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BITFBitfarms Ltd.
$2.16$1.3B
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HomeStocksBITFQuarterly Cash Flow

Bitfarms Ltd. (BITF) Quarterly Cash Flow Statement

120+ quarters historyFree accessUpdated daily

Bitfarms Ltd. (BITF) quarterly cash flow statement — complete operating, investing & financing history

BITF Cash Flow Statement

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ1'26Q4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23
Cash from Operations-64.69M-73.65M-59.84M-74.53M-18.58M-154.67M-13.83M9.65M-31.29M13.57M7.56M1.44M
Operating CF Margin %-174.87%-478.78%-86.41%-95.79%-27.8%-275.39%-30.84%23.24%-62.18%29.35%21.84%4.07%
Operating CF Growth %-248.14%52.38%-332.64%-871.96%40.61%-1239.76%-283.05%569.02%-3140.72%-58.98%-49.34%-94.92%
Net Income-145.35M-141.18M-78.65M-28.84M-35.88M14.74M-36.65M-26.6M-5.98M-57.37M-16.51M-25.48M
Depreciation & Amortization27.69M22.45M33.48M37.01M29.69M24.58M28.83M48.58M38.98M21.79M21.77M20.53M
Stock-Based Compensation3.66M4.08M2.85M3.62M4.44M4.02M5.16M1.68M3.09M3.91M2.01M2.46M
Deferred Taxes05.52M-2.51M-8.64M5.63M-9.97M-1.25M1.96M-6.29M3.94M8.72M-94K
Other Non-Cash Items58.36M52.51M-18.11M-63.81M-50.25M-185.26M-15.52M-4.25M-60.77M38.52M-9.46M3.94M
Working Capital Changes-9.05M-17.04M3.11M-13.85M27.79M-2.78M5.59M-11.71M-323K2.79M1.02M89K
Change in Receivables-3.38M587K-213K-1.08M702K213K-737K-6.07K-15K443K-138K-645K
Change in Inventory-1.73M3.21M-547K-2.23M-429K-4K-101K-370K00-67K0
Change in Payables-2.65M-13.71M12.13M-11.14M12.72M-25.09M11.85M-3.11M550K2.97M99K-3.48M
Cash from Investing-54.84M-16.44M46.15M99.68M-25.65M90.47M-117.03M-75.28M-26.98M-22.97M-16.14M-15.7M
Capital Expenditures-10.32M-24.11M-9.35M-19.02M-47.82M-74.66M-111.06M-76.19M-77.94M-24.2M-18.13M-20.88M
CapEx % of Revenue27.91%156.73%13.51%24.44%71.53%132.94%247.61%183.39%154.89%52.33%52.4%58.84%
Acquisitions------------
Investments42.84M1.25M172.15M59.9M94.11M87.3M72.63M56.75M57.54M31.87M16.81M14.6M
Other Investing-44.53M242.9M6.19M906K2.14M10.66M-6.75M503K1.04M227K-2.14M4.91K
Cash from Financing-113.13M609.2M15.15M46.63M23.3M50.8M65.3M138.23M40.14M46.61M24.57M15.75M
Debt Issued (Net)------------
Equity Issued (Net)449K-27.65M4.48M-441.92K23.61M50.14M65.83M136.3M37.27M40.57M30.92M21.82M
Dividends Paid000000000000
Share Repurchases02K-9.96M000000000
Other Financing-109K682.39M11.44M444.92K0977K88K2.5M6.03M12.82M0115K
Net Change in Cash-216.19M519.01M1.51M71.89M-21M-13.37M-65.71M72.71M-18.08M37.26M15.88M1.51M
Free Cash Flow-75.01M-97.76M-69.19M-93.54M-66.4M-229.33M-124.89M-66.54M-109.22M-10.63M-10.57M-19.43M
FCF Margin %-202.78%-635.51%-99.92%-120.23%-99.33%-408.33%-278.45%-160.15%-217.07%-22.98%-30.56%-54.78%
FCF Growth %-12.97%57.37%44.6%-40.58%39.21%-2058.19%-1081.36%-242.39%-1443.8%-215.36%49.1%50.41%
FCF per Share-0.12-0.18-0.12-0.17-0.13-0.48-0.28-0.17-0.32-0.03-0.04-0.08
FCF Conversion (FCF/Net Income)0.45x0.53x0.74x2.58x0.52x-10.20x0.38x-0.36x5.23x-0.24x-0.46x-0.06x
Interest Paid000000000000
Taxes Paid000000000000