CA Stock MarketDetailed Quotes

Hut 8 Corp (HUT)

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  • 102.610
  • +5.410+5.57%
15min DelayMarket Closed Apr 17 16:00 ET
11.38BMarket Cap-36.40P/E (TTM)

Hut 8 Corp (HUT) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
Assets
Current assets
Cash, cash equivalents and short term investments
-47.19%44.91M
-47.19%44.91M
-53.66%33.49M
23.24%216.25M
838.70%108.38M
178.80%85.04M
719.39%85.04M
647.18%72.28M
--175.48M
--11.55M
-Cash and cash equivalents
-47.19%44.91M
-47.19%44.91M
-53.66%33.49M
23.24%216.25M
838.70%108.38M
178.80%85.04M
719.39%85.04M
733.70%72.28M
--175.48M
--11.55M
Receivables
296.11%31.93M
296.11%31.93M
259.65%28.81M
44.44%10.93M
-31.68%5.29M
141.67%8.06M
1,167.61%8.06M
4,844.44%8.01M
--7.57M
--7.74M
-Accounts receivable
345.30%31.12M
345.30%31.12M
9.99%6.67M
45.07%8.5M
-42.43%4.46M
109.50%6.99M
998.90%6.99M
3,645.06%6.07M
--5.86M
--7.74M
-Taxes receivable
--0
--0
28.92%2.51M
42.26%2.43M
--833K
--1.07M
--1.07M
--1.94M
--1.71M
----
-Other receivables
--812K
--812K
--19.63M
----
----
----
----
----
----
----
Prepaid assets
259.41%189.33M
259.41%189.33M
44.11%40.39M
552.62%71.14M
409.45%53.59M
185.41%52.68M
602.01%52.68M
406.05%28.03M
--10.9M
--10.52M
Restricted cash
-6.37%87.06M
-6.37%87.06M
5,923.46%116.55M
6,308.69%109.85M
4,416.55%80.49M
1,616.77%92.98M
10,825.97%92.98M
--1.94M
--1.71M
--1.78M
Hedging assets-current
-10.25%16.22M
-10.25%16.22M
--4.17M
--3.1M
--21.4M
--18.08M
--18.08M
----
----
----
Holding assets for sale
--38.72M
--38.72M
----
----
----
--0
--0
--0
--0
--1.95M
Total current assets
58.92%408.18M
58.92%408.18M
102.63%223.41M
110.20%411.26M
702.35%269.15M
316.81%256.84M
1,225.97%256.84M
617.13%110.25M
--195.66M
--33.55M
Non current assets
Net PPE
174.00%663.84M
174.00%663.84M
210.00%665.75M
154.06%401.77M
137.59%373.36M
82.71%242.27M
240.01%242.27M
220.47%214.76M
--158.14M
--157.14M
-Gross PPE
156.18%753.51M
156.18%753.51M
182.66%739.53M
149.68%485.61M
133.32%431.16M
81.76%294.14M
242.22%294.14M
236.29%261.64M
--194.49M
--184.79M
-Accumulated depreciation
-72.90%-89.67M
-72.90%-89.67M
-57.39%-73.78M
-130.64%-83.84M
-109.08%-57.8M
-77.44%-51.86M
-252.93%-51.86M
-334.54%-46.87M
---36.35M
---27.65M
Investments and advances
-41.70%51.54M
-41.70%51.54M
-37.21%56.56M
4.12%90.82M
8.72%89.76M
6.94%88.39M
-5.55%88.39M
-7.60%90.07M
--87.23M
--82.56M
-Long term equity investment
-44.94%45.16M
-44.94%45.16M
-37.37%50.18M
7.41%84.44M
9.45%83.38M
-0.78%82.02M
-12.36%82.02M
-17.81%80.11M
--78.62M
--76.18M
-Other investment
0.00%6.38M
0.00%6.38M
-35.94%6.38M
-25.96%6.38M
0.00%6.38M
--6.38M
--6.38M
--9.96M
--8.61M
--6.38M
Financial assets
--101.18M
--101.18M
--63.72M
----
----
--0
--0
----
----
----
Non current prepaid assets
-21.16%6.22M
-21.16%6.22M
-77.84%8.39M
75.12%9.47M
6.87%5.77M
42.35%7.89M
3,004.72%7.89M
346.76%37.85M
--5.41M
--5.4M
Goodwill and other intangible assets
233.40%221.23M
233.40%221.23M
207.24%218.55M
-3.54%68.61M
