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Consolidated Balance Sheets - USD ($)
$ in Thousands
Jun. 30, 2024
Dec. 31, 2023
Dec. 31, 2022
Current assets      
Cash $ 274 $ 2,851 $ 646
Other receivables 1,038 40 295
Cryptocurrencies 96 142 51
Finance lease right-of-use asset, current 1 1 1
Prepaid expenses and other current assets 1,201 301 178
Total current assets 2,610 3,335 1,171
Restricted cash 323 323 323
Property and equipment, net 31,923 30,844 37,156
Operating lease right-of-use asset 2,141 2,262 2,454
Finance lease right-of-use asset 31 43 96
Long-term deposits 4,567 5,400 4,941
Total assets 41,595 42,207 46,141
Current liabilities      
Accounts payable 11,940 12,902 4,598
Operating lease liability, current 216 222 205
Finance lease liability, current 33 6 377
CleanSpark credit agreement 15,014 0  
Notes payable, net 24,462 2,737 667
Federal and state income tax payables 8,833 60  
Accrued expenses and other current liabilities 10,026 6,227  
Accrued expenses and other current liabilities   6,287 3,175
Total current liabilities 70,524 22,154 9,022
Notes payable, net 0 69,011 45,682
Payable to lessor – construction in progress 0 137 504
Warrant liability 454 3,838 76,423
Unearned grant revenue 195 195 195
Deferred tax liability 2,267 4,304 229
Operating lease liability 2,006 2,111 2,300
Finance lease liability 63 94 98
Total liabilities 75,509 101,844 134,453
Commitments and contingencies (See Note 14)  
Shareholders' deficit      
Common Stock 7 7 2,368
Additional Paid-In Capital 55,254 47,765 0
Accumulated deficit (89,175) (107,409) (90,680)
Total shareholders' deficit (33,914) (59,637) (88,312)
Total liabilities and shareholders' deficit $ 41,595 $ 42,207 $ 46,141