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HIVE Stock Annual Cash Flow. Download in Excel

HIVE Blockchain Technologies Ltd logo

HIVE Blockchain Technologies Ltd

Sector: Technology   

Industry: Communication Equipment

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USD
  
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Previous close:   Open: 2.86  Bid:   Ask: 2.85
52 week range    
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Mkt Cap: 381 M  Avg Vol (90 Days): 0
Last updated: Saturday 15th February 2025
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Financials

HIVE Cash Flow

Annual
Invalid dateMar-18Mar-19Mar-20Mar-21Mar-22Mar-23Mar-24
(Increase) Decrease in other current assets-8 M-4 M5 M-40 M117 M195 M93 M
(Increase) Decrease in payables-279744.02 M5 M-4 M-5 M
(Increase) Decrease in receivables-25 M25 M-8 M-6 M60014.0-5 M4 M
Acquisitions-7 M-1 M-237254.0
AssetImpairmentCharge91 M13 M98 M
CapitalExpenditureReported113 M2 M65 M79 M
Cash at beginning of period30912.015 M7 M5 M40 M5 M4 M
Cash at end of period15 M7 M5 M40 M5 M4 M10 M
Cash flow-25 M-2 M769511.024 M66 M45 M14 M
CashFlowFromContinuingInvestingActivities-113 M-7 M-2 M-67 M-212 M-41 M-78 M
ChangeInAccountPayable-1 M2 M5 M-4 M-5 M
ChangeInIncomeTaxPayable830742.0-757657.0
ChangeInPayablesAndAccruedExpense8 M-7 M-279744.02 M5 M-4 M-5 M
ChangeInTaxPayable830742.0-757657.053718.0
ChangeInWorkingCapital-25 M14 M-3 M-44 M123 M186 M91 M
ChangesInAccountReceivables-25 M25 M-8 M-6 M60014.0-5 M4 M
CommonStockPayments-11935.0
Current deferred income taxes227000.0-227000.0830742.02 M289000.06 M
Deferred income taxes227000.0-227000.0830742.02 M289000.06 M
Depreciation3 M29 M6 M11 M66 M
Depreciation unreconciled3 M29 M6 M11 M67 M82 M66 M
DepreciationAndAmortization3 M29 M6 M11 M67 M82 M66 M
Effect of exchange rate changes216040.0-280701.0-229186.032271.0-38273.0-201852.0-7000.0
FinancingCashFlow153 M1 M-341164.078 M111 M-5 M70 M
Free cash flow-25 M-2 M769511.024 M-64 M
GainLossOnInvestmentSecurities-1 M6 M837822.0
GainLossOnSaleOfBusiness23 M-3 M
GainLossOnSaleOfPPE-2 M1 M-1 M
IncomeTaxPaidSupplementalData151366.0687000.0
InterestPaidSupplementalData259726.0286047.02 M2 M
Issuance of capital stock150 M65 M34 M4 M56 M
Issuance of debt-117180.0
IssuanceOfCapitalStock150 M65 M34 M4 M56 M
IssuanceOfDebt-117180.0-670487.012 M-6 M-6 M-7 M
Net cash from financing activities153 M1 M-341164.078 M111 M-5 M70 M
Net cash from investing activities-113 M-7 M-2 M-67 M-212 M-41 M-78 M
Net cash from operating activities-25 M-2 M769511.024 M66 M45 M14 M
Net change in cash & cash equivalents15 M-8 M-2 M35 M-35 M-744233.05 M
Net income from continuing operations-26 M-138 M-2 M24 M80 M-236 M-51 M
NetBusinessPurchaseAndSale-7 M-1 M-237254.0
NetCapitalExpenditureDisposals-210 M-41 M-77 M
NetCommonStockIssuance150 M65 M34 M4 M56 M
NetForeignCurrencyExchangeGainLoss743559.0-3 M136014.0127000.0
NetInvestmentPropertiesPurchaseAndSale-187386.0-2 M-341000.0
NetInvestmentPurchaseAndSale-187386.0-2 M-341000.0
NetIssuancePaymentsOfDebt-117180.0-670487.012 M-6 M-6 M-7 M
NetLongTermDebtIssuance-670487.012 M-6 M-6 M-7 M
NetPPEPurchaseAndSale-113 M-2 M-65 M-210 M-41 M-77 M
Operating (gains) losses-1 M31 M-218 M-105 M-112 M
Other financing charges net-1.0-3 M-3 M
Other investing changes net-2 M-647000.0
Other non-cash items17 M122683.096258.0944195.09 M115 M3 M
ProceedsFromIssuanceOfWarrants84 M22 M
ProceedsFromStockOptionExercised3 M1 M329323.02 M2 M96000.0
Purchase of short term investments15 M
PurchaseOfInvestment-187386.0-2 M-341000.0
PurchaseOfLongTermInvestments-2 M-341000.0
PurchaseOfPPE-113 M-2 M-65 M-213 M-43 M-79 M
Repayment of debt-670487.0-3 M-6 M-6 M-7 M
RepaymentOfDebt-285449.0-670487.0-3 M-7 M
Repurchase of capital stock-11935.0
SaleOfPPE3 M2 M2 M
ShortTermDebtIssuance168269.0
ShortTermDebtPayments-285449.0
StockBasedCompensation5 M1 M686659.02 M7 M8 M7 M
UnrealizedGainLossOnInvestmentSecurities1 M-794350.0-10 M9 M-4 M
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