Bitdeer Technologies
BTDR
IREN Ltd
IREN
TeraWulf
WULF
4
Mawson Infrastructure
MIGI
5
Cipher Mining
CIFR
(Q1)Mar 31, 2025 | (FY)Dec 31, 2024 | (Q4)Dec 31, 2024 | (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 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Cash cash equivalents and federal funds sold | 389.01%110.58M | 130.41%66.45M | 130.41%66.45M | 16.92%72.8M | 68.70%53.46M | -2.66%22.61M | -4.95%28.84M | -4.95%28.84M | 129.66%62.27M | -33.30%31.69M |
-Cash and cash equivalents | 404.83%110.58M | 121.23%57.19M | 121.23%57.19M | 13.22%60.24M | 71.76%51.51M | -3.81%21.9M | -9.90%25.85M | -9.90%25.85M | 110.64%53.21M | -34.81%29.99M |
-Money market investments | ---- | 209.73%9.26M | 209.73%9.26M | 38.68%12.56M | 14.60%1.95M | 54.80%709K | 81.05%2.99M | 81.05%2.99M | 388.98%9.06M | 12.67%1.7M |
Receivables | ---- | -0.70%8.47M | -0.70%8.47M | 4.49%8.65M | 11.84%8.74M | 7.65%8.62M | 4.77%8.53M | 4.77%8.53M | 10.09%8.28M | -0.72%7.81M |
-Accounts receivable | ---- | -0.70%8.47M | -0.70%8.47M | 4.49%8.65M | 11.84%8.74M | 7.65%8.62M | 4.77%8.53M | 4.77%8.53M | 10.09%8.28M | -0.72%7.81M |
Net loan | 2.70%2.06B | 2.17%2.05B | 2.17%2.05B | 1.71%2.03B | 0.54%2.01B | 0.92%2.01B | 1.80%2.01B | 1.80%2.01B | 0.37%1.99B | 2.03%2B |
-Gross loan | 2.66%2.08B | 2.10%2.07B | 2.10%2.07B | 1.68%2.05B | 0.50%2.02B | 0.93%2.02B | 1.79%2.02B | 1.79%2.02B | 0.35%2.01B | 2.02%2.01B |
-Allowance for loans and lease losses | -1.08%19.67M | -3.64%19.53M | -3.64%19.53M | -0.12%19.96M | -1.03%19.44M | 4.48%19.88M | 1.69%20.27M | 1.69%20.27M | -1.14%19.98M | 0.44%19.65M |
-Unearned income | 10.32%2.85M | 10.35%2.75M | 10.35%2.75M | 12.35%2.62M | 21.35%2.71M | 19.17%2.59M | 17.37%2.49M | 17.37%2.49M | 9.43%2.33M | 3.29%2.23M |
Securities and investments | 2.76%369.77M | 1.51%366.14M | 1.51%366.14M | 3.85%369.41M | -3.14%352.95M | -5.23%359.83M | -5.93%360.68M | -5.93%360.68M | -9.80%355.73M | -10.29%364.38M |
-Available for sale securities | 86.49%414K | 102.55%397K | 102.55%397K | --252K | --233K | -96.48%222K | -96.86%196K | -96.86%196K | ---- | ---- |
-Held to maturity securities | -8.90%201.56M | -8.21%205.04M | -8.21%205.04M | -5.22%213.27M | -2.36%217.63M | -2.53%221.24M | -2.95%223.37M | -2.95%223.37M | -4.00%225.02M | -4.66%222.9M |
-Short term investments | 21.28%167.8M | 17.20%160.7M | 17.20%160.7M | 19.26%155.89M | -4.52%135.09M | -5.47%138.36M | -6.72%137.12M | -6.72%137.12M | -12.11%130.71M | -12.08%141.48M |
Federal home loan bank stock | 87.38%5.82M | 56.95%5.82M | 56.95%5.82M | 133.20%7.14M | 121.42%7.14M | -56.71%3.11M | 10.59%3.71M | 10.59%3.71M | 37.11%3.06M | 71.41%3.23M |
Bank owned life insurance | 2.55%77.53M | 2.54%77.06M | 2.54%77.06M | 2.49%76.57M | 0.72%76.1M | 0.72%75.6M | 0.70%75.15M | 0.70%75.15M | 0.70%74.71M | 2.38%75.55M |
Net PPE | ---- | -4.51%24.42M | -4.51%24.42M | -2.09%24.25M | 0.55%24.74M | 2.42%24.97M | 2.49%25.58M | 2.49%25.58M | -0.83%24.77M | -2.95%24.6M |
-Gross PPE | ---- | 1.82%62.33M | 1.82%62.33M | ---- | ---- | ---- | 4.94%61.21M | 4.94%61.21M | ---- | ---- |
-Accumulated depreciation | ---- | -6.37%-37.91M | -6.37%-37.91M | ---- | ---- | ---- | -6.77%-35.64M | -6.77%-35.64M | ---- | ---- |
Goodwill and other intangible assets | -2.64%13.83M | -2.62%13.93M | -2.62%13.93M | -2.61%14.02M | -2.59%14.11M | -2.57%14.21M | -2.56%14.3M | -2.56%14.3M | -2.54%14.39M | -2.52%14.49M |
