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Bitmine Immersion Technologies

US · BMNR #1088 by market cap Listed 1970
24.66 -1.54 -5.88%
Live - 5344 symbols - heartbeat 128s ago · 2026-10-08 08:39
Pre-market 24.14 -2.11%
After-hours 24.76 +0.40%
Overnight 24.55 -0.45%
Market cap
14.88B
P/B
1.28
EPS
13.39
Reader sentiment Are you bullish or bearish on BMNR?

Anonymous reader poll. Unscientific, not investment advice.

✦ Quant Financial Health how this is computed

Good
  • Altman Z-Score is 87.27, above the 3.0 "safe zone" threshold.
  • Most reliable for industrial/manufacturing companies; less meaningful for banks, insurers and other financials.

Revenue annual, last 6 years

Latest year +84.14% YoY

Margins

Gross margin
5.09%
Operating margin
-5,949.68%
Net margin
5,384.10%

Key ratios & quality

Altman Z-Score below ~1.8 suggests financial distress risk, above ~3.0 suggests low risk; the model is most reliable for industrial/manufacturing companies and less meaningful for banks and other financial firms.

Income statement

Line item 2020 2021 2022 2023 2024 2025
Revenue --0427.67K645.28K3.31M6.10M
Gross profit --0-129.03K222.47K-163.00K310.00K
Selling & admin expenses 063.82K1.08M1.07M2.28M13.98M
Research & development ------------
Operating profit 0-131.82K-1.70M-2.31M-2.44M-362.63M
Pretax profit -1.56K-154.24K-2.01M-2.46M-3.29M440.87M
Tax --------092.30M
Net profit -1.56K-154.24K-2.01M-2.46M-3.29M348.58M
Basic EPS 00-1-1-114
Diluted EPS 0.00-0.40-1.00-1.00-1.3213.39

Balance sheet

Line item 2020 2021 2022 2023 2024 2025
Total current assets 1.93K218.74K888.95K879.46K1.55M513.01M
Cash & ST investments 1.93K218.74K392.55K270.55K499.00K512.00M
Inventory ------------
Total assets 1.93K646.03K7.97M8.20M7.28M8.80B
Total current liabilities 52.01K285.48K317.67K1.56M3.13M9.96M
Short-term debt 50.45K277.30K--1.30M1.63M--
Long-term debt ------------
Total liabilities 52,005.00285,482.00569,995.001,945,441.003,196,000.00102,256,000.00
Total equity -50.08K360.55K7.40M6.26M4.09M8.69B
Retained earnings -307.10K-461.33K-2.47M-4.93M-8.22M337.39M

Cash flow

Line item 2020 2021 2022 2023 2024 2025
Operating cash flow ---76.36K-1.63M-809.72K-30.00K-4.15M
Depreciation & amortization --03.13K470.71K924.00K761.00K
Free cash flow ---503.66K-4.40M-1.42M-106.00K-5.21M
Dividends paid ------------
Stock buybacks / issuance --493.62K1.81M--07.95B
Ending cash balance --218.74K392.55K270.55K499.00K512.00M

Returns & efficiency

Line item 2020 2021 2022 2023 2024 2025
ROE % ---99.36-27.08-36.08-63.657.55
ROA % -80.73-47.61-25.15-30.47-42.527.46
ROIC % ---41.31-23.15-29.47-46.407.55
5-year avg ROE % -----------48.64
EBIT margin % -----400.82-366.87-91.357,237.36
FCF / sales % ------------
Current ratio 0.040.772.800.560.4951.50
Quick ratio 0.040.772.780.410.2851.45
Debt / assets 2,613.8342.92--15.8522.32--
LT debt / equity ------------
Interest coverage 0.00-5.88-5.89-24.29-11.261,800.48
Revenue CAGR (3Y) % ----------142.45
Net income CAGR (3Y) % ------------
FCF CAGR (3Y) % ------------

Revenue breakdown most recent period

Business

Single segment100.00%

Quote time 2026-10-08 08:39:56 · For reference only, not investment advice and not tailored to your situation.