Created by potrace 1.16, written by Peter Selinger 2001-2019
beatandraise
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Argo Blockchain Plc
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Created by potrace 1.16, written by Peter Selinger 2001-2019
beatandraise.com
Created by potrace 1.16, written by Peter Selinger 2001-2019
beatandraise.com
beta
Latest Financials
Filings:
Category
Date
Search Filings
Institutional Holders
beta
Earnings Transcripts
beta
Global Search
SEC Edgar
Argo Blockchain Plc
SIC 6199 · Finance Services
Notes
Support
about
terms
Created by potrace 1.16, written by Peter Selinger 2001-2019
beatandraise.com
beta
Latest Financials
Filings:
Category
Date
Search Filings
Institutional Holders
beta
Earnings Transcripts
beta
Global Search
SEC Edgar
Argo Blockchain Plc
SIC 6199 · Finance Services
Notes
Support
about
terms
$
ARBK
Argo Blockchain Plc
CIK:
0001841675
|
SEC Filings
Income Statement
Cash Flow
Balance Sheet
v3.26.1
GROUP STATEMENT OF COMPREHENSIVE INCOME - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
GROUP STATEMENT OF COMPREHENSIVE INCOME
Revenues
$ 15,521
$ 47,017
$ 50,558
Power and hosting costs
(12,629)
(32,887)
(35,964)
Power Credits
1,498
7,163
Depreciation - mining hardware
(2,605)
(14,171)
(18,656)
Gross profit/(loss)
287
1,457
3,101
Operating Costs
(11,050)
(12,536)
(18,949)
Gain on hedging
(487)
Share based payment charge
(2,636)
(3,759)
(3,892)
Operating profit/(loss)
(13,399)
(15,325)
(19,740)
Gain/(loss) on sale of investments
(842)
36
Write off of investment
(2,236)
Gain/(loss) on disposal of fixed assets
634
(429)
Investment fair value movement
(300)
Finance costs
(4,202)
(6,810)
(11,556)
Other income
157
708
346
Impairment of tangible fixed assets
(609)
(31,498)
(855)
Gain/(Loss) on disposal of intangible assets
98
(98)
1,166
Impairment of intangible assets
(121)
(468)
(1,082)
Equity accounted loss from associate
(716)
Gain on extinguishment of debt
22,414
Profit/(loss) before taxation
4,672
(54,762)
(34,637)
Tax credit/(expense)
412
(340)
Profit/(loss) after taxation
5,084
(55,102)
(34,637)
Other comprehensive income
Currency translation reserve
(490)
(241)
(1,175)
Total other comprehensive profit/(loss)
(490)
(241)
(1,175)
Total comprehensive profit/(loss) attributable to the equity holders of the Company
$ 4,594
$ (55,343)
$ (35,812)
Profit/(loss) per share attributable to equity owners (cents)
Basic earnings/(loss) per share
$ 0.0023
$ (0.09)
$ (0.07)
Diluted earnings/(loss) per share
$ 0.0023
$ (0.09)
$ (0.07)
v3.26.1
GROUP STATEMENT OF CASHFLOWS - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Cash flows from operating activities
Loss before tax
$ 4,672
$ (54,762)
$ (34,637)
Adjustments for:
Depreciation and amortisation
3,146
14,909
20,129
Foreign exchange movements
(196)
(458)
(1,914)
Loss on disposal of tangible assets
(634)
429
Finance cost
4,202
6,810
11,556
Loss on sale of subsidiary and investment
842
(36)
Revenue from digital assets
(15,521)
(47,017)
(50,558)
Impairment of intangible digital assets
122
468
654
Impairment of property, plant and equipment
610
31,498
855
Write off of investment
2,236
Share of loss from associate
716
Gain/(loss) on disposal and impairment of intangible assets (current)
(54)
98
(738)
Hedging (gain)/Loss
487
Interest received
(92)
(307)
Stock based compensation expense
2,648
3,759
3,892
Gain on extinguishment of debt
(22,413)
Gain on disposal of intangible fixed assets (non current)
(1)
