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BETSF Bit Brother

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  • 0.730
  • +0.020+2.82%
15min DelayTrading May 30 09:30 ET
3.13MMarket Cap-1P/E (TTM)

Bit Brother Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2023
(FY)Jun 30, 2022
(FY)Jun 30, 2021
(FY)Jun 30, 2020
(FY)Jun 30, 2019
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-190.57%-11.07M
-1.76%-3.81M
-89.20%-3.74M
-15.81%-1.98M
-1.71M
Net income from continuing operations
-625.30%-96.81M
-62.25%-13.35M
-293.58%-8.23M
-124.05%-2.09M
---932.86K
Operating gains losses
4.31%229.08K
411.11%219.61K
71.66%-70.59K
77.12%-249.08K
---1.09M
Depreciation and amortization
866.75%4.63M
50.89%479.1K
35.78%317.51K
697.83%233.84K
--29.31K
Other non cash items
---1.77M
----
----
----
--455.53K
Change In working capital
128.16%82.24K
26.30%-292.03K
-423.00%-396.22K
141.62%122.67K
---294.7K
-Change in receivables
-7,670.80%-10.37K
-99.57%137
382.84%32.09K
91.25%-11.34K
---129.67K
-Change in inventory
184.73%302.97K
-2,313.23%-357.55K
1,874.94%16.16K
101.10%818
---74.14K
-Change in prepaid assets
-910.02%-45.44K
--5.61K
--0
197.03%57.38K
---59.14K
-Change in payables and accrued expense
-190.19%-247.03K
72,167.81%273.9K
100.61%379
-167.41%-61.87K
--91.78K
-Change in other current assets
-5,044.58%-1.7M
190.71%34.32K
-114.37%-37.84K
203.50%263.27K
---254.35K
-Change in other current liabilities
985.56%1.78M
44.90%-200.49K
-133.28%-363.88K
-219.24%-155.98K
--130.81K
-Change in other working capital
107.89%3.79K
-11.22%-47.96K
-241.84%-43.13K
--30.4K
----
Cash from discontinued investing activities
145.33%1.11M
-827.73%-2.45M
316.68%336.45K
-87.60%80.75K
651.06K
Operating cash flow
-59.13%-9.96M
-83.68%-6.26M
-79.52%-3.41M
-79.50%-1.9M
---1.06M
Investing cash flow
Cash flow from continuing investing activities
87.47%-9.3M
-194.86%-74.2M
-1,171.47%-25.16M
50.26%-1.98M
-3.98M
Net PPE purchase and sale
70.25%-14.27M
-438.23%-47.95M
-2,342.92%-8.91M
62.01%-364.71K
---959.99K
Net intangibles purchase and sale
--0
-514.08%-29.84K
---4.86K
--0
---78.62K
Net business purchase and sale
--0
50.07%-749.82K
42.46%-1.5M
-249.14%-2.61M
--1.75M
Net investment purchase and sale
--0
--0
97.17%1.96M
124.26%995.56K
---4.1M
Net other investing changes
119.51%4.97M
-52.39%-25.47M
---16.71M
----
---586.31K
Cash from discontinued investing activities
Investing cash flow
85.51%-10.45M
-168.55%-72.14M
-1,242.45%-26.86M
54.91%-2M
---4.44M
Financing cash flow
Cash flow from continuing financing activities
-89.72%7.06M
42.14%68.72M
964.79%48.35M
-52.79%4.54M
9.62M
Net common stock issuance
-90.60%7.06M
55.94%75.16M
961.47%48.19M
-52.79%4.54M
--9.62M
Proceeds from stock option exercised by employees
--0
---6.44M
--0
--0
----
Net other financing activities
----
----
--150.99K
----
----
Cash from discontinued financing activities
0
-124.59K
Financing cash flow
-89.72%7.06M
42.14%68.72M
964.79%48.35M
-52.17%4.54M
--9.49M
Net cash flow
Beginning cash position
-38.39%13.03M
298.34%21.16M
13.77%5.31M
385.68%4.67M
--961.28K
Current changes in cash
-37.88%-13.35M
-153.54%-9.68M
2,716.39%18.08M
-83.95%641.85K
--4M
Effect of exchange rate changes
265.14%5.68M
169.73%1.56M
-203,039.31%-2.23M
100.38%1.1K
---291.22K
End cash Position
-58.82%5.37M
-38.39%13.03M
298.34%21.16M
