Marathon Digital Holdings, Inc. (MARA.MX)

MXN 448.86

(-10.14%)

Annual Balance Sheets

(In USD)
Breakdown 2023 2022 2021 2020 2019 2018
Total Assets 1.99 Billion 1.19 Billion 1.44 Billion 313.25 Million 6.61 Million 5.19 Million
Total Current Assets 1.02 Billion 277.54 Million 688.15 Million 286.4 Million 1.49 Million 3.01 Million
Cash And Short Term Investments 357.31 Million 103.7 Million 492.3 Million 141.32 Million 692.96 Thousand 2.55 Million
Cash and Cash Equivalents 357.31 Million 103.7 Million 268.52 Million 141.32 Million 692.96 Thousand 2.55 Million
Short Term Investments - - 223.77 Million 2.27 Million 1141.00 -
Net Receivables 2.09 Million 18 Thousand 30 Million 74.76 Million - -
Inventory 7.24 Million 11.15 Million 34.45 Million 65.64 Million - -
Other Current Assets 663.15 Million 162.67 Million 131.39 Million 4.67 Million 801.16 Thousand 464 Thousand
Total Non-Current Assets 961.17 Million 917.69 Million 760.09 Million 26.84 Million 5.12 Million 2.17 Million
Net PPE 671.97 Million 274.1 Million 276.24 Million 17.42 Million 4.05 Million 1.03 Million
Good Will And Intangible Assets 242 Thousand 194.18 Thousand 931.22 Thousand 1 Million 1.07 Million 1.14 Million
Good Will - - - - - -
Intangible Assets 242 Thousand 194.18 Thousand 931.22 Thousand 1 Million 1.07 Million 1.14 Million
Long-Term Investments 106.29 Million 37 Million 3 Million - - -
Tax Assets - 537.51 Million - - - -
Other Non Current Assets 182.66 Million 68.87 Million 479.92 Million 8.41 Million - -
Other Assets - - - - - -
Total Liabilities 375.05 Million 809.3 Million 765.22 Million 1.5 Million 2.97 Million 2.27 Million
Total Current Liabilities 33.75 Million 26.11 Million 13.79 Million 1.44 Million 1.85 Million 2.27 Million
Account Payables 11.34 Million 1.31 Million 12.92 Million 999.74 Thousand 1.23 Million -
Tax Payables - - - - - -
Short Term Debt 124 Thousand 326 Thousand - 121.59 Thousand 87.95 Thousand 999.1 Thousand
Deferred Revenue - - - - 513.7 Thousand -
Other Current Liabilities 22.29 Million 24.47 Million 867.26 Thousand 322.43 Thousand 12.84 Thousand 1.27 Million
Total Non Current Liabilities 341.29 Million 783.18 Million 751.42 Million 62.5 Thousand 1.11 Million -
Long-Term Debt 326 Million 783.18 Million 728.4 Million 62.5 Thousand 1.11 Million -
Deferred Revenue Non Current - - - - - -
Deferred Tax Liabilities Non Current - - - - - -
Other Non Current Liabilities - - - - - -
Other Liabilities - - - - - -
Total Equity 1.61 Billion 385.94 Million 683.02 Million 311.74 Million 3.64 Million 2.92 Million
Stock Holders Equity 1.61 Billion 385.94 Million 683.02 Million 311.74 Million 3.64 Million 2.92 Million
Common Stock 24 Thousand 15 Thousand 10.27 Thousand 8197.00 846.00 2552.00
Retained Earnings -567.64 Million -840.33 Million -152.22 Million -116.05 Million -105.6 Million -102.09 Million
Accumulated other comprehensive income - - -450.71 Thousand -450.71 Thousand -450.71 Thousand -450.71 Thousand
Common Stock Equity 1.61 Billion 385.94 Million 683.02 Million 311.74 Million 3.64 Million 2.92 Million
Capital Lease Obligation 478 Thousand 1.34 Million - 121.59 Thousand 208.43 Thousand -
Total Investments 106.29 Million 37 Million 226.77 Million 2.27 Million 1141.00 -
Total Debt 326.13 Million 783.51 Million 728.4 Million 184.09 Thousand 1.2 Million 999.1 Thousand
Net Debt -31.18 Million 679.8 Million 459.88 Million -141.13 Million 514.58 Thousand -1.55 Million

Balance Sheet Charts