Bitdeer Technologies
BTDR
TeraWulf
WULF
The9 Ltd
NCTY
Bit Digital
BTBT
IREN Ltd
IREN
(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 | -22.92%52.93M | 4.60%82.18M | 4.60%82.18M | -9.95%68.67M | 51.79%78.57M | 51.79%78.57M | 15.21%76.26M | -15.52%51.76M | -15.52%51.76M | 5.27%66.19M |
-Cash and cash equivalents | -22.92%52.93M | 4.60%82.18M | 4.60%82.18M | -9.95%68.67M | 51.79%78.57M | 51.79%78.57M | 15.21%76.26M | -15.52%51.76M | -15.52%51.76M | 5.27%66.19M |
-Accounts receivable | -6.08%115.88M | -12.85%82.23M | -12.85%82.23M | 0.48%123.38M | 15.44%94.36M | 15.44%94.36M | 37.77%122.79M | 29.53%81.74M | 29.53%81.74M | 37.49%89.13M |
-Taxes receivable | -1.98%4.86M | 17.06%7.61M | 17.06%7.61M | 35.23%4.96M | 5.43%6.5M | 5.43%6.5M | -25.09%3.66M | -20.10%6.16M | -20.10%6.16M | 325.30%4.89M |
-Other receivables | 11.11%7.05M | -14.37%12.6M | -14.37%12.6M | -39.84%6.35M | 16.78%14.72M | 16.78%14.72M | -30.17%10.55M | -54.62%12.6M | -54.62%12.6M | -17.45%15.11M |
Inventory | -9.30%112.07M | -25.06%114.13M | -25.06%114.13M | -18.81%123.56M | 53.95%152.3M | 53.95%152.3M | 68.96%152.19M | 42.31%98.93M | 42.31%98.93M | 15.39%90.07M |
Prepaid assets | ---- | -6.77%3.33M | -6.77%3.33M | ---- | 92.15%3.57M | 92.15%3.57M | ---- | -25.04%1.86M | -25.04%1.86M | ---- |
Total current assets | -10.44%292.78M | -13.69%302.08M | -13.69%302.08M | -10.55%326.9M | 38.32%350.01M | 38.32%350.01M | 37.70%365.45M | 9.14%253.05M | 9.14%253.05M | 17.84%265.39M |
Non current assets | ||||||||||
Net PPE | -0.92%381.85M | -9.51%361.3M | -9.51%361.3M | -6.67%385.41M | 20.55%399.25M | 20.55%399.25M | 23.23%412.94M | -1.10%331.18M | -1.10%331.18M | -3.37%335.11M |
-Gross PPE | ---- | -5.52%739.66M | -5.52%739.66M | ---- | 14.40%782.89M | 14.40%782.89M | ---- | 6.03%684.32M | 6.03%684.32M | ---- |
-Accumulated depreciation | ---- | 1.38%-378.36M | 1.38%-378.36M | ---- | -8.64%-383.64M | -8.64%-383.64M | ---- | -13.73%-353.13M | -13.73%-353.13M | ---- |
Goodwill and other intangible assets | -2.34%124.61M | -8.44%122.37M | -8.44%122.37M | -13.07%127.6M | 55.58%133.66M | 55.58%133.66M | 60.04%146.78M | -6.07%85.91M | -6.07%85.91M | -0.36%91.71M |
-Goodwill | ---- | -6.70%79.87M | -6.70%79.87M | ---- | 38.91%85.61M | 38.91%85.61M | ---- | -2.48%61.63M | -2.48%61.63M | ---- |
-Other intangible assets | ---- | -11.55%42.5M | -11.55%42.5M | ---- | 97.89%48.05M | 97.89%48.05M | ---- | -14.09%24.28M | -14.09%24.28M | ---- |
Non current prepaid assets | ---- | -17.07%408K | -17.07%408K | ---- | -11.83%492K | -11.83%492K | ---- | -2.79%558K | -2.79%558K | ---- |
Total non current assets | -1.89%527.35M | -10.48%505.76M | -10.48%505.76M | -6.38%537.51M | 30.97%564.95M | 30.97%564.95M | 28.45%574.12M | -3.11%431.34M | -3.11%431.34M | -3.03%446.97M |
Total assets | -5.12%820.13M | -11.71%807.84M | -11.71%807.84M | -8.00%864.42M | 33.69%914.97M | 33.69%914.97M | 31.90%939.57M | 1.08%684.4M | 1.08%684.4M | 3.82%712.36M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | -16.95%89.73M | -16.87%97.54M | -16.87%97.54M | 8.54%108.05M | 22.34%117.34M | 22.34%117.34M | 34.64%99.56M | 27.10%95.92M | 27.10%95.92M | 70.21%73.94M |
-accounts payable | -14.84%82.66M | -19.82%67.33M | -19.82%67.33M | 6.29%97.07M | 22.70%83.98M | 22.70%83.98M | 40.68%91.33M | 32.58%68.44M | 32.58%68.44M | 49.66%64.92M |
