美股市场个股详情

BITF Bitfarms

添加自选
  • 1.860
  • -0.065-3.38%
收盘价 11/01 16:00 (美东)
  • 1.870
  • +0.010+0.54%
盘后 17:23 (美东)
8.42亿总市值-5166市盈率TTM

Bitfarms关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q2)2024/06/30
(Q1)2024/03/31
(FY)2023/12/31
(Q4)2023/12/31
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
资产
流动资产
现金及现金等价物和短期投资
329.49%1.95亿
211.60%1.24亿
227.02%1.16亿
227.02%1.16亿
49.86%6,358.4万
-19.89%4,548.8万
-77.55%3,963.5万
-81.50%3,544.4万
-81.50%3,544.4万
-70.64%4,242.9万
-现金和现金等价物
348.74%1.39亿
124.53%6,596.1万
172.77%8,403.8万
172.77%8,403.8万
30.61%4,677.5万
-32.82%3,089.1万
-61.99%2,937.8万
-75.47%3,080.9万
-75.47%3,080.9万
-17.23%3,581.4万
-短期投资
288.76%5,674.8万
461.00%5,754.2万
587.59%3,187万
587.59%3,187万
154.10%1,680.9万
35.14%1,459.7万
-89.67%1,025.7万
-92.98%463.5万
-92.98%463.5万
-93.47%661.5万
应收款项
-2.87%1,881.2万
-79.69%330.4万
-86.83%220.8万
-86.83%220.8万
-25.57%1,185.3万
65.06%1,936.7万
1,082.34%1,626.9万
1,515.32%1,676.7万
1,515.32%1,676.7万
407.20%1,592.6万
-应收账款
-27.87%73.5万
94.92%72.9万
1.85%71.4万
1.85%71.4万
-18.23%115.7万
58.23%101.9万
-44.10%37.4万
-32.47%70.1万
-32.47%70.1万
17.43%141.5万
-应收税费
-2.99%1,751.7万
-92.68%113.8万
-94.96%80.5万
-94.96%80.5万
-28.02%1,028.5万
65.51%1,805.7万
2,340.97%1,554.9万
--1,595.8万
--1,595.8万
638.45%1,428.9万
-其他应收款
92.44%56万
315.32%143.7万
537.96%68.9万
537.96%68.9万
85.14%41.1万
62.57%29.1万
394.29%34.6万
--10.8万
--10.8万
--22.2万
存货
62.29%107.6万
71.50%101.7万
19.90%70.5万
19.90%70.5万
24.57%73万
9.23%66.3万
-5.87%59.3万
--58.8万
--58.8万
17.43%58.6万
预付费用
274.55%1,067.1万
-66.39%450.7万
-50.52%639.3万
-50.52%639.3万
-51.65%418万
-7.14%284.9万
200.58%1,340.9万
303.53%1,292.1万
303.53%1,292.1万
175.67%864.5万
受限制现金
--0
--0
-2.19%210.1万
-2.19%210.1万
-93.53%216.6万
-95.84%213.7万
-98.48%212.2万
-97.53%214.8万
-97.53%214.8万
--3,349.6万
流动资产合计
229.30%2.37亿
85.78%1.37亿
88.14%1.3亿
88.14%1.3亿
-18.56%8,373.3万
-42.20%7,205.8万
-77.17%7,391.3万
-75.94%6,908.8万
-75.94%6,908.8万
-32.60%1.03亿
非流动资产
固定资产净额
13.45%2.81亿
10.81%2.79亿
-10.40%2.4亿
-10.40%2.4亿
-10.51%2.4亿
-27.44%2.48亿
-11.87%2.52亿
83.27%2.68亿
83.27%2.68亿
59.13%2.68亿
-固定资产
0.70%4.41亿
24.57%5.21亿
12.03%4.67亿
12.03%4.67亿
17.03%4.47亿
7.58%4.38亿
23.75%4.18亿
184.83%4.17亿
184.83%4.17亿
93.93%3.82亿
-累计折旧
15.97%-1.59亿
-45.46%-2.41亿
-52.51%-2.27亿
-52.51%-2.27亿
-82.07%-2.07亿
-191.68%-1.9亿
-220.52%-1.66亿
---1.49亿
---1.49亿
-301.10%-1.14亿
商誉及其他无形资产
20,747.62%437.8万
17,384.62%454.6万
11,112.12%370万
11,112.12%370万
1,369.62%382.1万
-97.37%2.1万
-99.86%2.6万
-99.82%3.3万
-99.82%3.3万
39.04%26万
-商誉
----
----