-8.48%66.5M
-11.38%66.36M
1,098.83%66.36M
1,149.94%71.13M
--71.13M
--72.65M
-Goodwill
295.78%210.09M
295.78%210.09M
266.11%206.62M
-0.01%55.79M
-5.65%53.17M
-7.84%53.08M
--53.08M
--56.44M
--55.79M
--56.35M
-Other intangible assets
-16.06%11.14M
-16.06%11.14M
-18.83%11.93M
-16.42%12.82M
-18.26%13.33M
-23.18%13.27M
139.80%13.27M
--14.7M
--15.34M
--16.3M
Other non current assets
51.85%1.3B
51.85%1.3B
152.42%1.45B
82.55%1.04B
18.47%767.35M
123.47%857.11M
--857.11M
--575.16M
--569.41M
--647.74M
Total non current assets
85.86%2.35B
85.86%2.35B
149.23%2.46B
80.64%1.61B
34.93%1.3B
85.80%1.26B
639.64%1.26B
453.58%988.97M
--891.32M
--965.5M
Total assets
81.30%2.75B
81.30%2.75B
144.56%2.69B
85.96%2.02B
57.34%1.57B
105.02%1.52B
699.41%1.52B
466.54%1.1B
--1.09B
--999.04M
Liabilities
Current liabilities
Current debt and capital lease obligation
179.99%202.82M
179.99%202.82M
93.79%140.69M
4.79%74.76M
2.49%74.6M
9.59%72.44M
4,176.09%72.44M
18,708.29%72.6M
--71.34M
--72.79M
-Current debt
207.74%199.93M
207.74%199.93M
100.27%130.09M
-0.04%64.94M
-2.99%64.98M
1.31%64.97M
4,901.15%64.97M
--64.96M
--64.96M
--66.98M
-Current capital lease obligation
-61.31%2.89M
-61.31%2.89M
38.74%10.61M
53.93%9.82M
65.72%9.62M
278.52%7.47M
1,791.65%7.47M
1,880.31%7.64M
--6.38M
--5.81M
Payables
17.30%25.62M
17.30%25.62M
----
----
----
-10.96%21.84M
505.94%21.84M
----
----
--34.04M
-accounts payable
39.56%15.76M
39.56%15.76M
----
----
----
-24.53%11.29M
213.18%11.29M
----
----
--31.87M
-Total tax payable
-6.50%9.87M
-6.50%9.87M
----
----
----
10.25%10.55M
--10.55M
----
----
--2.17M
Current accrued expenses
-12.75%10.67M
-12.75%10.67M
----
----
----
-18.52%12.23M
214.43%12.23M
----
----
----
Pension and other retirement benefit plans
8.13%8.34M
8.13%8.34M
----
----
----
82.93%7.71M
6,493.16%7.71M
----
----
----
Current deferred liabilities
-76.48%1.46M
-76.48%1.46M
-65.20%1.96M
1,009.57%6.15M
299.13%4.56M
129.59%6.2M
501.26%6.2M
1,177.78%5.64M
--554K
--1.14M
Other current liabilities
277.76%126.67M
277.76%126.67M
11,338.44%105.35M
2,733.57%102.72M
--101.81M
--33.53M
--33.53M
53.24%921K
--3.63M
----
Current liabilities
143.96%375.58M
143.96%375.58M
180.60%310M
94.69%227.37M
97.49%213.24M
36.78%153.96M
1,389.50%153.96M
1,493.28%110.48M
--116.79M
--107.97M
Non current liabilities
Long term debt and capital lease obligation
-17.09%226.51M
-17.09%226.51M
-7.89%249.96M
-3.44%287.23M
92.14%280.26M
98.39%273.21M
81.13%273.21M
72.90%271.37M
--297.48M
--145.86M
-Long term debt
-10.77%210.24M
-10.77%210.24M
-6.44%217.39M
-4.81%251.17M
120.91%244.37M
91.06%235.62M
57.19%235.62M
49.03%232.34M
--263.86M
--110.62M
-Long term capital lease obligation
-56.70%16.28M
-56.70%16.28M
-16.54%32.57M
7.26%36.06M
1.82%35.88M
161.11%37.59M
3,886.43%37.59M
3,638.41%39.03M
--33.62M
--35.24M
Derivative product liabilities
--146K
--146K
--571K
----
----
--0
--0
----
----
----
Non current deferred liabilities
16.87%129.85M
16.87%129.85M
5,871.92%187.82M
4,359.32%118.4M
