Discounted Cash Flow Rating
Strong Sell
Return on Equity Rating
Strong Sell
Debt to Equity Rating
Sell
Price to Earnings Rating
Strong Buy
Analyst Rating
Sell
Wall Street Data Solutions Rating
Neutral
B
HIVE Digital Technologies Ltd. Common Shares (HIVE)
https://www.hiveblockchain.com
HIVE Digital Technologies Ltd formerly HIVE Blockchain Technologies Ltd is in the business of providing infrastructure solutions in the blockchain industry. It focuses on the mining and sale of digital currencies. Its geographical segments include Canada, Sweden, Iceland, Switzerland, and Bermuda, out of which the majority of the revenue comes from Bermuda.
Current Price
---.--
% Change Today
0.00%
Change Amt. Today
0.00
Active Status
Active
Listing Date
07/01/2021
Market Cap
311,681,120
Shares Outstanding
87,630,000
Weighted SO
87,976,183
Total Employees
N/A
Upcoming Earnings
08/09/2024
Similar Tickers
Beta
4.3150
Last Div
0.0000
Range
2.18-5.74
Chg
0.0998
Avg Vol
4180454
Mkt Cap
311681120
Exch
NASDAQ
Country
CA
Phone
604 664 1078
DCF Diff
4.7040
DCF
-1.6040
Div Yield
0.0000
P/S
2.4715
EV Multiple
15.1045
P/FV
1.2075
Div Yield %
0.0000
P/E
-10.4115
PEG
-0.2644
Payout
0.0000
Current Ratio
7.3504
Quick Ratio
7.3504
Cash Ratio
0.9451
DSO
12.7271
DIO
0.0000
Op Cycle
12.7271
DPO
18.5165
CCC
-5.7894
Gross Margin
-0.1410
Op Margin
-0.3395
Pretax Margin
-0.2086
Net Margin
-0.2512
Eff Tax Rate
-0.2043
ROA
-0.0991
ROE
-0.1517
ROCE
-0.1464
NI/EBT
1.2043
EBT/EBIT
0.6145
EBIT/Rev
-0.3395
Debt Ratio
0.0721
D/E
0.0843
LT Debt/Cap
0.0418
Total Debt/Cap
0.0778
Int Coverage
-12.4529
CF/Debt
-1.1259
Equity Multi
1.1698
Rec Turnover
28.6790
Pay Turnover
19.7122
Inv Turnover
0.0000
FA Turnover
1.1745
Asset Turnover
0.3947
OCF/Share
-0.2344
FCF/Share
-0.9247
Cash/Share
1.7593
OCF/Sales
-0.2057
FCF/OCF
3.9455
CF Coverage
-1.1259
ST Coverage
-2.3338
CapEx Coverage
-0.3395
Div&CapEx Cov
-0.3395
P/BV
1.2075
P/B
1.2075
P/S
2.4715
P/E
-10.4115
P/FCF
-3.0452
P/OCF
-12.7149
P/CF
-12.7149
PEG
-0.2644
P/S
2.4715
EV Multiple
15.1045
P/FV
1.2075
DPS
0.0000
Latest Headlines (EST)
Revenue Product Segmentation
2019 | 2019 | 2020 | 2021 | 2023 | 2024 | 2024 | |
---|---|---|---|---|---|---|---|
Revenue | XXXXXXX | ▲ XXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▼ XXXXXXXX | ▲ 37.07M | ▼ 36.72M |
Cost Of Revenue | XXXXXXXX | ▼ XXXXXXX | ▲ XXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▲ 37.30M | ▼ 37.29M |
Gross Profit | -XXXXXXXX | ▲ XXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▼ -XXXXXXXX | ▲ -229.00K | ▼ -572.43K |
Gross Profit Ratio | -X.XXXXXXXXXX | ▲ X.XXXXXXXXXX | ▲ X.XXXXXXXXXX | ▼ X.XXXXXXXXXX | ▼ -X.XXXXXXXXXX | ▲ -0.01 | ▼ -0.02 |