Fair value movements on digital assets held
(42)
Fair value loss on investment
300
Working capital changes:
(Increase)/decrease in trade and other receivables
1,247
756
(1,152)
Increase/(decrease) in trade and other payables
(2,999)
(2,310)
1,041
Net cash generated from operating activities
(25,006)
(44,798)
(47,956)
Investing activities
Interest received
15
307
Purchase of hedging instruments
(1,000)
Proceeds from sale of hedging instruments
487
Proceeds from sale of digital assets
15,427
47,594
51,866
Proceeds from sale of investment/subsidiary
6,745
50
Purchase of tangible fixed assets
(126)
(1,112)
Proceeds from disposal of intangible fixed assets
31
Proceeds from disposal of tangible fixed assets
2,278
891
Net cash used in investing activities
17,625
55,024
50,804
Financing activities
Increase in loans
1,287
1,429
Proceeds from borrowings
5,253
Loan repayments
(399)
(26,242)
(14,064)
Interest paid
(1,889)
(6,224)
(10,661)
Proceeds from common stock issued - net of issue costs
(1,913)
21,855
7,518
Net cash (used in) generated from financing activities
1,052
(9,324)
(15,778)
Net (decrease) increase in cash and cash equivalents
(6,329)
902
(12,930)
Effect of foreign exchange on cash and cash equivalents
(93)
281
281
Cash and cash equivalents at beginning of period
8,626
7,443
20,092
Cash and cash equivalents at end of period
2,204
8,626
7,443
Material non-cash movements:
Recognition of right of use assets and corresponding lease liabilities
1,910
Tangible fixed assets acquired through the issue of equity
9,469
Intangible fixed assets acquired through the issue of equity
5,400
Total Material non-cash movements
66,786
Group - net debt reconciliation
Current loans and borrowings
1,598
(20)
(14,320)
Non-current issued debt - bonds
(39,304)
(38,170)
Non-current loans and borrowings
(837)
(10,027)
Cash and cash equivalents
2,204
8,626
7,443
Total net cash/(debt)
3,802
$ (31,535)
$ (55,074)
8.75% Senior notes
Material non-cash movements:
Debt equity conversion
42,226
Short term borrowings
Material non-cash movements:
Debt equity conversion
$ 7,781
v3.26.1
GROUP STATEMENT OF FINANCIAL POSITION - USD ($)
$ in Thousands
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Non-current assets
Investments at fair value through income or loss
$ 300
$ 400
Intangible fixed assets
$ 5,437
176
888
Property, plant and equipment
11,321
7,071
59,728
Right of use assets
1,894
Total non-current assets
18,652
7,547
61,016
Current assets
Trade and other receivables
645
2,451
2,480
Prepaids
1,187
628
1,355
Intangible fixed assets
42
6
385
Cash and cash equivalents
2,204
8,626
7,443
Total current assets other than assets held for sale
4,078
11,711
11,663
Assets held for sale
3,261
Total Assets
22,730
19,258
75,940
Equity
Common Stock
38,627
938
712
Additional paid-in capital
263,730
232,257
209,779
Share based payment reserve
16,839
15,162
12,166
Currency translation reserve
(31,256)
(30,766)
(30,525)
Accumulated surplus (loss)
(275,040)
(247,076)
(191,974)
Total equity
12,900
(29,485)
158
Current liabilities
Trade and other payables
6,325
8,184
11,175
Income Tax
398
Loans and Borrowings
1,598
857
14,320
Lease liability
133
Current liabilities
8,056
9,439
25,495
Liabilities held for sale
2,090
Total current liabilities
8,056
9,439
27,585
Non-current liabilities
Issued debt - bond
39,304
38,170
Loans
10,027
Lease liability
1,774
Total liabilities
9,830
48,743
75,782
Total equity and liabilities
$ 22,730
$ 19,258
$ 75,940