13.77%5.31M
--4.67M
Free cash flow
49.93%-27.16M
-340.24%-54.24M
-415.87%-12.32M
-13.96%-2.39M
---2.1M
Currency Unit
USD
USD
USD
USD
USD
Audit Opinions
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
(FY)Jun 30, 2023(FY)Jun 30, 2022(FY)Jun 30, 2021(FY)Jun 30, 2020(FY)Jun 30, 2019
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -190.57%-11.07M-1.76%-3.81M-89.20%-3.74M-15.81%-1.98M-1.71M
Net income from continuing operations -625.30%-96.81M-62.25%-13.35M-293.58%-8.23M-124.05%-2.09M---932.86K
Operating gains losses 4.31%229.08K411.11%219.61K71.66%-70.59K77.12%-249.08K---1.09M
Depreciation and amortization 866.75%4.63M50.89%479.1K35.78%317.51K697.83%233.84K--29.31K
Other non cash items ---1.77M--------------455.53K
Change In working capital 128.16%82.24K26.30%-292.03K-423.00%-396.22K141.62%122.67K---294.7K
-Change in receivables -7,670.80%-10.37K-99.57%137382.84%32.09K91.25%-11.34K---129.67K
-Change in inventory 184.73%302.97K-2,313.23%-357.55K1,874.94%16.16K101.10%818---74.14K
-Change in prepaid assets -910.02%-45.44K--5.61K--0197.03%57.38K---59.14K
-Change in payables and accrued expense -190.19%-247.03K72,167.81%273.9K100.61%379-167.41%-61.87K--91.78K
-Change in other current assets -5,044.58%-1.7M190.71%34.32K-114.37%-37.84K203.50%263.27K---254.35K
-Change in other current liabilities 985.56%1.78M44.90%-200.49K-133.28%-363.88K-219.24%-155.98K--130.81K
-Change in other working capital 107.89%3.79K-11.22%-47.96K-241.84%-43.13K--30.4K----
Cash from discontinued investing activities 145.33%1.11M-827.73%-2.45M316.68%336.45K-87.60%80.75K651.06K
Operating cash flow -59.13%-9.96M-83.68%-6.26M-79.52%-3.41M-79.50%-1.9M---1.06M
Investing cash flow
Cash flow from continuing investing activities 87.47%-9.3M-194.86%-74.2M-1,171.47%-25.16M50.26%-1.98M-3.98M
Net PPE purchase and sale 70.25%-14.27M-438.23%-47.95M-2,342.92%-8.91M62.01%-364.71K---959.99K
Net intangibles purchase and sale --0-514.08%-29.84K---4.86K--0---78.62K
Net business purchase and sale --050.07%-749.82K42.46%-1.5M-249.14%-2.61M--1.75M
Net investment purchase and sale --0--097.17%1.96M124.26%995.56K---4.1M
Net other investing changes 119.51%4.97M-52.39%-25.47M---16.71M-------586.31K
Cash from discontinued investing activities
Investing cash flow 85.51%-10.45M-168.55%-72.14M-1,242.45%-26.86M54.91%-2M---4.44M
Financing cash flow
Cash flow from continuing financing activities -89.72%7.06M42.14%68.72M964.79%48.35M-52.79%4.54M9.62M
Net common stock issuance -90.60%7.06M55.94%75.16M961.47%48.19M-52.79%4.54M--9.62M
Proceeds from stock option exercised by employees --0---6.44M--0--0----
Net other financing activities ----------150.99K--------
Cash from discontinued financing activities 0-124.59K
Financing cash flow -89.72%7.06M42.14%68.72M964.79%48.35M-52.17%4.54M--9.49M
Net cash flow
Beginning cash position -38.39%13.03M298.34%21.16M13.77%5.31M385.68%4.67M--961.28K
Current changes in cash -37.88%-13.35M-153.54%-9.68M2,716.39%18.08M-83.95%641.85K--4M
Effect of exchange rate changes 265.14%5.68M169.73%1.56M-203,039.31%-2.23M100.38%1.1K---291.22K
End cash Position -58.82%5.37M-38.39%13.03M298.34%21.16M13.77%5.31M--4.67M
Free cash flow 49.93%-27.16M-340.24%-54.24M-415.87%-12.32M-13.96%-2.39M---2.1M
Currency Unit USDUSDUSDUSDUSD
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