3,048.04%90.7M
18,145.32%111.11M
7,541.95%111.11M
125.45%3.15M
--2.66M
--2.88M
Other non current liabilities
--332.15M
--332.15M
16,405.36%286.2M
----
----
----
----
--1.73M
--1.73M
--1.73M
Total non current liabilities
79.19%688.67M
79.19%688.67M
162.28%724.55M
34.37%405.63M
146.52%370.95M
173.26%384.33M
152.37%384.33M
74.46%276.25M
--301.87M
--150.48M
Total liabilities
97.71%1.06B
97.71%1.06B
167.51%1.03B
51.20%633M
126.04%584.19M
112.59%538.28M
231.00%538.28M
133.98%386.73M
--418.66M
--258.45M
Shareholders'equity
Share capital
10.65%1.1M
10.65%1.1M
13.69%1.06M
14.85%1.04M
16.55%1.04M
11.92%995K
130.32%995K
-99.05%935K
--909K
--894K
-common stock
10.65%1.1M
10.65%1.1M
13.69%1.06M
14.85%1.04M
16.55%1.04M
11.92%995K
130.32%995K
--935K
--909K
--894K
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Additional paid-in capital
80.57%1.43B
80.57%1.43B
88.82%1.18B
76.03%1.04B
55.92%905.58M
37.03%789.6M
491.73%789.6M
1,678.01%623.26M
--588.08M
--580.81M
Retained earnings
-97.63%5.48M
-97.63%5.48M
259.12%285.16M
198.45%235.05M
-35.11%97.74M
331.05%231.63M
317.50%231.63M
175.76%79.41M
--78.76M
--150.62M
Gains losses not affecting retained earnings
77.10%-10.43M
77.10%-10.43M
-6,818.59%-20.96M
40.49%-4.53M
-12,648.56%-44.37M
-523.32%-45.55M
---45.55M
--312K
---7.61M
---348K
Total stockholders'equity
45.59%1.42B
45.59%1.42B
104.87%1.44B
91.90%1.27B
31.15%959.99M
100.29%976.67M
3,468.00%976.67M
2,348.74%703.92M
--660.14M
--731.98M
Noncontrolling interests
6,742.58%267.55M
6,742.58%267.55M
2,365.73%211.58M
1,385.18%121.58M
221.77%27.7M
--3.91M
--3.91M
--8.58M
--8.19M
--8.61M
Total equity
72.29%1.69B
72.29%1.69B
132.10%1.65B
107.74%1.39B
33.37%987.7M
101.09%980.58M
3,482.29%980.58M
2,378.59%712.5M
--668.32M
--740.59M
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
--
--
--
--
(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024
Assets
Current assets
Cash, cash equivalents and short term investments -47.19%44.91M-47.19%44.91M-53.66%33.49M23.24%216.25M838.70%108.38M178.80%85.04M719.39%85.04M647.18%72.28M--175.48M--11.55M
-Cash and cash equivalents -47.19%44.91M-47.19%44.91M-53.66%33.49M23.24%216.25M838.70%108.38M178.80%85.04M719.39%85.04M733.70%72.28M--175.48M--11.55M
Receivables 296.11%31.93M296.11%31.93M259.65%28.81M44.44%10.93M-31.68%5.29M141.67%8.06M1,167.61%8.06M4,844.44%8.01M--7.57M--7.74M
-Accounts receivable 345.30%31.12M345.30%31.12M9.99%6.67M45.07%8.5M-42.43%4.46M109.50%6.99M998.90%6.99M3,645.06%6.07M--5.86M--7.74M
-Taxes receivable --0--028.92%2.51M42.26%2.43M--833K--1.07M--1.07M--1.94M--1.71M----
-Other receivables --812K--812K--19.63M----------------------------
Prepaid assets 259.41%189.33M259.41%189.33M44.11%40.39M552.62%71.14M409.45%53.59M185.41%52.68M602.01%52.68M406.05%28.03M--10.9M--10.52M
Restricted cash -6.37%87.06M-6.37%87.06M5,923.46%116.55M6,308.69%109.85M4,416.55%80.49M1,616.77%92.98M10,825.97%92.98M--1.94M--1.71M--1.78M
Hedging assets-current -10.25%16.22M-10.25%16.22M--4.17M--3.1M--21.4M--18.08M--18.08M------------