Research And Development Expenses | XXXXXXX | ▼ X | X | X | X | 0.00 | 0.00 |
General And Administrative Expenses | XXXXXXX | ▼ XXXXXXX | ▼ XXXXXXX | ▲ XXXXXXX | ▲ XXXXXXX | ▼ 3.10M | ▼ 2.75M |
Selling And Marketing Expenses | XXXXXXXX | ▼ X | X | ▲ XXXXXX | ▲ XXXXXX | ▲ 319.00K | ▲ 341.00K |
Selling General And Administrative Expenses | XXXXXXX | ▼ XXXXXXX | ▼ XXXXXXX | ▲ XXXXXXX | ▲ XXXXXXX | ▼ 3.42M | ▲ 3.76M |
Other Expenses | XXXXXXXX | ▼ X | X | X | ▲ XXXXXXX | ▼ 47.00K | ▼ -1.84M |
Operating Expenses | XXXXXXX | ▼ XXXXXXX | ▼ XXXXXXX | ▲ XXXXXXX | ▲ XXXXXXXX | ▼ 7.93M | ▼ 5.60M |
Cost And Expenses | XXXXXXXX | ▼ XXXXXXX | ▲ XXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▲ 45.23M | ▼ 42.88M |
Interest Income | X | X | X | X | ▲ XXXXXXX | ▼ 0.00 | 0.00 |
Interest Expense | XXXXXX | ▼ X | ▲ XXXXXX | ▲ XXXXXXX | ▼ XXXXXXX | ▼ 843.00K | ▲ 997.00K |
Depreciation And Amortization | XXXXXXX | ▼ XXXXXXX | ▲ XXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▼ 16.42M | ▲ 16.82M |
Ebitda | XXXXXXX | ▼ -XXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▼ -XXXXXXX | ▲ 8.31M | ▲ 10.65M |
Ebitda Ratio | X.XXXXXXXXXX | ▼ -X.XXXXXXXXXX | ▲ X.XXXXXXXXXX | ▲ X.XXXXXXXXXX | ▼ -X.XXXXXXXXXX | ▲ 0.22 | ▲ 0.29 |
Operating Income | -XXXXXXXX | ▲ XXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▼ -XXXXXXXX | ▲ -8.11M | ▲ -6.17M |
Operating Income Ratio | -X.XXXXXXXXX | ▲ X.XXXXXXXXX | ▲ X.XXXXXXXXX | ▲ X.XXXXXXXXX | ▼ -X.XXXXXXXXX | ▲ -0.22 | ▲ -0.17 |
Total Other Income Expenses Net | -XXXXXXXX | ▲ XXXXXXX | ▼ XXXXXXX | ▲ XXXXXXXX | ▼ -XXXXXXXX | ▲ 3.80M | ▼ 3.74M |
Income Before Tax | -XXXXXXXX | ▲ XXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▼ -XXXXXXXX | ▲ -5.20M | ▲ -2.43M |
Income Before Tax Ratio | -XX.XXXXXXXXXX | ▲ X.XXXXXXXXXX | ▲ X.XXXXXXXXXX | ▲ X.XXXXXXXXXX | ▼ -X.XXXXXXXXXX | ▲ -0.14 | ▲ -0.07 |
Income Tax Expense | -XXXXX | ▼ -XXXXXXX | ▲ XXXXXX | ▲ XXXXXXX | ▼ -XXXXXX | ▲ 1.75M | ▼ 1.01M |
Net Income | -XXXXXXXX | ▲ XXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▼ -XXXXXXXX | ▲ -6.95M | ▲ -3.44M |
Net Income Ratio | -XX.XXXXXXXXXX | ▲ X.XXXXXXXXXX | ▲ X.XXXXXXXXXX | ▲ X.XXXXXXXXXX | ▼ -X.XXXXXXXXXX | ▲ -0.19 | ▲ -0.09 |
Eps | -X.XX | ▲ X.XX | ▲ X.XX | ▲ X.XX | ▼ -X.XX | ▲ -0.08 | ▲ -0.03 |
Eps Diluted | -X.XX | ▲ X.XX | ▲ X.XX | ▲ X.XX | ▼ -X.XX | ▲ -0.08 | ▲ -0.03 |
Weighted Average Shs Out | XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▲ 88.25M | ▲ 106.08M |
Weighted Average Shs Out Dil | XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▲ 88.25M | ▲ 106.08M |
