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CA:DIGIHOST

Digihost Technology Inc.

  • Stock

Last Close

2.56

22/11 20:59

Volume Today

15.85K

Avg: -

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Mar '20
Jun '20
Sep '20
Dec '20
Mar '21
Jun '21
Sep '21
Dec '21
Mar '22
Jun '22
Sep '22
Dec '22
Mar '23
Jun '23
Sep '23
Dec '23
Mar '24
Jun '24
Sep '24
net income
-765.82K
-
-1.29M
68.91%
-2.17M
67.90%
-959.58K
55.82%
72.96K
107.60%
-278.85K
482.21%
726.93K
360.69%
-231.69K
131.87%
59.50K
125.68%
20.86M
34,966.07%
-6.85M
132.84%
-9.74M
42.18%
-9.09M
6.66%
-3.31M
63.61%
201.63K
106.09%
-9.69M
4,903.48%
4.84M
150.02%
-4.77M
198.37%
-6.41M
34.57%
depreciation and amortization
363.29K
-
1.09M
200%
1.09M
0.00%
844.01K
22.56%
1.11M
31.49%
361.63K
67.41%
891.39K
146.49%
918.33K
3.02%
1.53M
66.78%
2.70M
76.47%
2.84M
5.03%
3.73M
31.28%
3.25M
12.71%
3.16M
2.73%
3.54M
11.94%
5.09M
43.59%
3.98M
21.71%
3.92M
-
deferred income tax
-40.44K
-
-1.34K
96.69%
-1.21K
9.71%
-592.16K
48,879.65%
259.26K
143.78%
-121.26K
146.77%
-1.46M
1,104.60%
1.84M
225.78%
368.77K
79.93%
-3.32M
999.10%
1.41M
142.51%
-13.05M
1,025.60%
10.69M
181.91%
5.35M
49.92%
-14.18M
365.01%
50.26K
-
stock based compensation
304.94K
-
603.26K
97.83%
298.32K
50.55%
41.03K
86.25%
1.17M
2,740.78%
2.61M
123.57%
2.77M
6.19%
1.27M
54.25%
764.39K
39.62%
873.19K
14.23%
846.35K
3.07%
812.31K
4.02%
401.50K
50.57%
481.67K
19.97%
333.69K
30.72%
403.92K
21.05%
246.26K
39.03%
503.74K
104.55%
516.37K
2.51%
change in working capital
-1.15M
-
-1.29M
12.86%
1.09M
183.85%
1.84M
69.73%
607.45K
67.02%
425.07K
30.02%
495.21K
16.50%
-501.35K
201.24%
-2.60M
417.97%
-4.54M
74.82%
1.19M
126.31%
4.76M
298.55%
132.57K
97.22%
1.01M
660.31%
1.45M
43.67%
-853.78K
158.96%
-98.94K
88.41%
-2.48M
-
accounts receivables
1.02M
-
-656.73K
-
-398.92K
39.26%
718.91K
280.22%
-983.38K
236.79%
-172.86K
82.42%
-7.59K
-
inventory
-1.02M
-
accounts payables
-196.59K
-
-1.60M
714.61%
171.27K
110.69%
1.70M
892.04%
713.23K
58.02%
690.68K
3.16%
599.76K
13.16%
-463.55K
-
-695.53K
-
other working capital
-2.40M
-
-2.94M
22.41%
1.02M
134.83%
3.06M
199.21%
76.06K
97.52%
716.18K
841.57%
129.41K
81.93%
129.60K
0.15%
-98.94K
176.34%
-1.78M
-
other non cash items
61.65K
-
19.94K
67.66%
18.42K
7.61%
-2.28M
12,475.29%
-4.50M
97.20%
-5.17M
15.09%
-6.89M
33.10%
-4.70M
31.72%
-9.39M
99.63%
-4.86M
48.21%
2.11M
143.46%
6.06M
187.01%
-2.36M
138.91%
-4.80M
103.66%
9.53M
298.39%
4.95M
48.03%
-7.35M
248.27%
4.26M
158.01%
-199.09K
104.67%
net cash provided by operating activities
-1.18M
-
-874.79K
26.04%
320.12K
136.59%
-512.44K
260.08%
-1.54M
200.63%
-2.06M
33.78%
-2.01M
2.63%
-3.25M
62.01%
-9.26M
184.82%
11.72M
226.59%
1.55M
86.78%
-7.42M
578.97%
3.02M
140.68%
1.89M
37.38%
875.84K
53.69%
-95.20K
110.87%
1.50M
1,679.67%
-4.66M
-
investments in property plant and equipment
-760.60K
-
-4.03M
429.19%
-19.51M
384.82%
-710.38K
96.36%
-9.68M
1,261.97%
-4.81M
50.24%
-4.07M
15.54%
-2.15M
47.14%
-3.66M
70.10%
-769.75K
78.94%
-2.07M
169.13%
-104.03K
94.98%
-62.35K
40.07%
acquisitions net
-4.60M
-
-150K
-
purchases of investments
1.33M
-
sales maturities of investments
