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DeFi Technologies Inc. (DEFT) 10-Year Financial Performance & Capital Metrics

DEFT • • Banking & Credit
Financial ServicesCapital MarketsFinancial Technology & Blockchain ServicesDeFi & Digital Asset Products
AboutDeFi Technologies Inc., a technology company, develops exchange traded products that synthetically track the value of a single DeFi protocol or a basket of protocols in Canada. The company offers asset management services, such as indirect exposure to underlying digital assets, digital asset indexes, or other decentralized finance instruments. It is also involved in early-stage investments in companies, banks, and foundations in the digital asset space; operation of a specialized arbitrage trading desk that focuses on identifying and capitalizing on low-risk arbitrage opportunities within the digital asset market; private research that produces research reports on digital assets; and provision of OTC desk and digital asset liquidity. The company was formerly known as Valour Inc. and changed its name to DeFi Technologies Inc. in July 2023. DeFi Technologies Inc. was incorporated in 1986 and is headquartered in Toronto, Canada.Show more
  • Net Interest Income -$4M
  • Total Revenue $98M +398.6%
  • Net Income -$39M -94.6%
  • Return on Equity -210.73% -119.5%
  • Net Interest Margin -0.29%
  • Efficiency Ratio 124.57% +0.9%
  • ROA -4.42% +29.5%
  • Equity / Assets 1.75% -43.7%
  • Book Value per Share 0.06 +2.9%
  • Tangible BV/Share -0.08 +27.1%
  • Debt/Equity 0.60 -80.2%
Technical Analysis

Key Insights

Based on financial data analysis

✓Strengths

  • ✓Diversified revenue: 100.0% from non-interest income

✗Weaknesses

  • ✗Weak Piotroski F-Score: 3/9
  • ✗Weak NIM of -0.3%
  • ✗High cost structure: 124.6% efficiency ratio
  • ✗Weak momentum: RS Rating 5 (bottom 5%)
  • ✗Thin capital base
  • ✗Shares diluted 61.9% in last year

* These insights are generated automatically based on available financial data. Please conduct your own research before making investment decisions.

Price & Volume

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Growth Metrics

Revenue CAGR

10Y-
5Y-
3Y111.34%
TTM-

Profit (Net Income) CAGR

10Y-
5Y-
3Y-
TTM-196.88%

EPS CAGR

10Y-
5Y-
3Y-
TTM-191%

ROCE

10Y Avg-74.09%
5Y Avg-74.09%
3Y Avg-94.98%
Latest-166.16%

Peer Comparison

DeFi & Digital Asset Products
Select Columns
Size & Scale
Valuation
Per Share
Growth
Profitability
Quality & Returns
Safety & Leverage
TTM Growth
Famous Investor Metrics
Dividends
Latest Quarter
Momentum & Returns
Total Return (DRIP)
Technical
Volume & Trading
Shares & Dilution
Sector-Specific
NameMarket CapCurrent PriceP/E RatioRevenue Growth 1YNet MarginROEFCF YieldDebt/Equity
CRCLCircle Internet Group16.58B76.6035.9615.57%9.29%-5.1%1.84%0.07
SUIGSUI Group Holdings Limited155.34M1.8710.3970.07%32.72%-10.67%3.64%
DEFTDeFi Technologies Inc.424.47M1.10-10398.65%-40%-77.25%0.60
BTCSBTCS Inc.135.32M2.87-36.70204.08%-31.21%24.15%

Profit & Loss

Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Net Interest Income+0-1.19M-4.01M0-3.87M
NII Growth %---2.38%1%-
Net Interest Margin %-----
Interest Income00000
Interest Expense01.19M4.01M03.87M
Loan Loss Provision0-1.19M-4.01M1.03M2.93M
Non-Interest Income+010.34M1.25M19.58M97.61M
Non-Interest Income %-----
Total Revenue+010.34M1.25M19.58M97.61M
Revenue Growth %---0.88%14.66%3.99%
Non-Interest Expense-1.63M55.89M48.48M24.17M121.6M
Efficiency Ratio-----
Operating Income+1.63M-45.55M-47.23M-5.62M-30.79M
Operating Margin %-----
Operating Income Growth %--29.01%-0.04%0.88%-4.48%
Pretax Income+1.63M-71.5M-65.9M-20.29M-39.04M
Pretax Margin %-----
Income Tax+00000
Effective Tax Rate %-----
Net Income+1.63M-71.5M-65.9M-20.07M-39.04M
Net Margin %-----
Net Income Growth %--44.97%0.08%0.7%-0.95%
Net Income (Continuing)1.63M-71.5M-65.9M-20.29M-39.04M
EPS (Diluted)+0.03-0.37-0.32-0.09-0.11
EPS Growth %--12.78%0.14%0.72%-0.22%
EPS (Basic)0.03-0.37-0.32-0.09-0.13
Diluted Shares Outstanding50.31M192.63M209.06M223.08M361.14M

