Skip to main content
Methodology published · Market data, model notes, and corrections process are public · Data policy · Corrections policy
CIFR logo

NASDAQ · TECHNOLOGY · Financials

Cipher Mining Inc (CIFR) financial statements and cash flow.

Q1 FY2026 snapshot — revenue, profitability, balance-sheet strength, and cash generation. Market data source · income-statement quarterly · as of 2026-03-31 · Market data source · balance-sheet-statement quarterly · as of 2026-03-31.

Section freshness

Price Jun 15, 9:50 AM EDT · Statements Mar 30, 8:00 PM EDT

Source timingDetails

Data freshness

Prices update fastest. Fundamentals, analyst data, and news update on their own schedules, so check these timestamps before comparing signals.

Price time means the latest available trade or regular-market close. Other times show when that section was checked or published.

PriceLive
Last traded
Source: Market data provider
Fundamentalsevery 1 day
Provider checked
Source: Market data provider
Analystevery 1 day
Provider checked
Source: Market data provider
Newsevery 4 hr
Latest item
Source: Market data provider

Financial read

CIFR latest financial snapshot.

Start with the latest revenue, net income, free cash flow, and margin profile. Deeper quarterly and annual statement tables follow below.

Statement pulse

CIFR statement coverage and freshness.

TECHi is reading provider-attributed income, balance-sheet, and cash-flow rows before rendering the detailed table modules below.

Data last updated

Mar 30, 2026

Income rows

30

Balance rows

30

Cash-flow rows

29

89 visible statement rows are available. Market data source · income-statement quarterly · as of 2026-03-31 · Market data source · balance-sheet-statement quarterly · as of 2026-03-31.

Revenue

$34.84M

-28.8% YoY

Net income

-$114.32M

0.0% QoQ

Free cash flow

-$462.46M

-62.5% QoQ

Gross margin

-51.29%

Gross profit -$17.87M

Balance sheet coverage

CIFR balance sheet summary

Assets, liabilities, liquidity, debt, and equity sit beside income and cash-flow tables so the statement history reads as one model-ready dataset.

24 quarterly · 6 annual rows · Market data source · balance-sheet-statement quarterly · as of 2026-03-31

Open balance sheet table

Latest period

Q1 FY2026

24 quarterly · 6 annual rows

Assets / liabilities

$6.39B

Liabilities $5.65B

Cash / debt

$715.20M

Net cash -$4.03B

Equity / working capital

$714.19M

Working capital $2.65B

Statement pulse

CIFR statement coverage and freshness.

TECHi is reading provider-attributed income, balance-sheet, and cash-flow rows before rendering the detailed table modules below.

Data last updated

Mar 30, 2026

Income rows

30

Balance rows

30

Cash-flow rows

29

89 visible statement rows are available. Market data source · income-statement quarterly · as of 2026-03-31 · Market data source · balance-sheet-statement quarterly · as of 2026-03-31.

Financial statement period

CIFR statement history

Market data source · income-statement quarterly · as of 2026-03-31 · Market data source · balance-sheet-statement quarterly · as of 2026-03-31 · Data last updated: Mar 30, 2026

Income statement

Quarterly and annual rows for revenue, operating leverage, earnings quality, and margin direction.

8 / 24 Quarterly
PeriodRevenueGross profitOperating incomeInterest incomeContinuing opsNet incomeComprehensive incomeNet marginRevenue QoQNet income QoQ
Q1 FY2026$34.84M-$17.87M-$64.28M$31.59M-$114.32M-$114.32M-3.28%0.0%0.0%
Q4 FY2025$34.84M-$36.88M-$48.63M$18.54M-$734.21M-$114.32M-3.28%-51.4%-3382.1%
Q3 FY2025$71.71M$30.53M-$37.62M$457,000-$3.28M-$3.28M-4.58%+64.6%+92.8%
Q2 FY2025$43.56M$12.58M-$45.24M$296,000-$45.78M-$45.78M-105.09%-11.0%-17.5%
Q1 FY2025$48.96M$19.76M-$38.09M$190,000-$38.98M-$38.98M-79.61%+16.0%-322.6%
Q4 FY2024$42.22M$7.29M$17.08M$357,000$17.51M$17.51M41.47%+75.2%+120.2%
Q3 FY2024$24.10M-$5.70M-$91.39M$1.19M-$86.75M-$86.75M-3.60%-34.5%-467.4%
Q2 FY2024$36.81M$6.24M-$16.17M$1.05M-$15.29M-$15.29M-41.54%-23.5%-138.3%

Balance sheet

Provider-attributed balance-sheet rows for assets, liabilities, liquidity, debt, equity, and shares outstanding.

