BTCS Inc. (BTCS)

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CIK 0001436229 · Nasdaq · Finance Services

  • Sector Finance & Real Estate
  • Incorporated NV
  • Fiscal year ends Dec 31

In fiscal 2025, BTCS Inc. reported revenue of $16.49M, up 304.8% from the prior year. The company ran a net loss, with a net margin of -202.2% and a gross margin of 12.2%. It held $214.63M in total assets against $75.22M in total liabilities.

Key ratios (FY2025)

12.2%
Gross margin
-202.2%
Net margin
-23.9%
Return on equity
+304.8%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$16.49M$4.07M$1.34M$1.69M$4.5K$355.2K
Cost of Revenue$14.48M$3.13M$359.8K$426.4K$268.3K
Gross Profit$2.01M$946.0K$979.9K$1.27M$944.9K$4.3K$91.3K
Operating Income-$990.2K-$1.57M-$1.46M
Net Income-$33.35M-$1.27M$7.82M-$15.89M-$16.05M-$2.56M-$1.64M-$826.4K-$45.46M-$44.27M
EPS (Diluted)$-1.00$-0.08$0.55$-1.25$-3.09
Total Assets$214.63M$38.25M$27.15M$9.92M$14.10M$1.55M$421.4K$63.2K$589.4K$98.1K
Total Liabilities$75.22M$4.25M
Shareholders' Equity$139.42M$34.00M$26.17M$14.32M$12.10M$1.04M-$183.8K-$256.0K$513.4K-$45.25M
Cash & Equivalents$1.53M$1.98M$1.46M$2.15M$1.40M$524.1K$143.1K$52.1K$303.3K$95.1K
Operating Cash Flow-$9.78M-$3.53M-$3.56M-$776.8K-$4.86M-$2.97M-$1.50M-$505.6K-$1.49M-$828.5K
Capital Expenditures$12.8K$2.6K$5.3K$5.4K$10.5K$2.6K$1.5K$14.6K
Shares Outstanding46.85M18.72M15.32M13.11M10.53M4.20M19.83M12.52M363.04M16.10M