--0
--0
----
----
----
--0
--0
--0
-其他无形资产
20,747.62%437.8万
17,384.62%454.6万
11,112.12%370万
11,112.12%370万
1,369.62%382.1万
-97.37%2.1万
-98.05%2.6万
-98.04%3.3万
-98.04%3.3万
--26万
长期应收款
----
----
----
----
----
----
-32.15%181.1万
--208.3万
--208.3万
--180万
非流动递延资产
----
----
--0
--0
----
----
----
--0
--0
--0
长期预付费用
132.64%1,288.1万
26.60%533.1万
26.58%490.1万
26.58%490.1万
34.20%521.9万
74.94%553.7万
39.34%421.1万
-95.53%387.2万
-95.53%387.2万
237.88%388.9万
非流动资产合计
17.77%2.99亿
12.05%2.89亿
-9.22%2.49亿
-9.22%2.49亿
-9.15%2.49亿
-27.23%2.54亿
-18.17%2.58亿
7.26%2.74亿
7.26%2.74亿
61.38%2.74亿
总资产
64.58%5.36亿
28.46%4.26亿
10.38%3.79亿
10.38%3.79亿
-11.72%3.33亿
-31.17%3.26亿
-48.06%3.32亿
-36.77%3.43亿
-36.77%3.43亿
16.91%3.77亿
负债
流动负债
应付款项
102.95%2,090.8万
-3.98%1,144.6万
-21.01%1,018.7万
-21.01%1,018.7万
-15.29%762.1万
55.17%1,030.2万
-15.92%1,192.1万
-51.47%1,289.7万
-51.47%1,289.7万
-30.85%899.7万
-应付账款
102.95%2,090.8万
-10.50%1,066.9万
-29.62%907.7万
-29.62%907.7万
-15.29%762.1万
55.17%1,030.2万
15.81%1,192.1万
-10.93%1,289.7万
-10.93%1,289.7万
41.31%899.7万
-应付税费
--0
--77.7万
--111万
--111万
----
----
----
--0
--0
--0
应计费用
-61.25%332.2万
72.46%1,321.9万
52.56%1,166.2万
52.56%1,166.2万
29.02%903.8万
40.93%857.3万
1,662.07%766.5万
--764.4万
--764.4万
2,724.60%700.5万
短期借款与租赁负债
-88.28%217.2万
-90.48%227.7万
-85.27%687.9万
-85.27%687.9万
-80.28%1,302.7万
-77.85%1,853.8万
-81.35%2,391.4万
-37.40%4,670.3万
-37.40%4,670.3万
358.17%6,605.5万
-短期借款
-98.95%16.4万
-99.28%15.1万
-90.66%402.2万
-90.66%402.2万
-84.04%991.3万
-80.53%1,555.6万
-83.02%2,102.6万
-38.72%4,305.4万
-38.72%4,305.4万
495.50%6,212.9万
-短期租赁负债
-32.66%200.8万
-26.39%212.6万
-21.70%285.7万
-21.70%285.7万
-20.68%311.4万
-21.32%298.2万
-34.68%288.8万
-16.04%364.9万
-16.04%364.9万
-1.46%392.6万
其他流动负债
--2,003.2万
--1,857.6万
23,820.71%4,042.6万
23,820.71%4,042.6万
----
----
----
-99.73%16.9万
-99.73%16.9万
----
流动负债总额
24.11%4,643.4万
4.64%4,551.8万
2.58%6,915.4万
2.58%6,915.4万
-63.82%2,968.6万
-61.20%3,741.3万
-69.54%4,350万
-59.08%6,741.3万
-59.08%6,741.3万
196.50%8,205.7万
非流动负债
长期拨备
-15.59%192.8万
-15.86%186.7万
-8.24%181.6万
-8.24%181.6万
31.33%233.5万
43.38%228.4万
398.65%221.9万
728.03%197.9万
728.03%197.9万
437.16%177.8万
长期借款与租赁负债
3.79%1,369.5万
0.52%1,367.4万
-29.03%1,299.3万
-29.03%1,299.3万
-55.87%1,327.6万
-66.96%1,319.5万
-45.07%1,360.3万
80.61%1,830.8万
80.61%1,830.8万
348.61%3,008.4万
-长期借款
1,936.99%148.7万
2,125.37%149.1万
----
----
-99.35%10.8万
-99.72%7.3万
-99.54%6.7万
349.78%409.3万
349.78%409.3万
2,809.68%1,652.7万
-长期租赁负债
-6.97%1,220.8万
-10.00%1,218.3万
-8.60%1,299.3万
