v3.26.1
Consolidated Balance Sheets - USD ($)
$ in Thousands
Dec. 31, 2025
Dec. 31, 2024
Current assets:    
Cash and cash equivalents $ 27,761 $ 38,201
Restricted cash and cash equivalents 6,910
Digital assets 149,289 129,940
Digital asset collateral receivable 24,075 12,569
Accounts receivable, net 12,326 10,926
Prepayments 26,042 21,651
Inventory 145 246
Financial assets held for trading 521
Other current assets, net 9,358 11,710
Total current assets 324,536 265,269
Non-current assets:    
Property and equipment, net 20,672 55,981
Digital asset collateral receivable 47,827
Long term investment 177
Operating lease right of use assets, net 436
Goodwill 4,235
Deferred tax assets, net 7,524 8,601
Total non-current assets 33,044 112,409
Total assets 357,580 377,678
Current liabilities:    
Accounts payables 4,659 14,119
Contract liabilities 50,573 15,757
Long term loan-current portion 15,000
Accrued expenses and other payables 16,060 8,773
Obligation to return collateral digital assets 3,349 21,436
Taxes payable 1,792 2,229
Operating lease liabilities, current 251
Total current liabilities 98,487 63,893
Non-current liabilities:    
Long-term payable 94,364 101,301
Long-term loans 34,950
Deferred tax liabilities, net 14,928 15,072
Operating lease liabilities, non-current 197
Total non-current liabilities 109,489 151,323
Total liabilities 207,976 215,216
Commitments and contingencies (Note 23)
Shareholders’ equity*:    
Ordinary shares ($0.0001 par value; 500,000,000 shares authorized; 166,613,948 and 163,106,615 shares issued and outstanding as of December 31, 2025 and 2024, respectively) [1] 17 16
Additional paid-in capital [1] 97,166 84,276
Non-controlling interest [1] 5,503
Retained earnings [1] 46,918 78,170
Total shareholders’ equity [1] 149,604 162,462
Total liabilities and shareholders’ equity 357,580 377,678
Related Party    
Current assets:    
Amount due from related parties 75,019 33,116
Current liabilities:    
Amount due to a related party $ 6,803 $ 1,579
[1] The share and per share data has been retroactively restated to reflect the current capital structure of the Company.