Intchains Group
ICG
BIGG DIGITAL ASSETS INC
BBKCF
NEPTUNE DIGITAL ASSETS CORP
NPPTF
Bitdeer Technologies
BTDR
MicroStrategy
MSTR
(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 | -38.02%1.8B | 41.16%1.65B | 44.33%1.45B | 132.87%3.36B | 132.87%3.36B | 261.72%2.9B | 28.82%1.17B | 30.31%1.01B | -17.69%1.44B | -17.69%1.44B |
-Cash and cash equivalents | -38.02%1.8B | 41.16%1.65B | 44.33%1.45B | 132.87%3.36B | 132.87%3.36B | 261.72%2.9B | 28.82%1.17B | 30.31%1.01B | -17.69%1.44B | -17.69%1.44B |
Receivables | 13.83%7.42B | 10.78%7.74B | 7.70%7.22B | 9.67%6.42B | 9.67%6.42B | 12.05%6.52B | 11.14%6.99B | 12.36%6.7B | 4.76%5.85B | 4.76%5.85B |
-Accounts receivable | 14.79%6.78B | 9.76%7.03B | 9.10%6.51B | 9.69%5.81B | 9.69%5.81B | 11.24%5.91B | 10.93%6.41B | 8.41%5.97B | 3.93%5.29B | 3.93%5.29B |
-Other receivables | 4.96%804M | 18.26%868M | -2.70%864M | 6.12%763M | 6.12%763M | 14.16%766M | 8.26%734M | 40.28%888M | 9.10%719M | 9.10%719M |
-Recievables adjustments allowances | -6.45%-165M | -3.90%-160M | -1.95%-157M | 5.63%-151M | 5.63%-151M | 5.49%-155M | 7.78%-154M | 10.98%-154M | 3.61%-160M | 3.61%-160M |
Restricted cash | 0.80%11.92B | -0.58%11.5B | --11.46B | 1.26%10.79B | 1.26%10.79B | --11.83B | --11.56B | ---- | --10.66B | --10.66B |
Other current assets | 10.97%1.14B | 4.81%1.13B | -16.63%1.17B | 17.21%1.18B | 17.21%1.18B | 8.08%1.03B | 10.99%1.08B | 33.62%1.41B | 8.53%1.01B | 8.53%1.01B |
Total current assets | 0.03%22.29B | 5.86%22.02B | 133.72%21.3B | 14.71%21.75B | 14.71%21.75B | 194.15%22.28B | 154.65%20.8B | 17.01%9.11B | 129.42%18.96B | 129.42%18.96B |
Non current assets | ||||||||||
Net PPE | -0.29%2.37B | -3.77%2.35B | -3.34%2.37B | -0.41%2.42B | -0.41%2.42B | -4.11%2.38B | -6.44%2.44B | -8.81%2.45B | -10.39%2.43B | -10.39%2.43B |
-Gross PPE | 0.30%4.01B | -3.23%3.92B | -1.88%3.96B | 0.53%3.99B | 0.53%3.99B | -3.22%4B | -5.37%4.05B | -7.71%4.03B | -7.90%3.96B | -7.90%3.96B |
-Accumulated depreciation | -1.17%-1.64B | 2.42%-1.57B | -0.38%-1.59B | -2.02%-1.56B | -2.02%-1.56B | 1.88%-1.62B | 3.71%-1.61B | 5.96%-1.58B | 3.65%-1.53B | 3.65%-1.53B |
Goodwill and other intangible assets | 9.41%20.96B | 5.36%20.15B | 6.36%19.95B | 5.71%19.86B | 5.71%19.86B | 6.53%19.15B | 3.39%19.13B | -1.17%18.75B | -1.77%18.79B | -1.77%18.79B |
-Goodwill | 9.49%18.24B | 5.38%17.52B | 6.22%17.31B | 6.03%17.23B | 6.03%17.23B | 6.93%16.66B | 4.12%16.62B | 0.28%16.3B | -0.40%16.25B | -0.40%16.25B |
-Other intangible assets | 8.89%2.72B | 5.18%2.64B | 7.30%2.63B | 3.67%2.63B | 3.67%2.63B | 3.95%2.5B | -1.18%2.51B | -9.85%2.45B | -9.72%2.54B | -9.72%2.54B |