8 / 24 Quarterly
PeriodCashCurrent assetsCurrent liabilitiesTotal assetsTotal liabilitiesTotal debtCapital leasesTotal equitySharesDebt QoQ
Q1 FY2026$715.20M$3.89B$1.25B$6.39B$5.65B$4.75B$14.58M$714.19M405.27M+1183.1%
Q4 FY2025$715.20M$3.89B$1.25B$6.39B$5.65B$369.93M$17.61M$714.19M405.11M-64.6%
Q3 FY2025$1.21B$1.42B$570.25M$2.84B$2.06B$1.04B$20.90M$783.20M376.37M+451.5%
Q2 FY2025$62.70M$219.66M$52.51M$1.02B$269.86M$189.29M$22.18M$748.90M375.05M+224.2%
Q1 FY2025$23.17M$154.56M$138.74M$913.79M$179.00M$58.38M$22.92M$734.79M360.51M+3.5%
Q4 FY2024$5.58M$168.21M$131.78M$855.45M$173.49M$56.39M$24.09M$681.95M364.35M+143.5%
Q3 FY2024$25.34M$151.76M$59.09M$775.44M$103.45M$23.16M$23.16M$671.99M332.68M-0.7%
Q2 FY2024$122.56M$309.40M$36.45M$775.59M$84.82M$23.32M$23.32M$690.77M314.35M+11.3%

Cash flow

Operating cash generation, capital expenditure, free cash flow, buybacks, dividends, and cash movement.

8 / 23 Quarterly
PeriodOperating cash flowCapExFree cash flowNet incomeStock compDebt issuanceDividends paidBuybacksChange in cashFCF QoQ
Q1 FY2026$91.53M$553.99M-$462.46M-$114.32M$27.05M-$3.78M-62.5%
Q4 FY2025-$54.43M$230.13M-$284.56M-$734.21M$24.96M-$82.30M-199.0%
Q3 FY2025-$50.05M$45.13M-$95.18M-$3.28M$8.21M-$2.97M-8.8%
Q2 FY2025-$56.22M$31.30M-$87.51M-$45.78M$10.49M-$3.96M+40.6%
Q1 FY2025-$47.24M$100.03M-$147.26M-$38.98M$9.13M-$1.14M-41.4%
Q4 FY2024-$28.98M$75.18M-$104.16M$17.51M$10.27M-$16.88M+43.1%
Q3 FY2024-$6.54M$176.48M-$183.03M-$86.75M$10.21M-$3.52M-181.9%
Q2 FY2024-$25.35M$39.57M-$64.93M-$15.29M$13.34M-$4.06M-65.3%

Valuation and returns

Enterprise value
$14.05B
Market data source · key-metrics-ttm.enterpriseValueTTM
Return on equity
-121.70%
Market data source · ratios-ttm.returnOnEquityTTM
Return on assets
-0.16%
Market data source · ratios-ttm.returnOnAssetsTTM
Debt / equity
6.65
Current ratio 3.13

Ratio values use provider-attributed fields when available and otherwise fall back to TECHi statement math from the visible rows on this page.

Annual revenue and income multiples

Annual sales and income multiple reads use the latest annual statement when available, then fall back to trailing-twelve-month statement math from the visible quarterly rows.

Annual revenue base
$223.94M
Annual statement 2025-12-31
Annual income base
-$822.24M
Annual statement 2025-12-31
Market cap / annual revenue
44.75
Live market value divided by annual revenue
Market cap / annual income
Provider field pending
Market-cap income multiple waits on Market data source · income-statement quarterly · as of 2026-03-31 · Market data source · balance-sheet-statement quarterly · as of 2026-03-31.

Annual sales and income multiple

EV / annual revenue62.76

Market capitalization bridge

Market cap / annual revenue44.75

TTM valuation multiples

TTM revenue
$209.82M
Trailing twelve months
TTM EBIT
-$195.76M
TTM operating income
Market cap / TTM revenue
47.76
Live market value divided by trailing twelve months revenue
EV / TTM revenue
66.98
Enterprise value divided by trailing twelve months revenue

Live market value is matched against trailing-twelve-month statement bases first so the multiple moves with the tape instead of anchoring to stale fiscal-year rows.

Profit multiples

Market cap / TTM net income
EV / TTM EBIT

Interest burden

Interest paid / expensei$120.74M
Interest / revenuei57.54%
Interest / market cap1.20%
Interest / income43.48%

Uses absolute annual net income when positive or negative

Revenue, net income, and free cash flow

Revenue$34.84MNet income-$114.32MFree cash flow-$462.46M
Q4 FY2024Q3 FY2025Q1 FY2026

Quarterly statement rows, shown on one common dollar scale so margin compression and cash conversion stand out quickly.