-8.60%1,299.3万
-2.87%1,316.8万
-5.13%1,312.2万
33.97%1,353.6万
54.06%1,421.5万
54.06%1,421.5万
120.87%1,355.7万
递延负债
----
----
--0
--0
----
----
----
--0
--0
--0
非流动负债总额
0.93%1,562.3万
-1.78%1,554.1万
-27.00%1,480.9万
-27.00%1,480.9万
-51.00%1,561.1万
-62.73%1,547.9万
-56.69%1,582.2万
7.75%2,028.7万
7.75%2,028.7万
146.25%3,186.2万
总负债
17.33%6,205.7万
2.93%6,105.9万
-4.26%8,396.3万
-4.26%8,396.3万
-60.24%4,529.7万
-61.66%5,289.2万
-66.93%5,932.2万
-52.23%8,770万
-52.23%8,770万
180.49%1.14亿
所有者权益
股本
55.59%7.27亿
31.75%5.86亿
30.92%5.3亿
30.92%5.3亿
17.97%5亿
12.64%4.67亿
9.76%4.45亿
14.16%4.05亿
14.16%4.05亿
65.12%4.24亿
-普通股股本
55.59%7.27亿
31.75%5.86亿
30.92%5.3亿
30.92%5.3亿
17.97%5亿
12.64%4.67亿
9.76%4.45亿
14.16%4.05亿
14.16%4.05亿
65.12%4.24亿
留存收益
-18.80%-3.16亿
-21.47%-2.93亿
-49.56%-2.95亿
-49.56%-2.95亿
-27.87%-2.84亿
-93.41%-2.66亿
-5,462.88%-2.42亿
-815.24%-1.97亿
-815.24%-1.97亿
-2,192.84%-2.22亿
资本公积
-15.25%5,940.6万
-12.25%5,968.9万
18.82%5,662.2万
18.82%5,662.2万
16.63%7,198.3万
21.39%7,009.8万
36.46%6,801.9万
84.38%4,765.3万
84.38%4,765.3万
76.37%6,171.7万
不影响留存收益的损益
175.79%315.5万
951.10%1,287.6万
--294.1万
--294.1万
----
--114.4万
--122.5万
--0
--0
----
股东权益总额
73.74%4.74亿
34.02%3.65亿
15.41%2.95亿
15.41%2.95亿
9.30%2.88亿
-18.63%2.73亿
-40.69%2.73亿
-28.86%2.55亿
-28.86%2.55亿
-6.66%2.63亿
总权益
73.74%4.74亿
34.02%3.65亿
15.41%2.95亿
15.41%2.95亿
9.30%2.88亿
-18.63%2.73亿
-40.69%2.73亿
-28.86%2.55亿
-28.86%2.55亿
-6.66%2.63亿
货币单位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
会计准则
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
审计意见
--
--
无保留意见
--
--
--
--
--
--
--
(Q2)2024/06/30(Q1)2024/03/31(FY)2023/12/31(Q4)2023/12/31(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30
资产
流动资产
现金及现金等价物和短期投资 329.49%1.95亿211.60%1.24亿227.02%1.16亿227.02%1.16亿49.86%6,358.4万-19.89%4,548.8万-77.55%3,963.5万-81.50%3,544.4万-81.50%3,544.4万-70.64%4,242.9万
-现金和现金等价物 348.74%1.39亿124.53%6,596.1万172.77%8,403.8万172.77%8,403.8万30.61%4,677.5万-32.82%3,089.1万-61.99%2,937.8万-75.47%3,080.9万-75.47%3,080.9万-17.23%3,581.4万
-短期投资 288.76%5,674.8万461.00%5,754.2万587.59%3,187万587.59%3,187万154.10%1,680.9万35.14%1,459.7万-89.67%1,025.7万-92.98%463.5万-92.98%463.5万-93.47%661.5万
应收款项 -2.87%1,881.2万-79.69%330.4万-86.83%220.8万-86.83%220.8万-25.57%1,185.3万65.06%1,936.7万1,082.34%1,626.9万1,515.32%1,676.7万1,515.32%1,676.7万407.20%1,592.6万
-应收账款 -27.87%73.5万94.92%72.9万1.85%71.4万1.85%71.4万-18.23%115.7万58.23%101.9万-44.10%37.4万-32.47%70.1万-32.47%70.1万17.43%141.5万
-应收税费 -2.99%1,751.7万-92.68%113.8万-94.96%80.5万-94.96%80.5万-28.02%1,028.5万65.51%1,805.7万2,340.97%1,554.9万--1,595.8万--1,595.8万638.45%1,428.9万
