CIFR stock

Cipher Mining Inc (CIFR) financials · rev $223.9M

Cipher Mining Inc (CIFR) rev $223.9M.

Cached annual income statement
LineFY2025FY2024FY2023
Revenue$223.9M$151.3M$126.8M
Cost of Revenue$81.2M$62.4M$50.3M
Gross Profit$142.7M$88.9M$76.5M
Operating Income-$421.6M-$43.7M-$20.1M
Net Income-$822.2M-$44.6M-$25.8M
EPS (Diluted)$-2.15$-0.14$-0.10
Cached annual balance sheet
LineFY2025FY2024FY2023FY2022
Total Assets$4.29B$855.4M$566.1M$418.5M
Current Assets$2.65B$168.2M$155.5M$47.7M
Cash & Equivalents$628.3M$5.6M$86.1M$11.9M
Inventory$0$0$0$0
PP&E$0$0$243.8M$191.8M
Total Liabilities$3.46B$173.5M$74.8M$75.6M
Current Liabilities$699.1M$131.8M$33.8M$40.3M
Short-term Debt$37.8M$32.3M$0$0
Long-term Debt$2.71B$0$0$0
Total Debt$0$0$0$0
Shareholders' Equity$805.5M$682.0M$491.3M$342.9M
Retained Earnings-$1.00B-$181.4M-$136.8M-$111.2M
Cached annual cash flow
LineFY2025FY2024FY2023
Operating Cash Flow-$207.9M-$87.5M-$94.2M
CapEx$487.9M$139.5M$20.5M
Investing Cash Flow-$336.6M-$192.1M$52.8M
Financing Cash Flow$3.19B$213.5M$115.7M
Dividends Paid$0$0$0
Net Change in Cash$2.64B-$66.1M$74.2M
Free Cash Flow-$695.9M-$227.0M-$114.7M

FAQ

What is CIFR P/E and revenue?

Cipher Mining Inc (CIFR) rev $223.9M.

What is CIFR revenue?

Cipher Mining Inc last cached revenue is $223.9M (FY2025).

Is CIFR profitable?

Cipher Mining Inc last cached net income is -$822.2M.

What are CIFR total assets?

Cipher Mining Inc last cached total assets are $4.29B.

What is CIFR free cash flow?

Cipher Mining Inc last cached free cash flow is -$695.9M.

Not investment advice. Cached statements, not a live tape.