Cipher Digital Inc.

CIFR ·Financial, Credit Services, United States
Financial Statements Cash Flow Statement
Annual Quarterly

Cash Flow Statement

Line Item FY2025 FY2024 FY2023 FY2022 FY2021
Operating Activities
Net Income $-822.2M $-44.6M $-25.8M $-39.1M $-72.2M
Depreciation & Amortization $199.0M $102.4M $59.1M $4.4M
Depreciation $199.0M $102.4M $59.1M $4.4M $5.0K
Amortization $600.0K $500.0K $0
Stock-Based Compensation $52.8M $42.1M $38.5M $41.5M $63.8M
Net Cash from Operating Activities $-207.9M $-87.5M $-94.2M $-20.9M $-31.7M
Investing Activities
Capital Expenditures $487.9M $139.5M $20.5M $39.2M $5.1M
Business Acquisitions
Net Cash from Investing Activities $-336.6M $-192.1M $52.8M $-173.9M $-120.1M
Financing Activities
Dividends Paid
Stock Repurchases $89.6M $27.6M $3.9M $3.1M $23.2M
Net Cash from Financing Activities $3.19B $213.5M $115.7M $-3.1M $361.6M
Net Change in Cash $2.64B $-66.1M $74.2M $-197.9M $209.8M
Free Cash Flow $-695.9M $-227.0M $-114.7M $-60.1M $-36.8M