Holding assets for sale --38.72M--38.72M--------------0--0--0--0--1.95M
Total current assets 58.92%408.18M58.92%408.18M102.63%223.41M110.20%411.26M702.35%269.15M316.81%256.84M1,225.97%256.84M617.13%110.25M--195.66M--33.55M
Non current assets
Net PPE 174.00%663.84M174.00%663.84M210.00%665.75M154.06%401.77M137.59%373.36M82.71%242.27M240.01%242.27M220.47%214.76M--158.14M--157.14M
-Gross PPE 156.18%753.51M156.18%753.51M182.66%739.53M149.68%485.61M133.32%431.16M81.76%294.14M242.22%294.14M236.29%261.64M--194.49M--184.79M
-Accumulated depreciation -72.90%-89.67M-72.90%-89.67M-57.39%-73.78M-130.64%-83.84M-109.08%-57.8M-77.44%-51.86M-252.93%-51.86M-334.54%-46.87M---36.35M---27.65M
Investments and advances -41.70%51.54M-41.70%51.54M-37.21%56.56M4.12%90.82M8.72%89.76M6.94%88.39M-5.55%88.39M-7.60%90.07M--87.23M--82.56M
-Long term equity investment -44.94%45.16M-44.94%45.16M-37.37%50.18M7.41%84.44M9.45%83.38M-0.78%82.02M-12.36%82.02M-17.81%80.11M--78.62M--76.18M
-Other investment 0.00%6.38M0.00%6.38M-35.94%6.38M-25.96%6.38M0.00%6.38M--6.38M--6.38M--9.96M--8.61M--6.38M
Financial assets --101.18M--101.18M--63.72M----------0--0------------
Non current prepaid assets -21.16%6.22M-21.16%6.22M-77.84%8.39M75.12%9.47M6.87%5.77M42.35%7.89M3,004.72%7.89M346.76%37.85M--5.41M--5.4M
Goodwill and other intangible assets 233.40%221.23M233.40%221.23M207.24%218.55M-3.54%68.61M-8.48%66.5M-11.38%66.36M1,098.83%66.36M1,149.94%71.13M--71.13M--72.65M
-Goodwill 295.78%210.09M295.78%210.09M266.11%206.62M-0.01%55.79M-5.65%53.17M-7.84%53.08M--53.08M--56.44M--55.79M--56.35M
-Other intangible assets -16.06%11.14M-16.06%11.14M-18.83%11.93M-16.42%12.82M-18.26%13.33M-23.18%13.27M139.80%13.27M--14.7M--15.34M--16.3M
Other non current assets 51.85%1.3B51.85%1.3B152.42%1.45B82.55%1.04B18.47%767.35M123.47%857.11M--857.11M--575.16M--569.41M--647.74M
Total non current assets 85.86%2.35B85.86%2.35B149.23%2.46B80.64%1.61B34.93%1.3B85.80%1.26B639.64%1.26B453.58%988.97M--891.32M--965.5M
Total assets 81.30%2.75B81.30%2.75B144.56%2.69B85.96%2.02B57.34%1.57B105.02%1.52B699.41%1.52B466.54%1.1B--1.09B--999.04M
Liabilities
Current liabilities
Current debt and capital lease obligation 179.99%202.82M179.99%202.82M93.79%140.69M4.79%74.76M2.49%74.6M9.59%72.44M4,176.09%72.44M18,708.29%72.6M--71.34M--72.79M
-Current debt 207.74%199.93M207.74%199.93M100.27%130.09M-0.04%64.94M-2.99%64.98M1.31%64.97M4,901.15%64.97M--64.96M--64.96M--66.98M
-Current capital lease obligation -61.31%2.89M-61.31%2.89M38.74%10.61M53.93%9.82M65.72%9.62M278.52%7.47M1,791.65%7.47M1,880.31%7.64M--6.38M--5.81M
Payables 17.30%25.62M17.30%25.62M-------------10.96%21.84M505.94%21.84M----------34.04M
-accounts payable 39.56%15.76M39.56%15.76M-------------24.53%11.29M213.18%11.29M----------31.87M
-Total tax payable -6.50%9.87M-6.50%9.87M------------10.25%10.55M--10.55M----------2.17M
Current accrued expenses -12.75%10.67M-12.75%10.67M-------------18.52%12.23M214.43%12.23M------------