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2019 | 2019 | 2020 | 2021 | 2023 | 2024 | 2024 | |
---|---|---|---|---|---|---|---|
Cash And Cash Equivalents | XXXXXXX | ▼ XXXXXXX | ▼ XXXXXX | ▲ XXXXXXXX | ▼ XXXXXXX | ▲ 17.82M | ▼ 9.67M |
Short Term Investments | XXXXXXXX | ▼ XXXXXXX | ▼ XXXXXX | ▲ XXXXXXXX | ▼ XXXXXXX | ▲ 6.90M | ▲ 168.45M |
Cash And Short Term Investments | XXXXXXX | ▼ XXXXXXX | ▼ XXXXXXX | ▲ XXXXXXXX | ▼ XXXXXXXX | ▲ 24.72M | ▲ 178.11M |
Net Receivables | XXXXXX | ▲ XXXXXXX | ▲ XXXXXXXX | ▼ XXXXXXX | ▲ XXXXXXXX | ▼ 8.19M | ▼ 6.92M |
Inventory | XXXXXXXX | ▼ XXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXXX | ▼ XXXXXXXX | ▲ 71.89M | ▲ 161.65M |
Other Current Assets | XXXXXXXX | ▼ XXXXXXX | ▲ XXXXXXXX | ▼ XXXXXXX | ▲ XXXXXXXX | ▲ 80.09M | ▼ -161.65M |
Total Current Assets | XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXXX | ▼ XXXXXXXX | ▲ 104.81M | ▲ 185.04M |
Property Plant Equipment Net | XXXXXXXX | ▼ XXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXXX | ▼ XXXXXXXXX | ▼ 100.88M | ▲ 119.64M |
Goodwill | XXXXXX | ▼ X | ▲ XXXXXX | ▼ X | X | 0.00 | 0.00 |
Intangible Assets | X | ▲ XXXXXXX | ▼ X | ▲ XXXXXXXX | ▼ XXXXXX | ▼ 0.00 | 0.00 |
Goodwill And Intangible Assets | XXXXXX | ▲ XXXXXXX | ▼ XXXXXX | ▲ XXXXXXXX | ▼ XXXXXX | ▼ 0.00 | 0.00 |
Long Term Investments | XXXXXXXX | ▼ X | ▲ XXXXXX | ▼ X | ▲ XXXXXXX | ▼ 2.35M | ▲ 2.59M |
Tax Assets | XXXXXXX | ▼ X | ▼ -XXXXXX | ▲ X | ▼ -XXXXXXX | ▲ 0.00 | 0.00 |
Other Non Current Assets | -XXXXXXXX | ▲ X | ▲ XXXXXXXX | ▲ XXXXXXXX | ▼ XXXXXXXX | ▲ 23.19M | ▼ 1.00 |
Total Non Current Assets | XXXXXXXX | ▼ XXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXXX | ▼ XXXXXXXXX | ▲ 126.42M | ▼ 122.23M |
Other Assets | X | ▼ -X | -X | -X | ▲ X | 0.00 | ▲ 1.00 |
Total Assets | XXXXXXXX | ▼ XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXXX | ▼ XXXXXXXXX | ▲ 231.24M | ▲ 307.26M |
Account Payables | XXXXXXX | ▲ XXXXXXX | ▲ XXXXXXX | ▲ XXXXXXXX | ▼ XXXXXXX | ▼ 8.16M | ▼ 7.46M |
Short Term Debt | XXXXXXX | ▲ XXXXXXX | ▲ XXXXXXX | ▼ XXXXXXX | ▲ XXXXXXXX | ▲ 13.06M | ▼ 12.59M |
Tax Payables | XXXXXXX | ▼ X | ▲ XXXXXX | ▼ X | ▲ XXXXXXX | ▲ 4.98M | ▼ 4.14M |
Deferred Revenue | XXXXXXXX | ▼ -XXXXXXX | ▲ X | ▼ -XXXXX | ▲ X | 0.00 | ▲ 4.14M |
Other Current Liabilities | -XXXXXXXX | ▲ XXXXXX | ▲ XXXXXX | ▼ X | ▲ XXXXXXX | ▲ 8.63M | ▼ 3.13M |
Total Current Liabilities | XXXXXXX | ▲ XXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▲ 29.85M | ▼ 27.32M |
Long Term Debt | -XXXXXXXX | ▲ XXXXXX | ▲ XXXXXXX | ▲ XXXXXXXX | ▼ XXXXXXXX | ▼ 19.81M | ▼ 12.26M |
Deferred Revenue Non Current | XXXXXXXX | ▼ X | X | X | X | 0.00 | ▲ 5.72M |
