Mercurity Fintech Holding Inc.MFH

時価総額
PER
2015年
12月31日
2016年
12月31日
2017年
12月31日
2018年
12月31日
2019年
12月31日
2020年
12月31日
2021年
12月31日
2022年
12月31日
Net loss-93,570,188-25,293,145-161,898,979-123,239,785-1,225,300-1,651,273-20,746,131-5,634,971
Net loss from continuing operations-104,646,123-25,293,145-161,898,979-482,970-1,651,273-12,385,809-5,634,971
Provision for doubtful accounts---293,814---3,138
Asset Impairment Charges-----835,34423
Depreciation, Depletion and Amortization, Nonproduction5992---28,950
Stock-based compensation-----286,1328558,395
Loss from disposal of subsidiaries--------4,664
Other income/(expenses)--------23,318
Digital assets generated from mining business--------783,438
Disposal of digital assets-------998,902
Accounts receivable, net of allowance3-1,936,4611-2,753,9952-835,533-380,510-
Prepaid expenses and other current assets19-15,797,204-6,167,381-764,097-197,324717,8062-1,281,109
Right-of-use assets--------873,878
Deferred tax assets--------251,005
Accounts payable2------22,075
Advance from customers-------80,000
Increase (Decrease) in Accrued Liabilities17-8,612,603-906,516-2,949,49479,788-183,606-241,143-87,867
Lease liabilities-------904,132
Net cash (used in)/provided by continuing operations-10,731,755-5,826,386-9,873,748--925,798-595,676-3,618,695-582,423
Net cash used in discontinued operations-22,799,544---281,177--386,777-
Net cash used in operating activities-33,531,299-5,826,386-9,873,748-4,331,190-644,621-595,676-4,005,472-582,423
Purchase of fixed assets93,3172741,07913,064---7,222
Loan to affiliate person-------25,000
Net cash used in continuing operations-9,896,955-2,580,471-741,079-588,339-10,1483-32,222
Net cash provided by discontinued operations-1,999,364-------
Net cash (used in)/provided by investing activities-11,896,319-2,580,471-741,079-13,064588,339-10,1483-32,222
Issuance of common stock-----300,000713,0828
Borrowings------935,793400,000
Cash paid for debt------93,091579,875
Net cash provided by continuing operations53-13--300,00028
Net cash provided by discontinued operations2-----120,419-
Net cash provided by financing activities55-132-300,00028
Effect of Exchange Rate on Cash and Cash Equivalents----134,82045,3962,953-8,543
Effect of exchange rate changes by discontinued operations------403-
Effect of exchange rate changes------3,356-8,543
Increase/(decrease) in cash and cash equivalents----78,538-260,428268,5307