Pension and other retirement benefit plans 8.13%8.34M8.13%8.34M------------82.93%7.71M6,493.16%7.71M------------
Current deferred liabilities -76.48%1.46M-76.48%1.46M-65.20%1.96M1,009.57%6.15M299.13%4.56M129.59%6.2M501.26%6.2M1,177.78%5.64M--554K--1.14M
Other current liabilities 277.76%126.67M277.76%126.67M11,338.44%105.35M2,733.57%102.72M--101.81M--33.53M--33.53M53.24%921K--3.63M----
Current liabilities 143.96%375.58M143.96%375.58M180.60%310M94.69%227.37M97.49%213.24M36.78%153.96M1,389.50%153.96M1,493.28%110.48M--116.79M--107.97M
Non current liabilities
Long term debt and capital lease obligation -17.09%226.51M-17.09%226.51M-7.89%249.96M-3.44%287.23M92.14%280.26M98.39%273.21M81.13%273.21M72.90%271.37M--297.48M--145.86M
-Long term debt -10.77%210.24M-10.77%210.24M-6.44%217.39M-4.81%251.17M120.91%244.37M91.06%235.62M57.19%235.62M49.03%232.34M--263.86M--110.62M
-Long term capital lease obligation -56.70%16.28M-56.70%16.28M-16.54%32.57M7.26%36.06M1.82%35.88M161.11%37.59M3,886.43%37.59M3,638.41%39.03M--33.62M--35.24M
Derivative product liabilities --146K--146K--571K----------0--0------------
Non current deferred liabilities 16.87%129.85M16.87%129.85M5,871.92%187.82M4,359.32%118.4M3,048.04%90.7M18,145.32%111.11M7,541.95%111.11M125.45%3.15M--2.66M--2.88M
Other non current liabilities --332.15M--332.15M16,405.36%286.2M------------------1.73M--1.73M--1.73M
Total non current liabilities 79.19%688.67M79.19%688.67M162.28%724.55M34.37%405.63M146.52%370.95M173.26%384.33M152.37%384.33M74.46%276.25M--301.87M--150.48M
Total liabilities 97.71%1.06B97.71%1.06B167.51%1.03B51.20%633M126.04%584.19M112.59%538.28M231.00%538.28M133.98%386.73M--418.66M--258.45M
Shareholders'equity
Share capital 10.65%1.1M10.65%1.1M13.69%1.06M14.85%1.04M16.55%1.04M11.92%995K130.32%995K-99.05%935K--909K--894K
-common stock 10.65%1.1M10.65%1.1M13.69%1.06M14.85%1.04M16.55%1.04M11.92%995K130.32%995K--935K--909K--894K
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Additional paid-in capital 80.57%1.43B80.57%1.43B88.82%1.18B76.03%1.04B55.92%905.58M37.03%789.6M491.73%789.6M1,678.01%623.26M--588.08M--580.81M
Retained earnings -97.63%5.48M-97.63%5.48M259.12%285.16M198.45%235.05M-35.11%97.74M331.05%231.63M317.50%231.63M175.76%79.41M--78.76M--150.62M
Gains losses not affecting retained earnings 77.10%-10.43M77.10%-10.43M-6,818.59%-20.96M40.49%-4.53M-12,648.56%-44.37M-523.32%-45.55M---45.55M--312K---7.61M---348K
Total stockholders'equity 45.59%1.42B45.59%1.42B104.87%1.44B91.90%1.27B31.15%959.99M100.29%976.67M3,468.00%976.67M2,348.74%703.92M--660.14M--731.98M
Noncontrolling interests 6,742.58%267.55M6,742.58%267.55M2,365.73%211.58M1,385.18%121.58M221.77%27.7M--3.91M--3.91M--8.58M--8.19M--8.61M
Total equity 72.29%1.69B72.29%1.69B132.10%1.65B107.74%1.39B33.37%987.7M101.09%980.58M3,482.29%980.58M2,378.59%712.5M--668.32M--740.59M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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