Deferred Tax Liabilities Non Current | XXXXXX | ▼ X | X | X | X | ▲ 1.18M | ▲ 2.41M |
Other Non Current Liabilities | XXXXXXX | ▼ X | X | ▲ XXXXXXX | ▼ XXXXX | ▲ 337.00K | ▼ 119.88K |
Total Non Current Liabilities | XXXXXX | ▲ XXXXXX | ▲ XXXXXXX | ▲ XXXXXXXX | ▼ XXXXXXXX | ▼ 21.33M | ▼ 20.52M |
Other Liabilities | X | X | X | X | X | 0.00 | 0.00 |
Capital Lease Obligations | X | ▲ XXXXXX | ▲ XXXXXXX | ▼ XXXXXXX | ▲ XXXXXXXX | ▼ 8.98M | ▼ 5.72M |
Total Liabilities | XXXXXXX | ▲ XXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▼ XXXXXXXX | ▲ 51.18M | ▼ 47.84M |
Preferred Stock | X | X | X | X | X | 0.00 | 0.00 |
Common Stock | XXXXXXXXX | ▲ XXXXXXXXX | ▲ XXXXXXXXX | ▲ XXXXXXXXX | ▲ XXXXXXXXX | ▲ 451.34M | ▲ 498.69M |
Retained Earnings | -XXXXXXXXX | ▼ -XXXXXXXXX | ▲ -XXXXXXXXX | ▲ XXXXXXX | ▼ -XXXXXXXXX | ▼ -344.42M | ▼ -347.51M |
Accumulated Other Comprehensive Income Loss | XXXXXXX | ▼ XXXXXXX | ▲ XXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▲ 54.17M | ▲ 108.24M |
Other Total Stockholders Equity | X | X | X | ▲ XXXXXXXX | ▼ X | ▲ 18.96M | ▼ 0.00 |
Total Stockholders Equity | XXXXXXXX | ▼ XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXXX | ▼ XXXXXXXXX | ▲ 180.05M | ▲ 259.42M |
Total Equity | XXXXXXXX | ▼ XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXXX | ▼ XXXXXXXXX | ▲ 180.05M | ▲ 259.42M |
Total Liabilities And Stockholders Equity | XXXXXXXX | ▼ XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXXX | ▼ XXXXXXXXX | ▲ 231.24M | ▲ 307.26M |
Minority Interest | X | X | X | X | X | 0.00 | 0.00 |
Total Liabilities And Total Equity | XXXXXXXX | ▼ XXXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXXX | ▼ XXXXXXXXX | ▲ 231.24M | ▲ 307.26M |
Total Investments | XXXXXXXX | ▼ XXXXXXX | ▼ XXXXXX | ▲ XXXXXXXX | ▼ XXXXXXX | ▲ 6.90M | ▲ 171.04M |
Total Debt | XXXXXXX | ▲ XXXXXXX | ▲ XXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▼ 32.87M | ▼ 30.57M |
Net Debt | -XXXXXXX | ▲ -XXXXXXX | ▲ XXXXXXX | ▼ -XXXXXXXX | ▲ XXXXXXXX | ▼ 15.05M | ▲ 20.90M |
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2019 | 2019 | 2020 | 2021 | 2023 | 2024 | 2024 | |
---|---|---|---|---|---|---|---|
Net Income | -XXXXXXXX | ▲ XXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▼ -XXXXXXXX | ▲ -6.95M | ▲ -3.44M |
Depreciation And Amortization | XXXXXXX | ▼ XXXXXXX | ▲ XXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▼ 16.42M | ▲ 16.82M |
Deferred Income Tax | XXXXXX | ▼ X | ▼ -XXXX | ▼ -XXXXXXXX | ▲ -XXXXXX | ▲ 6.68M | ▼ 2.22M |
Stock Based Compensation | XXXXXX | ▼ XXXXX | ▼ X | ▲ XXXXXXX | ▲ XXXXXXX | ▼ 633.00K | ▼ 599.00K |
