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SCHEDULE OF CHANGE IN ACCOUNTING PRINCIPLE FOR CONDENSED CONSOLIDATED BALANCE SHEET (Details) - USD ($)
$ in Thousands
Jun. 30, 2023
Dec. 31, 2022
Jun. 30, 2022
Mar. 31, 2022
Current assets:        
Cash and cash equivalents $ 113,675 $ 103,705   $ 117,942
Restricted cash 14,286 8,800   600
Digital assets 234,412 121,842   133,524
Other receivable 759 18   29,870
Deposits 7,508 2,350   40,792
Prepaid expenses and other current assets 51,797 40,833   52,765
Total current assets 422,437 277,548   593,932
Other assets:        
Property and equipment 783,865 273,026   333,317
Advances to vendors 7,351 488,299   594,240
Investments 99,918 37,000   13,520
Long term prepaids 4,037 8,317   5,131
Right-of-use assets 559 1,276   1,326
Total other assets       947,534
TOTAL ASSETS 1,373,237 1,195,244   1,541,466
Current liabilities:        
Accounts payable 7,150 1,312   7,715
Accrued expenses 20,390 22,295   4,642
Operating lease liabilities 174 326   264
Current portion of accrued interest 623 1,011   2,710
Total current liabilities 28,337 26,115   15,331
Long-term liabilities:        
Notes payable 734,231 732,289   729,377
Operating lease liabilities 423 1,017   1,071
Deferred tax liabilities       19,293
Total long-term liabilities 734,654 783,188   749,741
Stockholders’ Equity:        
Preferred stock      
Common stock 17 15   11
Additional paid-in capital 1,461,188 1,226,267   939,742
Accumulated deficit (866,709) (840,341)   (163,359)
Total stockholders’ equity 594,496 385,941   776,394
TOTAL LIABILITIES, SERIES A PREFERRED STOCK AND STOCKHOLDERS’ EQUITY $ 1,373,237 $ 1,195,244   1,541,466
Previously Reported [Member]        
Current assets:        
Cash and cash equivalents       117,942
Restricted cash       600
Digital assets       129,448
Other receivable       29,870
Deposits       40,792
Prepaid expenses and other current assets       52,765
Total current assets       589,856
Other assets:        
Property and equipment       333,317
Advances to vendors       594,240
Investments       13,520
Long term prepaids       5,131
Right-of-use assets       1,326
Total other assets       947,534
TOTAL ASSETS       1,537,390
Current liabilities:        
Accounts payable       7,715
Accrued expenses       4,642
Operating lease liabilities       264
Current portion of accrued interest       2,710
Total current liabilities       15,331
Long-term liabilities:        
Notes payable       729,377
Operating lease liabilities       1,071
Deferred tax liabilities       18,312
Total long-term liabilities       748,760
Stockholders’ Equity:        
Preferred stock      
Common stock       11
Additional paid-in capital       939,742
Accumulated deficit       (166,454)
Total stockholders’ equity       773,299
TOTAL LIABILITIES, SERIES A PREFERRED STOCK AND STOCKHOLDERS’ EQUITY       1,537,390
Revision of Prior Period, Adjustment [Member]        
Current assets:        
Cash and cash equivalents      
Restricted cash      
Digital assets     $ 297 4,076
Other receivable      
Deposits      
Prepaid expenses and other current assets      
Total current assets       4,076
Other assets:        
Property and equipment      
Advances to vendors      
Investments      
Long term prepaids      
Right-of-use assets      
Total other assets      
TOTAL ASSETS       4,076
Current liabilities:        
Accounts payable      
Accrued expenses      
Operating lease liabilities      
Current portion of accrued interest      
Total current liabilities      
Long-term liabilities:        
Notes payable      
Operating lease liabilities      
Deferred tax liabilities     $ 1,361 981
Total long-term liabilities       981
Stockholders’ Equity:        
Preferred stock      
Common stock      
Additional paid-in capital      
Accumulated deficit       3,095
Total stockholders’ equity       3,095
TOTAL LIABILITIES, SERIES A PREFERRED STOCK AND STOCKHOLDERS’ EQUITY       $ 4,076