Non current deferred assets | -30.46%242M | -21.92%285M | -25.20%276M | -0.28%357M | -0.28%357M | -34.71%348M | -32.03%365M | -30.38%369M | -35.03%358M | -35.03%358M |
Defined pension benefit | 3.20%2.38B | -6.18%2.19B | -3.91%2.11B | -3.57%2.05B | -3.57%2.05B | 11.38%2.31B | 7.92%2.33B | -2.05%2.2B | -6.30%2.13B | -6.30%2.13B |
Other non current assets | 6.14%1.63B | 6.40%1.6B | 6.53%1.57B | 9.73%1.59B | 9.73%1.59B | 10.77%1.53B | 2.32%1.5B | 0.75%1.47B | -0.82%1.45B | -0.82%1.45B |
Total non current assets | 7.22%27.58B | 3.12%26.57B | 4.07%26.27B | 4.48%26.28B | 4.48%26.28B | 5.20%25.72B | 1.95%25.76B | -2.53%25.25B | -3.71%25.16B | -3.71%25.16B |
Total assets | 3.88%49.86B | 4.35%48.59B | 38.46%47.57B | 8.88%48.03B | 8.88%48.03B | 49.89%48B | 39.25%46.57B | 1.99%34.36B | 28.28%44.11B | 28.28%44.11B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 2.29%4.07B | 4.68%3.71B | 3.21%4.18B | 6.43%3.72B | 6.43%3.72B | 9.45%3.97B | 1.93%3.54B | 10.61%4.05B | 4.04%3.5B | 4.04%3.5B |
-accounts payable | -1.40%3.1B | 2.17%3.21B | -0.79%3.38B | 3.81%3.4B | 3.81%3.4B | 8.27%3.14B | 3.57%3.14B | 10.44%3.41B | 3.57%3.28B | 3.57%3.28B |
-Total tax payable | 17.71%565M | 24.08%505M | 28.09%456M | 45.25%321M | 45.25%321M | 11.11%480M | -9.15%407M | 15.58%356M | 11.62%221M | 11.62%221M |
-Dividends payable | 14.25%401M | ---- | 19.52%349M | ---- | ---- | 18.58%351M | ---- | 6.96%292M | ---- | ---- |
Current debt and capital lease obligation | -61.72%831M | -41.47%1.57B | -38.81%1.48B | 234.08%1.93B | 234.08%1.93B | 71.62%2.17B | 65.17%2.68B | 58.80%2.42B | 65.62%578M | 65.62%578M |
-Current debt | -72.27%518M | -46.65%1.27B | -44.62%1.17B | 504.10%1.62B | 504.10%1.62B | 93.17%1.87B | 81.16%2.38B | 77.25%2.11B | 1,476.47%268M | 1,476.47%268M |
-Current capital lease obligation | 3.30%313M | -1.62%304M | 1.31%310M | 0.65%312M | 0.65%312M | 1.68%303M | -1.59%309M | -7.55%306M | -6.63%310M | -6.63%310M |
Other current liabilities | 0.80%11.92B | -0.58%11.5B | --11.46B | 1.26%10.79B | 1.26%10.79B | --11.83B | --11.56B | ---- | --10.66B | --10.66B |
Current liabilities | -4.86%19.6B | -4.79%18.86B | 135.78%18.66B | 11.01%19.8B | 11.01%19.8B | 182.57%20.61B | 182.40%19.81B | 20.15%7.91B | 167.99%17.83B | 167.99%17.83B |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | 3.90%13.95B | 16.06%13.86B | 10.63%13.9B | 4.74%13.51B | 4.74%13.51B | 11.69%13.42B | -2.39%11.95B | 1.46%12.56B | 0.63%12.89B | 0.63%12.89B |
-Long term debt | 4.66%12.33B | 19.82%12.28B | 13.46%12.3B | 5.50%11.84B | 5.50%11.84B | 13.29%11.78B | -2.29%10.25B | 2.74%10.84B | 2.69%11.23B | 2.69%11.23B |