Change In Working Capital | XXXXXXX | ▼ -XXXXXXX | ▲ -XXXXXXX | ▼ -XXXXXXXX | ▲ XXXXXXXX | ▲ 26.04M | ▼ -1.79M |
Accounts Receivables | XXXXXXX | ▼ -XXXXXXX | ▲ -XXXXXXX | ▲ -XXXXXX | ▼ -XXXXXXX | ▲ 564.30K | ▲ 3.94M |
Inventory | -XXXXXXX | ▲ X | X | X | X | 0.00 | 0.00 |
Accounts Payables | XXXXXXX | ▼ X | ▲ XXXXXXX | ▲ XXXXXXX | ▼ -XXXXXX | ▲ 1.04M | ▼ -5.72M |
Other Working Capital | XXXXXXX | ▼ -XXXXXX | ▼ -XXXXXXX | ▼ -XXXXXXXX | ▲ XXXXXXXX | ▲ 24.44M | ▼ 0.00 |
Other Non Cash Items | XXXXXXXX | ▼ XXXXX | ▲ XXXXXX | ▲ XXXXXXX | ▲ XXXXXXXX | ▼ -30.97M | ▲ -1.18M |
Net Cash Provided By Operating Activities | -XXXXXXX | ▲ -XXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▼ XXXXXXXX | ▼ 11.85M | ▼ -22.80M |
Investments In Property Plant And Equipment | XXXXXXXX | ▼ X | ▼ -XXXXXXXX | ▼ -XXXXXXXX | ▲ -XXXXXXXX | ▼ -37.94M | ▲ -15.01M |
Acquisitions Net | XXXXXXX | ▼ X | X | ▼ -XXXX | ▲ X | ▼ -648.15K | ▲ 1.55M |
Purchases Of Investments | -XXXXXXXX | ▲ X | X | ▼ -XXXX | ▲ X | ▼ -1.64K | ▼ -90.21K |
Sales Maturities Of Investments | XXXXXXXX | ▼ X | X | X | X | ▲ 649.79K | ▼ 0.00 |
Other Investing Activities | -XXXXXXX | ▲ X | ▼ -XXXXXX | ▲ X | X | ▼ -638.00K | ▲ 0.00 |
Net Cash Used For Investing Activities | XXXXXXXX | ▼ X | ▼ -XXXXXXXX | ▼ -XXXXXXXX | ▲ -XXXXXXXX | ▼ -38.58M | ▲ -13.55M |
Debt Repayment | X | X | ▼ -XXXXXX | ▼ -XXXXXXX | ▲ -XXXXXX | ▼ -1.86M | ▲ -1.15M |
Common Stock Issued | -XXXXXX | ▲ X | X | ▲ XXXXXXXX | ▼ XXXXXXX | ▲ 21.53M | ▲ 27.11M |
Common Stock Repurchased | -XXXXXXX | ▲ X | X | X | X | 0.00 | 0.00 |
Dividends Paid | X | X | X | X | X | 0.00 | 0.00 |
Other Financing Activities | XXXXXXX | ▼ X | ▲ XXXXXX | ▲ XXXXXXXX | ▼ -XXXXXXX | ▲ 20.28M | ▼ 0.00 |
Net Cash Used Provided By Financing Activities | XXXXX | ▼ X | ▼ -XXXXXX | ▲ XXXXXXXX | ▼ XXXXXXX | ▲ 39.95M | ▼ 25.21M |
Effect Of Forex Changes On Cash | XXXXXX | ▲ XXXXXX | ▲ XXXXXX | ▲ XXXXXXX | ▼ XXXXX | ▲ 57.00K | ▼ -46.00K |
Net Change In Cash | -XXXXXXX | ▲ -XXXXXXX | ▼ -XXXXXXX | ▲ XXXXXXXX | ▼ XXXXXX | ▲ 13.28M | ▼ -8.06M |
Cash At End Of Period | XXXXXXX | ▼ XXXXXXX | ▼ XXXXXX | ▲ XXXXXXXX | ▼ XXXXXXX | ▲ 17.82M | ▼ 9.67M |
Cash At Beginning Of Period | XXXXXXXX | ▼ XXXXXXX | ▼ XXXXXXX | ▼ XXXXXXX | ▲ XXXXXXX | ▼ 4.54M | ▲ 17.73M |
Operating Cash Flow | -XXXXXXX | ▲ -XXXXXXX | ▲ XXXXXXXX | ▲ XXXXXXXX | ▼ XXXXXXXX | ▼ 11.85M | ▼ -22.80M |
Capital Expenditure | XXXXXXXX | ▼ X | ▼ -XXXXXXXX | ▼ -XXXXXXXX | ▲ -XXXXXXXX | ▼ -37.94M | ▲ -15.01M |
Free Cash Flow | XXXXXXXX | ▼ -XXXXXXX | ▼ -XXXXXXX | ▼ -XXXXXXXX | ▲ -XXXXXX | ▼ -26.09M | ▼ -37.81M |
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