-Total tax payable | -35.63%7.07M | 0.34%11.67M | 0.34%11.67M | 33.51%10.99M | 38.61%11.64M | 38.61%11.64M | -8.76%8.23M | 98.44%8.39M | 98.44%8.39M | 13,993.75%9.02M |
-Other payable | ---- | -14.70%18.54M | -14.70%18.54M | ---- | 13.88%21.73M | 13.88%21.73M | ---- | -2.72%19.08M | -2.72%19.08M | ---- |
Current provisions | -26.30%7.25M | 41.85%12.56M | 41.85%12.56M | -20.57%9.83M | -11.24%8.86M | -11.24%8.86M | 87.07%12.38M | 61.47%9.98M | 61.47%9.98M | -24.13%6.62M |
Current debt and capital lease obligation | ---- | -28.67%27.85M | -28.67%27.85M | ---- | 88.60%39.05M | 88.60%39.05M | ---- | -69.10%20.7M | -69.10%20.7M | ---- |
-Current debt | ---- | -29.87%21.09M | -29.87%21.09M | ---- | 197.10%30.07M | 197.10%30.07M | ---- | -81.88%10.12M | -81.88%10.12M | ---- |
-Current capital lease obligation | ---- | -24.65%6.76M | -24.65%6.76M | ---- | -15.20%8.97M | -15.20%8.97M | ---- | -4.95%10.58M | -4.95%10.58M | ---- |
Other current liabilities | ---- | -29.58%2.54M | -29.58%2.54M | ---- | 91.77%3.61M | 91.77%3.61M | ---- | 99.89%1.88M | 99.89%1.88M | ---- |
Current liabilities | -20.13%154.71M | -17.59%156.18M | -17.59%156.18M | 13.51%193.69M | 25.17%189.52M | 25.17%189.52M | -8.75%170.63M | -12.26%151.41M | -12.26%151.41M | 31.44%187M |
Non current liabilities | ||||||||||
Long term provisions | 7.10%1.66M | -42.90%1.88M | -42.90%1.88M | -47.24%1.55M | 34.92%3.3M | 34.92%3.3M | 19.30%2.94M | 2.30%2.44M | 2.30%2.44M | 8.27%2.46M |
Long term debt and capital lease obligation | ---- | -3.79%78.54M | -3.79%78.54M | ---- | -46.23%81.63M | -46.23%81.63M | ---- | 7.49%151.81M | 7.49%151.81M | ---- |
-Long term debt | ---- | 10.32%56.96M | 10.32%56.96M | ---- | -57.33%51.63M | -57.33%51.63M | ---- | 0.39%120.99M | 0.39%120.99M | ---- |
-Long term capital lease obligation | ---- | -28.07%21.58M | -28.07%21.58M | ---- | -2.66%30M | -2.66%30M | ---- | 48.81%30.82M | 48.81%30.82M | ---- |
Total non current liabilities | -2.69%160.92M | -11.59%163.51M | -11.59%163.51M | -26.53%165.36M | -4.97%184.94M | -4.97%184.94M | 13.25%225.08M | -7.58%194.62M | -7.58%194.62M | -23.88%198.74M |
Total liabilities | -12.09%315.62M | -14.63%319.69M | -14.63%319.69M | -9.26%359.05M | 8.21%374.46M | 8.21%374.46M | 2.58%395.71M | -9.69%346.03M | -9.69%346.03M | -4.37%385.74M |
Shareholders'equity | ||||||||||
Share capital | 0.00%147.45M | 0.00%147.45M | 0.00%147.45M | 0.00%147.45M | 200.00%147.45M | 200.00%147.45M | 200.00%147.45M | 0.00%49.15M | 0.00%49.15M | 0.00%49.15M |
-common stock | 0.00%147.45M | 0.00%147.45M | 0.00%147.45M | 0.00%147.45M | 200.00%147.45M | 200.00%147.45M | 200.00%147.45M | 0.00%49.15M | 0.00%49.15M | 0.00%49.15M |
Retained earnings | 3.83%236.93M | -3.72%241.02M | -3.72%241.02M | -3.68%228.19M | 13.61%250.34M | 13.61%250.34M | 17.76%236.9M | 20.59%220.35M | 20.59%220.35M | 23.13%201.18M |
Less: Treasury stock | -14.39%232K | 17.48%457K | 17.48%457K | 77.12%271K | -18.11%389K | -18.11%389K | -51.12%153K | -22.76%475K | -22.76%475K | -24.21%313K |
Total stockholders'equity | -0.17%504.5M | -9.69%488.15M | -9.69%488.15M | -7.08%505.37M | 59.74%540.51M | 59.74%540.51M | 66.52%543.87M | 15.14%338.37M | 15.14%338.37M | 15.50%326.61M |
Total equity | -0.17%504.5M | -9.69%488.15M | -9.69%488.15M | -7.08%505.37M | 59.74%540.51M | 59.74%540.51M | 66.52%543.87M | 15.14%338.37M | 15.14%338.37M | 15.50%326.61M |
Currency Unit | CHF | CHF | CHF | CHF | CHF | CHF | CHF | CHF | CHF | CHF |