-其他应收款 92.44%56万315.32%143.7万537.96%68.9万537.96%68.9万85.14%41.1万62.57%29.1万394.29%34.6万--10.8万--10.8万--22.2万
存货 62.29%107.6万71.50%101.7万19.90%70.5万19.90%70.5万24.57%73万9.23%66.3万-5.87%59.3万--58.8万--58.8万17.43%58.6万
预付费用 274.55%1,067.1万-66.39%450.7万-50.52%639.3万-50.52%639.3万-51.65%418万-7.14%284.9万200.58%1,340.9万303.53%1,292.1万303.53%1,292.1万175.67%864.5万
受限制现金 --0--0-2.19%210.1万-2.19%210.1万-93.53%216.6万-95.84%213.7万-98.48%212.2万-97.53%214.8万-97.53%214.8万--3,349.6万
流动资产合计 229.30%2.37亿85.78%1.37亿88.14%1.3亿88.14%1.3亿-18.56%8,373.3万-42.20%7,205.8万-77.17%7,391.3万-75.94%6,908.8万-75.94%6,908.8万-32.60%1.03亿
非流动资产
固定资产净额 13.45%2.81亿10.81%2.79亿-10.40%2.4亿-10.40%2.4亿-10.51%2.4亿-27.44%2.48亿-11.87%2.52亿83.27%2.68亿83.27%2.68亿59.13%2.68亿
-固定资产 0.70%4.41亿24.57%5.21亿12.03%4.67亿12.03%4.67亿17.03%4.47亿7.58%4.38亿23.75%4.18亿184.83%4.17亿184.83%4.17亿93.93%3.82亿
-累计折旧 15.97%-1.59亿-45.46%-2.41亿-52.51%-2.27亿-52.51%-2.27亿-82.07%-2.07亿-191.68%-1.9亿-220.52%-1.66亿---1.49亿---1.49亿-301.10%-1.14亿
商誉及其他无形资产 20,747.62%437.8万17,384.62%454.6万11,112.12%370万11,112.12%370万1,369.62%382.1万-97.37%2.1万-99.86%2.6万-99.82%3.3万-99.82%3.3万39.04%26万
-商誉 ----------0--0--------------0--0--0
-其他无形资产 20,747.62%437.8万17,384.62%454.6万11,112.12%370万11,112.12%370万1,369.62%382.1万-97.37%2.1万-98.05%2.6万-98.04%3.3万-98.04%3.3万--26万
长期应收款 -------------------------32.15%181.1万--208.3万--208.3万--180万
非流动递延资产 ----------0--0--------------0--0--0
长期预付费用 132.64%1,288.1万26.60%533.1万26.58%490.1万26.58%490.1万34.20%521.9万74.94%553.7万39.34%421.1万-95.53%387.2万-95.53%387.2万237.88%388.9万
非流动资产合计 17.77%2.99亿12.05%2.89亿-9.22%2.49亿-9.22%2.49亿-9.15%2.49亿-27.23%2.54亿-18.17%2.58亿7.26%2.74亿7.26%2.74亿61.38%2.74亿
总资产 64.58%5.36亿28.46%4.26亿10.38%3.79亿10.38%3.79亿-11.72%3.33亿-31.17%3.26亿-48.06%3.32亿-36.77%3.43亿-36.77%3.43亿16.91%3.77亿
负债
流动负债
应付款项 102.95%2,090.8万-3.98%1,144.6万-21.01%1,018.7万-21.01%1,018.7万-15.29%762.1万55.17%1,030.2万-15.92%1,192.1万-51.47%1,289.7万-51.47%1,289.7万-30.85%899.7万
-应付账款 102.95%2,090.8万-10.50%1,066.9万-29.62%907.7万-29.62%907.7万-15.29%762.1万55.17%1,030.2万15.81%1,192.1万-10.93%1,289.7万-10.93%1,289.7万41.31%899.7万
-应付税费 --0--77.7万--111万--111万--------------0--0--0
应计费用 -61.25%332.2万72.46%1,321.9万52.56%1,166.2万52.56%1,166.2万29.02%903.8万40.93%857.3万1,662.07%766.5万--764.4万--764.4万2,724.60%700.5万
短期借款与租赁负债 -88.28%217.2万-90.48%227.7万-85.27%687.9万-85.27%687.9万-80.28%1,302.7万-77.85%1,853.8万-81.35%2,391.4万-37.40%4,670.3万-37.40%4,670.3万358.17%6,605.5万