-Long term capital lease obligation | -1.52%1.62B | -6.65%1.59B | -7.14%1.6B | -0.36%1.66B | -0.36%1.66B | 1.42%1.64B | -3.03%1.7B | -5.90%1.72B | -11.33%1.67B | -11.33%1.67B |
Employee benefits | -16.19%704M | -17.44%715M | -16.63%747M | -15.42%779M | -15.42%779M | -35.83%840M | -38.45%866M | -40.86%896M | -43.57%921M | -43.57%921M |
Other non current liabilities | 11.72%1.73B | -12.15%1.58B | -8.11%1.64B | -7.97%1.58B | -7.97%1.58B | -4.16%1.55B | -3.17%1.8B | -12.65%1.79B | -16.88%1.72B | -16.88%1.72B |
Total non current liabilities | 3.60%16.38B | 10.59%16.16B | 6.83%16.29B | 2.14%15.87B | 2.14%15.87B | 5.82%15.81B | -5.76%14.61B | -4.37%15.25B | -5.93%15.53B | -5.93%15.53B |
Total liabilities | -1.19%35.98B | 1.74%35.03B | 50.89%34.95B | 6.88%35.66B | 6.88%35.66B | 63.79%36.41B | 52.85%34.43B | 2.80%23.16B | 44.03%33.37B | 44.03%33.37B |
Shareholders'equity | ||||||||||
Share capital | 0.00%561M | 0.00%561M | 0.00%561M | 0.00%561M | 0.00%561M | 0.00%561M | 0.00%561M | 0.00%561M | 0.00%561M | 0.00%561M |
-common stock | 0.00%561M | 0.00%561M | 0.00%561M | 0.00%561M | 0.00%561M | 0.00%561M | 0.00%561M | 0.00%561M | 0.00%561M | 0.00%561M |
-Preferred stock | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 |
Retained earnings | 11.42%24.52B | 11.82%24.58B | 11.97%23.46B | 12.11%22.76B | 12.11%22.76B | 10.94%22.01B | 10.56%21.98B | 10.75%20.95B | 10.40%20.3B | 10.40%20.3B |
Paid-in capital | 12.09%1.29B | 11.45%1.2B | 4.51%1.11B | 5.34%1.24B | 5.34%1.24B | 3.51%1.15B | 2.87%1.07B | 3.70%1.06B | 6.03%1.18B | 6.03%1.18B |
Less: Treasury stock | 12.26%7.69B | 12.77%7.44B | 12.70%7.2B | 14.00%7.08B | 14.00%7.08B | 16.21%6.85B | 21.55%6.6B | 30.69%6.39B | 38.61%6.21B | 38.61%6.21B |
Gains losses not affecting retained earnings | 8.61%-4.99B | -9.34%-5.53B | -5.25%-5.51B | 0.36%-5.3B | 0.36%-5.3B | 9.72%-5.46B | 5.74%-5.06B | -11.86%-5.23B | -16.15%-5.31B | -16.15%-5.31B |
Total stockholders'equity | 20.01%13.69B | 11.75%13.37B | 13.41%12.42B | 15.88%12.19B | 15.88%12.19B | 19.25%11.41B | 11.86%11.96B | 0.15%10.95B | -4.44%10.52B | -4.44%10.52B |
Noncontrolling interests | 7.78%194M | 11.24%198M | -17.70%200M | -21.83%179M | -21.83%179M | -20.35%180M | -20.54%178M | 10.96%243M | 7.51%229M | 7.51%229M |
Total equity | 19.82%13.88B | 11.75%13.57B | 12.74%12.62B | 15.08%12.37B | 15.08%12.37B | 18.33%11.59B | 11.19%12.14B | 0.36%11.2B | -4.21%10.75B | -4.21%10.75B |
Currency Unit | USD | USD | USD | USD | USD | USD | USD | USD | USD | USD |
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 | -- |