-Goodwill | 0.00%12.49M | 0.00%12.49M | 0.00%12.49M | 0.00%12.49M | 0.00%12.49M | 0.00%12.49M | 0.00%12.49M | 0.00%12.49M | 0.00%12.49M | 0.00%12.49M |
-Other intangible assets | -21.82%1.34M | -20.68%1.44M | -20.68%1.44M | -19.67%1.53M | -18.75%1.63M | -17.91%1.72M | -17.14%1.81M | -17.14%1.81M | -16.44%1.91M | -15.79%2M |
Other assets | 153.60%71.86M | -3.51%26.16M | -3.51%26.16M | -15.08%26.11M | -8.20%27.75M | 0.89%28.34M | -0.22%27.11M | -0.22%27.11M | 14.96%30.75M | 13.14%30.23M |
Total assets | 5.95%2.71B | 3.45%2.65B | 3.45%2.65B | 2.15%2.64B | 0.93%2.59B | -0.19%2.56B | 0.45%2.56B | 0.45%2.56B | 0.24%2.59B | -0.58%2.56B |
Liabilities | ||||||||||
Total deposits | 8.62%2.33B | 5.55%2.26B | 5.55%2.26B | 2.20%2.22B | 0.64%2.17B | -0.62%2.14B | -3.84%2.14B | -3.84%2.14B | -4.87%2.18B | -6.26%2.16B |
Current debt and capital lease obligation | -60.59%4.52M | -66.52%5.39M | -66.52%5.39M | -50.62%4.39M | -8.62%6.57M | -88.41%11.47M | -61.06%16.1M | -61.06%16.1M | -58.65%8.89M | 50.10%7.19M |
-Current debt | -60.59%4.52M | -66.52%5.39M | -66.52%5.39M | -50.62%4.39M | -8.62%6.57M | -88.41%11.47M | -61.06%16.1M | -61.06%16.1M | -58.65%8.89M | 50.10%7.19M |
Long term debt and capital lease obligation | -16.11%117.76M | -16.11%117.75M | -16.11%117.75M | 5.07%148.02M | 5.07%148.01M | 175.99%140.37M | 573.15%140.36M | 573.15%140.36M | 575.98%140.88M | 570.39%140.87M |
-Long term debt | -16.11%117.76M | -16.11%117.75M | -16.11%117.75M | 5.07%148.02M | 5.07%148.01M | 175.99%140.37M | 573.15%140.36M | 573.15%140.36M | 575.98%140.88M | 570.39%140.87M |
Other liabilities | -27.90%18.64M | -15.54%22.77M | -15.54%22.77M | -9.92%23.21M | 4.29%23.21M | 18.52%25.86M | -19.19%26.96M | -19.19%26.96M | -30.42%25.77M | -35.03%22.25M |
Securities loaned | --2.09M | --8.62M | --8.62M | ---- | ---- | ---- | --0 | --0 | --2.25M | ---- |
Total liabilities | 6.47%2.47B | 3.87%2.42B | 3.87%2.42B | 1.94%2.4B | 0.92%2.35B | -0.32%2.32B | 0.09%2.33B | 0.09%2.33B | -0.55%2.35B | -1.43%2.33B |
Shareholders'equity | ||||||||||
Share capital | ---- | -3.69%209K | -3.69%209K | -3.65%211K | -3.17%214K | -2.70%216K | -2.25%217K | -2.25%217K | -1.35%219K | -1.78%221K |
-common stock | ---- | -3.69%209K | -3.69%209K | -3.65%211K | -3.17%214K | -2.70%216K | -2.25%217K | -2.25%217K | -1.35%219K | -1.78%221K |
-Preferred stock | ---- | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 |
Paid-in capital | ---- | -4.88%119.33M | -4.88%119.33M | -4.67%121.43M | -3.88%123.42M | -3.05%125.21M | -2.68%125.45M | -2.68%125.45M | -1.44%127.38M | -2.07%128.39M |
Retained earnings | ---- | 4.20%142.75M | 4.20%142.75M | 3.63%140.9M | 5.62%140.47M | 5.08%138.45M | 7.04%136.99M | 7.04%136.99M | 13.07%135.97M | 15.09%133M |
Gains losses not affecting retained earnings | ---- | -7.04%-23.27M | -7.04%-23.27M | 36.05%-18.35M | -1.78%-23.64M | -2.32%-23.64M | 13.17%-21.74M | 13.17%-21.74M | 14.84%-28.69M | 13.14%-23.22M |
Other equity interest | ---- | 11.67%-3.1M | 11.67%-3.1M | 10.60%-3.54M | 9.18%-3.99M | 7.70%-4.45M | 10.54%-3.51M | 10.54%-3.51M | 8.29%-3.96M | 9.02%-4.39M |
Total stockholders'equity | 0.80%237.68M | -0.63%235.91M | -0.63%235.91M | 4.22%240.66M | 1.06%236.48M | 1.10%235.8M | 4.06%237.41M | 4.06%237.41M | 9.08%230.91M | 8.67%234M |
Total equity | 0.80%237.68M | -0.63%235.91M | -0.63%235.91M | 4.22%240.66M | 1.06%236.48M | 1.10%235.8M | 4.06%237.41M | 4.06%237.41M | 9.08%230.91M | 8.67%234M |
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 with Explanatory Notes | -- | -- | -- |