other investing activites
-113.92K
-
-800K
-
2.00M
349.38%
-1.95M
197.74%
-1.20M
-
499.95K
141.66%
net cash used for investing activites
-874.52K
-
-4.03M
360.25%
-19.51M
384.82%
-710.38K
96.36%
-10.48M
1,374.59%
-2.82M
73.09%
-6.02M
113.39%
-2.15M
64.28%
-3.53M
64.19%
-4.87M
38.00%
-2.07M
57.46%
-104.03K
94.98%
-212.35K
104.12%
debt repayment
-28.85K
-
-86.56K
200%
-86.56K
0.00%
-56.40K
34.84%
-4.06M
7,101.24%
-86.99K
97.86%
-86.99K
0.00%
-2.39M
2,643.98%
-10.02M
-
-80.50K
99.20%
-9.88M
12,167.08%
-236.41K
97.61%
-429.84K
81.82%
-438.53K
2.02%
-603.85K
37.70%
-536.95K
11.08%
-277.82K
-
common stock issued
21.35M
-
28.91M
35.42%
-47.67K
-
8.29M
17,485.26%
2.47K
-
24.25K
881.98%
365.46K
1,407.37%
80.48K
77.98%
240.25K
198.51%
5.46K
-
4M
-
common stock repurchased
-38.83K
-
-95.40K
145.69%
-255.80K
168.12%
-209.97K
17.92%
-248.48K
-
-7.04K
97.17%
dividends paid
other financing activites
-70.85K
-
1.04M
1,560.82%
71.75K
93.07%
1.47M
1,945.66%
1.47M
0.39%
11.06M
-
1.25M
88.69%
-1.28M
202.67%
19.76M
1,639.40%
691.50K
96.50%
387.06K
-
5.46K
98.59%
net cash used provided by financing activities
-99.71K
-
948.49K
1,051.27%
-14.81K
101.56%
1.41M
9,629.89%
18.72M
1,226.70%
28.73M
53.44%
-342.79K
101.19%
-2.64M
671.51%
19.34M
831.44%
-9.02M
146.64%
-1.37M
84.83%
9.91M
823.87%
820.56K
91.72%
-349.36K
142.58%
-198.28K
43.24%
-216.80K
9.34%
-531.49K
145.15%
3.72M
-
effect of forex changes on cash
net change in cash
-1.28M
-
73.70K
105.75%
-88.35K
219.87%
24.42K
127.64%
13.16M
53,793.58%
7.16M
45.62%
-3.06M
142.76%
-16.37M
435.00%
7.26M
144.37%
-3.32M
145.64%
-1.97M
40.66%
-1.05M
46.84%
-1.03M
1.65%
-529.74K
48.51%
573.52K
208.26%
-524.35K
191.43%
972.39K
285.45%
-938.45K
-
cash at beginning of period
1.30M
-
21.48K
98.35%
95.18K
343.10%
6.83K
92.82%
31.25K
357.34%
13.19M
42,109.43%
20.35M
54.25%
17.29M
15.04%
915.72K
94.70%
8.18M
793.32%
4.86M
40.53%
2.90M
40.45%
1.85M
36.11%
821.84K
55.59%
292.10K
64.46%
865.62K
196.34%
341.27K
60.57%
1.31M
284.93%
1.53M
16.24%
cash at end of period
21.48K
-
95.18K
343.10%
6.83K
92.82%
31.25K
357.34%
13.19M
42,109.43%
20.35M
54.25%
17.29M
15.04%
915.72K
94.70%
8.18M
793.32%
4.86M
40.53%
2.90M
40.45%
1.85M
36.11%
821.84K
55.59%
292.10K
64.46%
865.62K
196.34%
341.27K
60.57%
1.31M
284.93%
1.31M
0%
588.61K
55.19%
operating cash flow
-1.18M
-
-874.79K
26.04%
320.12K
136.59%
-512.44K
260.08%
-1.54M
200.63%
-2.06M
33.78%
-2.01M
2.63%
-3.25M
62.01%
-9.26M
184.82%
11.72M
226.59%
1.55M
86.78%
-7.42M
578.97%
3.02M
140.68%
1.89M
37.38%
875.84K
53.69%
-95.20K
110.87%
1.50M
1,679.67%
-4.66M
-
capital expenditure
-760.60K
-
-4.03M
429.19%
-19.51M
384.82%
-710.38K
96.36%
-9.68M
1,261.97%
-4.81M
50.24%
-4.07M
15.54%
-2.15M
47.14%
-3.66M
70.10%
-769.75K
78.94%
-2.07M
169.13%
-104.03K
94.98%
-62.35K
40.07%
free cash flow
-1.18M
-
-874.79K
26.04%
320.12K
136.59%
-1.27M
497.68%
-5.57M
337.19%
-21.58M
287.66%
-2.72M
87.41%
-12.93M
375.73%
-14.07M
8.88%
7.66M
154.40%
-599.28K
107.83%
-11.08M
1,748.70%
2.25M
120.31%
-180.38K
108.02%
771.81K
527.89%
-157.55K
120.41%
1.50M
1,054.54%
-4.66M
-

All numbers in (except ratios and percentages)