51%104.41B | -7.28%112.87B | -170.47%-225.73B | 79.74%92.34B | -1,132.21%-571.15B | 440.68%131.35B | -51.73%121.73B | 587.51%320.33B | 120.22%51.37B |
Effect of exchange rate changes | -4,658.21%-9.56B | -90.41%1.62B | 452.39%4.06B | -57.45%7.54B | 51.64%-7.99B | -101.26%-201M | -10.74%16.89B | -74.66%-1.15B | 332.50%17.73B | -422.18%-16.53B |
End cash position | 64.76%1.39T | -18.69%1.15T | -17.55%1.04T | -19.08%925.46B | -19.08%925.46B | -24.14%841.12B | 36.14%1.41T | 19.59%1.26T | 41.96%1.14T | 41.96%1.14T |
Free cash flow | 292.60%662.59B | -81.92%79.36B | -45.75%200.41B | -35.29%617.76B | 7.83%153.3B | -6,487.26%-344.02B | 31.70%439.03B | -22.02%369.44B | 129.77%954.67B | 392.33%142.16B |
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