-短期借款 -98.95%16.4万-99.28%15.1万-90.66%402.2万-90.66%402.2万-84.04%991.3万-80.53%1,555.6万-83.02%2,102.6万-38.72%4,305.4万-38.72%4,305.4万495.50%6,212.9万
-短期租赁负债 -32.66%200.8万-26.39%212.6万-21.70%285.7万-21.70%285.7万-20.68%311.4万-21.32%298.2万-34.68%288.8万-16.04%364.9万-16.04%364.9万-1.46%392.6万
其他流动负债 --2,003.2万--1,857.6万23,820.71%4,042.6万23,820.71%4,042.6万-------------99.73%16.9万-99.73%16.9万----
流动负债总额 24.11%4,643.4万4.64%4,551.8万2.58%6,915.4万2.58%6,915.4万-63.82%2,968.6万-61.20%3,741.3万-69.54%4,350万-59.08%6,741.3万-59.08%6,741.3万196.50%8,205.7万
非流动负债
长期拨备 -15.59%192.8万-15.86%186.7万-8.24%181.6万-8.24%181.6万31.33%233.5万43.38%228.4万398.65%221.9万728.03%197.9万728.03%197.9万437.16%177.8万
长期借款与租赁负债 3.79%1,369.5万0.52%1,367.4万-29.03%1,299.3万-29.03%1,299.3万-55.87%1,327.6万-66.96%1,319.5万-45.07%1,360.3万80.61%1,830.8万80.61%1,830.8万348.61%3,008.4万
-长期借款 1,936.99%148.7万2,125.37%149.1万---------99.35%10.8万-99.72%7.3万-99.54%6.7万349.78%409.3万349.78%409.3万2,809.68%1,652.7万
-长期租赁负债 -6.97%1,220.8万-10.00%1,218.3万-8.60%1,299.3万-8.60%1,299.3万-2.87%1,316.8万-5.13%1,312.2万33.97%1,353.6万54.06%1,421.5万54.06%1,421.5万120.87%1,355.7万
递延负债 ----------0--0--------------0--0--0
非流动负债总额 0.93%1,562.3万-1.78%1,554.1万-27.00%1,480.9万-27.00%1,480.9万-51.00%1,561.1万-62.73%1,547.9万-56.69%1,582.2万7.75%2,028.7万7.75%2,028.7万146.25%3,186.2万
总负债 17.33%6,205.7万2.93%6,105.9万-4.26%8,396.3万-4.26%8,396.3万-60.24%4,529.7万-61.66%5,289.2万-66.93%5,932.2万-52.23%8,770万-52.23%8,770万180.49%1.14亿
所有者权益
股本 55.59%7.27亿31.75%5.86亿30.92%5.3亿30.92%5.3亿17.97%5亿12.64%4.67亿9.76%4.45亿14.16%4.05亿14.16%4.05亿65.12%4.24亿
-普通股股本 55.59%7.27亿31.75%5.86亿30.92%5.3亿30.92%5.3亿17.97%5亿12.64%4.67亿9.76%4.45亿14.16%4.05亿14.16%4.05亿65.12%4.24亿
留存收益 -18.80%-3.16亿-21.47%-2.93亿-49.56%-2.95亿-49.56%-2.95亿-27.87%-2.84亿-93.41%-2.66亿-5,462.88%-2.42亿-815.24%-1.97亿-815.24%-1.97亿-2,192.84%-2.22亿
资本公积 -15.25%5,940.6万-12.25%5,968.9万18.82%5,662.2万18.82%5,662.2万16.63%7,198.3万21.39%7,009.8万36.46%6,801.9万84.38%4,765.3万84.38%4,765.3万76.37%6,171.7万
不影响留存收益的损益 175.79%315.5万951.10%1,287.6万--294.1万--294.1万------114.4万--122.5万--0--0----
股东权益总额 73.74%4.74亿34.02%3.65亿15.41%2.95亿15.41%2.95亿9.30%2.88亿-18.63%2.73亿-40.69%2.73亿-28.86%2.55亿-28.86%2.55亿-6.66%2.63亿
总权益 73.74%4.74亿34.02%3.65亿15.41%2.95亿15.41%2.95亿9.30%2.88亿-18.63%2.73亿-40.69%2.73亿-28.86%2.55亿-28.86%2.55亿-6.66%2.63亿
货币单位 美元美元美元美元美元美元美元美元美元美元
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 ----无保留意见--------------

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