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BTBT Stock Annual Balance Sheet. Download in Excel

Bit Digital Inc. logo

Bit Digital Inc.

Sector: Finance and Insurance   

Industry: Credit Card Issuing

2.65
 
USD
  
0.22
  
(9.05%)
Previous close: 2.43  Open: 2.49  Bid: 2.62  Ask: 2.65
52 week range    
1.69   
   5.74
Mkt Cap: 513 M  Avg Vol (90 Days): 14,130,742
Last updated: Sunday 8th June 2025

Stock Rankings

61
MarketXLS Rank
54
Technical
68
Quality
How are these ranks calculated?
Financials

BTBT Balance Sheet

Annual
Invalid dateDec-17Dec-18Dec-19Dec-20Dec-21Dec-22Dec-23Dec-24
Accounts payable1 M3 M4 M2 M17 M
Accounts receivable5 M
Accrued expenses469232.0403219.0266047.02 M4 M7 M12 M20 M
Accumulated depreciation & depletion-99477.0-173836.0-201300.0-3 M-13 M-28 M-37 M
Additional paid in capital12 M16 M18 M53 M183 M213 M291 M554 M
Cash and equivalents5 M2 M15988.0405133.042 M34 M17 M95 M
CashCashEquivalentsAndShortTermInvestments5 M2 M15988.0405133.043 M36 M17 M95 M
CashEquivalents5 M2 M15988.0405133.042 M1 M
Common par130000.0148992.0153992.0480438.010 M10 M10 M11 M
Common stock equity12 M12 M4 M38 M172 M90 M153 M463 M
CommonStock130000.0148992.0153992.0480438.0695914.0824856.01 M2 M
Construction in progress5 M
Cost in excess3 M19 M
CurrentAccruedExpenses433585.0355434.0266047.0191536.02 M4 M
CurrentCapitalLeaseObligation358372.02 M5 M
CurrentDeferredAssets2 M1 M
CurrentDeferredRevenue13 M31 M
CurrentDeferredTaxesAssets241803.093147.019 M
CurrentDeferredTaxesLiabilities302320.0810863.0824531.0462372.0-26 M
Deferred revenues462372.013 M31 M
Deposits2 M3 M2 M3 M400000.0
DividendsPayable800000.0
FinancialAssets110000.01 M
Float term debt336722.03 M3 M10 M
GoodwillAndOtherIntangibleAssets32 M
Gross fixed assets (Plant Property & Equipment)182999.0897613.0201300.033 M46 M50 M88 M166 M
IncomeTaxPayable35647.047785.01 M50973.02 M
Intangibles13 M
Invested capital12 M12 M4 M38 M174 M93 M153 M474 M
Leases7 M
LongTermCapitalLeaseObligation4 M9 M
LongTermDebtAndCapitalLeaseObligation3 M3 M4 M10 M
Machinery furniture & equipment81 M
Minority interest605111.0467156.0252333.0
Net fixed assets (net PP&E)83522.0723777.030 M32 M23 M88 M129 M
NetOtherUnrealizedGainLoss-545412.0
Non-current deferred income taxes112251.06 M
NonCurrentAccruedExpenses3 M
NonCurrentDeferredAssets302320.0810863.058081.02 M89246.0
NonCurrentDeferredLiabilities112251.06 M
NonCurrentDeferredRevenue73494.0
NonCurrentDeferredTaxesAssets302320.0810863.02 M241803.058081.09 M89246.0
NonCurrentNoteReceivables400000.0
NonCurrentPrepaidAssets2 M2 M11 M7 M
Notes payable570350.0559774.0
Other current assets9 M2 M498811.02 M3 M8 M48 M28 M
Other equity adjustments330706.0-33947.0-100185.0
Other fixed assets683627.030 M6 M122 M
Other non-current assets-45457.02 M3 M56005.07 M9 M183655.013 M
Other non-current liabilities-103 M5 M31 M
Other receivable258415.0142255.0529606.06 M51 M28 M14 M210729.0
OtherCapitalStock48 M
OtherCurrentLiabilities9 M7 M163546.0336722.022 M-1 M
OtherDeferredCosts982039.0
OtherInventories32 M
OtherPayable10 M94 M
Payables35647.047785.01 M3 M4 M12 M20 M
Preferred securities of subsidiary trust9 M9 M9 M9 M
PreferredStock9 M9 M9 M9 M
Prepaid expenses4 M3 M365350.03 M16 M
Properties41793.036343.0
Restricted cash600000.0600000.01 M4 M
Retained earnings-887732.0-4 M-14 M-16 M-20 M-131 M-147 M-100 M
Short term debt559774.0
TaxesReceivable736445.0
Total assets13 M12 M4 M40 M180 M100 M189 M538 M
Total current assets10 M6 M1 M9 M97 M64 M83 M297 M
Total current liabilities469232.0403219.0429593.02 M6 M7 M27 M55 M
Total equity12 M12 M4 M38 M172 M90 M153 M463 M
Total liabilities469232.0403219.0429593.02 M8 M10 M37 M75 M
Total non-current assets3 M6 M3 M31 M82 M36 M106 M241 M
Total non-current liabilities3 M3 M10 M20 M
TotalEquityGrossMinority12 M12 M4 M38 M172 M90 M153 M463 M
TotalEquityGrossMinorityInterest12 M12 M4 M38 M172 M90 M153 M463 M
TotalLiabilitiesAndTotalEquityGrossMinorityInterest13 M12 M5 M40 M180 M100 M189 M538 M
TotalNonCurrentLiabilitiesNetMinorityInteres3 M3 M10 M20 M
TotalTaxPayable35647.047785.01 M50973.02 M
Treasury stock-1 M-1 M-1 M-1 M
UnearnedIncome1 M43 M3 M
Working capital10 M5 M685206.07 M92 M57 M56 M242 M
debtc559774.02 M5 M
ltinv10 M8 M4 M31 M
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