Bitmine Immersion Technologies Financials

$24.84

up-down-arrow $-1.62 (-6.11%)

As on 04-Sep-2026 13:41EDT

Market cap

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$15,955 Mln

Revenue (TTM)

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$61 Mln

P/E Ratio

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--

P/B Ratio

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1.2

Div. Yield

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0 %

Income Statement ($ Mln)

TTM Aug-25 Aug-24 Aug-23 Aug-22 Aug-21 Aug-20 Aug-13 Aug-12 Aug-11 Aug-10
Operating Revenue
61.19
6.10
3.31
0.65
0.43
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Cost of Revenue
10.11
5.79
2.55
0.42
0.56
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Gross Profit
51.09
0.31
0.76
0.22
-0.13
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Operating Expenses
8,932.77
-443.90
3.21
2.64
1.59
0.13
Operating Profit (EBIT)
-8,881.68
444.21
-2.45
-2.41
-1.71
-0.13
Other Income
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Profit before Tax
-8,751.78
440.87
-3.29
-2.46
-2.01
-0.15
Provision for Tax
2.96
92.30
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Profit after Tax (Net Income)
-8,754.74
348.58
-3.29
-2.46
-2.01
-0.15
Minority Interest
0.02
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Consolidated Profit
--
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Liabilities ($ Mln)

TTM Aug-25 Aug-24 Aug-23 Aug-22 Aug-21 Aug-20 Aug-13 Aug-12 Aug-11 Aug-10
Shareholder's Funds
11,599.58
8,692.80
4.09
6.26
7.40
0.36
Minority Interest
0.02
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Non-Current Liabilities
17.99
92.30
0.06
0.39
0.25
0.00
Current Liabilities
12.14
9.96
3.13
1.56
0.32
0.29
Total Liabilities
11,642.39
8,795.05
7.28
8.20
7.97
0.65

Assets ($ Mln)

TTM Aug-25 Aug-24 Aug-23 Aug-22 Aug-21 Aug-20 Aug-13 Aug-12 Aug-11 Aug-10
Non-Current Assets
11,184.99
8,282.05
5.74
7.32
7.09
0.43
Current Assets
445.26
513.01
1.55
0.88
0.89
0.22
Total Assets
11,642.39
8,795.05
7.28
8.20
7.97
0.65
Total Debt*
1.22
--
1.63
1.30
--
0.28
Net Current Assets
433.12
503.05
-1.57
-0.68
0.57
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Cashflow ($ Mln)

TTM Aug-25 Aug-24 Aug-23 Aug-22 Aug-21 Aug-20 Aug-13 Aug-12 Aug-11 Aug-10
Cash From Operating Activities
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-4.15
-0.03
-0.81
-1.63
-0.08
Cash Flow from Investing Activities
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-7,432.01
-0.07
-0.61
-2.77
-0.43
Cash from Financing Activities
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7,947.66
0.33
1.30
4.57
0.72
Net Cash Inflow / Outflow
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Financials Ratios

TTM Aug-25 Aug-24 Aug-23 Aug-22 Aug-21 Aug-20 Aug-13 Aug-12 Aug-11 Aug-10
Adjusted EPS ($) info
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Cash EPS ($) info
-5.16
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Adjusted Book Value ($) info
20.01
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Dividend per Share ($) info
0.04
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Cash Flow per Share ($) info
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Free Cash Flow per Share ($) info
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Profitability Ratios

TTM Aug-25 Aug-24 Aug-23 Aug-22 Aug-21 Aug-20 Aug-13 Aug-12 Aug-11 Aug-10
ROCE (%) info
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8.01
-49.62
-32.95
-49.87
-48.33
ROE (%) info
-76.62
8.02
-63.65
-36.08
-51.65
-99.36
ROA (%) info
-150.22
7.92
-42.52
-30.47
-46.52
-47.61
EBIT Margin (%) info
-14,260.37
7,237.36
-91.35
-366.87
-400.82
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Net Margin (%) info
-14,306.56
5,719.06
-99.46
-381.98
-468.87
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Cash Profit Margin (%) info
-0.02
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Growth Ratios

TTM Aug-25 Aug-24 Aug-23 Aug-22 Aug-21 Aug-20 Aug-13 Aug-12 Aug-11 Aug-10
Revenue Growth (%) info
1,022.30
0.84
4.13
0.51
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EBIT Growth (%) info
-341,632.87
14,687.55
-27.74
-38.10
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Net Profit Growth (%) info
-245,249.77
10,686.99
-33.58
-22.92
-1,200.08
-1,549.97
EPS Growth (%) info
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Book Value Growth (%) info
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Valuation Ratios

TTM Aug-25 Aug-24 Aug-23 Aug-22 Aug-21 Aug-20 Aug-13 Aug-12 Aug-11 Aug-10
Price / Earnings info
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Price / Book Value info
1.22
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Dividend Yield (%) info
0.04
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EV/EBITDA info
32.14
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Close Price ($) info
19.27
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High Price ($) info
59.28
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Low Price ($) info
17.88
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Market Cap ($ Cr) info
15,955.34
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Solvency Ratios

TTM Aug-25 Aug-24 Aug-23 Aug-22 Aug-21 Aug-20 Aug-13 Aug-12 Aug-11 Aug-10
Debt to Equity info
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0.40
0.21
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0.77
Short term debt to equity ratio info
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0.40
0.21
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0.77
Current Ratio info
36.68
51.50
0.49
0.56
2.80
0.77
Quick Ratio info
36.68
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0.80
4.35
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Interest Coverage info
-1,728.19
1,800.48
-11.26
-24.29
-5.89
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Operating Efficiency Ratios

TTM Aug-25 Aug-24 Aug-23 Aug-22 Aug-21 Aug-20 Aug-13 Aug-12 Aug-11 Aug-10
Debtors to sales (%) info
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8.37
11.30
58.03
114.90
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Asset Turnover info
0.01
0.00
0.43
0.08
0.10
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Receivable days info
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26.49
41.29
245.05
419.68
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Inventory Days info
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-53.65
-373.98
-322.40
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Payable days info
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25.29
34.06
68.96
29.01
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Cash Conversion Cycle info
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-46.42
-197.90
68.26
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*TTM (Trailing Twelve Months) data based on income statement of last 4 quarters and interim half yearly balance sheet.
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