Efficiency

Revenue / employee
Pending
Employee count pending
Net income / employee
Pending
TTM net income divided by employees
FCF / employee
Pending
TTM free cash flow divided by employees
Market cap / employee
Pending
Live value per employee

Growth vs cost pressure

Revenue growth YoY-28.8%
Debt growth YoY+8030.3%
Operating expense growth YoY+71.3%

Cash conversion

FCF margini-4.43%
CapEx / revenuei410.13%
FCF / EBITi

TTM free cash flow / TTM operating income

EBITDA margin79.03%
OCF / EBITDAi-0.42

TTM operating cash flow / TTM EBITDA

Quarterly margin heatmap

Gross margin
Q1 FY2026
-51.29%
Q4 FY2025
-105.87%
Q3 FY2025
42.57%
Q2 FY2025
28.87%
Q1 FY2025
40.36%
Q4 FY2024
17.25%
Operating margin
Q1 FY2026
-1.84%
Q4 FY2025
-139.57%
Q3 FY2025
-52.46%
Q2 FY2025
-103.85%
Q1 FY2025
-77.80%
Q4 FY2024
40.45%
Net margin
Q1 FY2026
-3.28%
Q4 FY2025
-3.28%
Q3 FY2025
-4.58%
Q2 FY2025
-105.09%
Q1 FY2025
-79.61%
Q4 FY2024
41.47%

Latest quarter expense mix

Cost of revenue$52.71M
Operating expenses$99.11M
SG&A$11.74M

Profit bridge

EBIT-$64.28M
Pretax income-$113.91M
Interest expense$59.16M

Detailed income lines

Interest income$31.59M
Net interest income-$27.57M
Continuing operations income-$114.32M

Other income statement lines

Income before tax-$113.91M

Balance sheet · Q1 FY2026

Cash & equivalents
$715.20M
Total debt
$4.75B
Net cash
-$4.03B
Net debt position
Total equity
$714.19M

Balance sheet detail

Current assets
$3.89B
Current liabilities
$1.25B
Inventory
$76.15M
Receivables
$8.49M
Long-term debt
$4.38B
Shares outstanding
405.27M

Balance sheet assets detail

Long-term investments
Intangible assets$77.16M

Balance sheet liabilities detail

Current long-term debt$355.35M
Capital lease obligations$14.58M

Debt and liquidity

Debt / revenuei22.62
Debt / income17.09
Debt / EBITDA28.63
Interest coverage-1.09

Operating income / interest expense

Cash / debt0.15
Quick ratioi0.58

Cash + short-term investments + receivables / current liabilities

Shares outstanding trend

Shares405.27M
Q4 FY2024Q3 FY2025Q1 FY2026

Quarterly balance-sheet shares outstanding, useful for spotting buybacks, dilution, and split-adjusted share-count drift.

Cash generation

Operating cash flow
$91.53M
Capital expenditure
$553.99M
Free cash flow
-$462.46M
Capital returned
-$3.78M
Buybacks + dividends paid

Cash-flow detail

Depreciation & amortization
$19.61M
Investing cash flow
-$474.20M
Financing cash flow
$1.96B
Buybacks
-$3.78M
Net buybacks
-$3.78M
Repurchases less stock issuance

Cash flow read

CIFR is consuming cash this period.

Negative free cash flow can be deliberate (heavy capex on a growth project) or stress (operating cash flow turning south). Compare $91.53M of operating cash flow against $553.99M of capex to see which side is moving.

Frequently asked

Common questions.

Where can I see CIFR financial statements?

The CIFR Financials page hosts the latest income statement, balance sheet, and cash-flow statement for Cipher Mining Inc — quarterly and annual views, with TECHi's source attribution next to every line.

What is Cipher Mining Inc's revenue trend?

Quarterly and annual revenue, gross profit, operating income, net income, and free-cash-flow trends for Cipher Mining Inc are shown in the CIFR Financials page visuals and statement tables when provider data supplies complete rows.

What is Cipher Mining Inc's profit margin?

Cipher Mining Inc reports a net margin of 0.00%. Gross / operating / net margin trends and the segment mix that drives them are broken out on the CIFR Financials page.

Does Cipher Mining Inc have positive free cash flow?

Operating cash flow, capital expenditure, and free cash flow are tracked quarterly on the CIFR Financials page when cash-flow rows are available. FCF margin and FCF yield are normalized on the /quote/CIFR/statistics/ page.