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Segment Information - Schedule of reportable segments gross margin to net income (loss) before taxes (Details) - USD ($)
$ in Thousands
3 Months Ended 6 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Jun. 30, 2025
Jun. 30, 2024
Reconciling Items:        
Acquisition-related costs $ (111)   $ (187)  
Selling, general, and administrative (75,902) $ (61,189) (147,350) $ (118,841)
Depreciation and amortization (83,197) (37,326) (161,123) (69,669)
Power curtailment credits 8,313 13,897 16,114 19,028
Change in fair value of contingent consideration (9,390)   (17,642)  
Casualty-related (charges) recoveries, net 119 187 119 2,487
Interest income 3,334 8,466 6,731 16,655
Interest expense (6,093) (314) (8,401) (698)
Unrealized gain (loss) on equity method investment - marketable securities     (57,095) 24,462
Loss on contract settlement 158,137   158,137  
Gain on acquisition post-close dispute settlement 26,007   26,007  
Other income (expense) 244 33 337 41
Net income (loss) before taxes (219,774) 84,394 76,156 (127,361)
Operating segments        
Reportable segment revenue:        
Segment gross profit (loss) 68,442 24,610 144,921 58,799
Reconciling Items:        
Segment gross profit (loss) 68,442 24,610 144,921 58,799
Intersegment eliminations        
Reportable segment revenue:        
Segment gross profit (loss) (5,010) (2,755) (11,334) (3,440)
Reconciling Items:        
Segment gross profit (loss) (5,010) (2,755) (11,334) (3,440)
Other revenue        
Reportable segment revenue:        
Segment gross profit (loss) (1,483) (5,478) (5,840) (6,788)
Reconciling Items:        
Segment gross profit (loss) (1,483) (5,478) (5,840) (6,788)
Material Reconciling Items        
Reconciling Items:        
Acquisition-related costs (111)   (187)  
Selling, general, and administrative (75,902) (61,189) (147,350) (118,841)
Depreciation and amortization (83,197) (37,326) (161,123) (69,669)
Change in fair value of Bitcoin 470,812 (76,403) 262,772 157,677
Change in fair value of derivative asset (42,747) 27,484 (853) 47,716
Power curtailment credits 8,313 13,897 16,114 19,028
Change in fair value of contingent consideration 9,390   17,642  
(Loss) gain on sale/exchange of equipment (350) (68) (479) (68)
Casualty-related (charges) recoveries, net 119 187 119 2,487
Interest income 3,334 8,466 6,731 16,655
Interest expense (6,093) (314) (8,401) (698)
Unrealized gain (loss) on equity method investment - marketable securities 6,143 $ 24,462 (57,095) $ 24,462
Loss on contract settlement 158,137   158,137  
Gain on acquisition post-close dispute settlement $ 26,007   $ 26,007