Balance Sheet

Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Cash & Short Term Investments+782.5K1000K1000K1000K1000K
Cash & Due from Banks260.42K7.19M4.91M5.07M22.92M
Short Term Investments522.08K1000K17.23K1000K1000K
Total Investments+4.85M73.86M30.03M55.82M770.65M
Investments Growth %-14.23%-0.59%0.86%12.8%
Long-Term Investments4.33M8.05M30.02M32.82M242.39M
Accounts Receivables00001000K
Goodwill & Intangibles+-----
Goodwill036.64M46.71M35.21M49.34M
Intangible Assets017.04M5.58M2.67M2.1M
PP&E (Net)030.76K1.94M5.79K130
Other Assets01.25M53.36K485.06K480.87K
Total Current Assets1.39M297.53M109.7M375.03M1.03B
Total Non-Current Assets4.33M63M84.3M71.19M294.32M
Total Assets+5.72M360.54M194M446.22M1.32B
Asset Growth %-62.01%-0.46%1.3%1.96%
Return on Assets (ROA)0.28%-0.39%-0.24%-0.06%-0.04%
Accounts Payable695.54K288.52M111.25M389.7M1.26B
Total Debt+04.43K54.53M42.37M13.95M
Net Debt-260.42K-7.18M49.63M37.3M-8.98M
Long-Term Debt00000
Short-Term Debt0052.82M42.37M13.95M
Other Liabilities00000
Total Current Liabilities778.14K288.55M164.38M432.32M1.3B
Total Non-Current Liabilities04.43K1.71M00
Total Liabilities778.14K288.55M166.09M432.32M1.3B
Total Equity+4.94M71.98M27.91M13.9M23.15M
Equity Growth %-13.56%-0.61%-0.5%0.67%
Equity / Assets (Capital Ratio)-----
Return on Equity (ROE)0.33%-1.86%-1.32%-0.96%-2.11%
Book Value per Share0.100.370.130.060.06
Tangible BV per Share-----
Common Stock18.32M128.05M166.15M128.67M201.48M
Additional Paid-in Capital00000
Retained Earnings-17.7M-79.96M-167.48M-138.35M-221.77M
Accumulated OCI0189.07K-3M-1.25M3.25M
Treasury Stock00027.45K0
Preferred Stock3.39M3.39M4.32M3.26M4.32M

Cash Flow

Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Cash from Operations+-1.21M-326.92M-90.08M-69.74M-129.96M
Operating CF Growth %--268.9%0.72%0.23%-0.86%
Net Income1.63M-71.5M-65.9M-15.3M-39.04M
Depreciation & Amortization03.64M2.37M1.55M2.12M
Deferred Taxes00000
Other Non-Cash Items-2.1M-302.73M-46.89M-61.41M-109.16M
Working Capital Changes-739.77K1.63M4.45M3.22M-10.24M
Cash from Investing+-623.12K3.78M-2.67M014.55M
Purchase of Investments-573.71K0000
Sale/Maturity of Investments62.11K0000
Net Investment Activity-----
Acquisitions-111.52K3.86M0014.55M
Other Investing0-48.7K-1.26M00
Cash from Financing+2.1M332.01M88.06M71.32M131.08M
Dividends Paid00000
Share Repurchases0-13.43M-13.15M0-4.38M
Stock Issued2.1M9.61M1.55M3.41M0
Net Stock Activity-----
Debt Issuance (Net)001000K1000K-1000K
Other Financing0335.83M46.54M64.42M177.72M
Net Change in Cash+756.67K8.83M-4.25M1.37M16.2M
Exchange Rate Effect487.43K-39.85K436.55K-207.68K527.3K
Cash at Beginning3.67K332.07K9.16M3.7M6.73M
Cash at End760.34K9.16M4.91M5.07M22.92M
Interest Paid00000
Income Taxes Paid00000
Free Cash Flow+-1.21M-326.95M-91.49M-69.74M-129.96M
FCF Growth %--268.92%0.72%0.24%-0.86%

Banking Ratios

Metric20202021202220232024
Return on Equity (ROE)32.89%-185.88%-131.94%-95.99%-210.73%
Return on Assets (ROA)28.42%-39.04%-23.77%-6.27%-4.42%
Net Interest Margin0%-0.33%-2.07%0%-0.29%
Efficiency Ratio-540.46%3878.32%123.45%124.57%
Equity / Assets86.4%19.97%14.39%3.12%1.75%
Book Value / Share0.10.370.130.060.06
NII Growth---238.45%100%-

Frequently Asked Questions

Growth & Financials

DeFi Technologies Inc. (DEFT) grew revenue by 398.6% over the past year. This is strong growth.

DeFi Technologies Inc. (DEFT) reported a net loss of $90.9M for fiscal year 2024.

Dividend & Returns

DeFi Technologies Inc. (DEFT) has a return on equity (ROE) of -210.7%. Negative ROE indicates the company is unprofitable.

Industry Metrics

DeFi Technologies Inc. (DEFT) has a net interest margin (NIM) of -0.3%. NIM has been under pressure due to interest rate environment.

DeFi Technologies Inc. (DEFT) has an efficiency ratio of 124.6%. This is higher than peers, suggesting room for cost optimization.

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