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Defi Development Ord Shs

DFDV
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4.800USD
-0.260-5.14%
Close 05/15, 16:00ETQuotes delayed by 15 min
141.59MMarket Cap
LossP/E TTM
You can check out the annual or quarterly balance sheets of Defi Development Ord Shs here to evaluate the financial health, analyze fundamentals, and calculate key ratios for liquidity, leverage, and return on equity.
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
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FY2025Q4
FY2025Q3
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
Total equity
Cash, cash equivalents and short-term investments
235.80%9.60M
267.65%10.18M
-43.25%2.23M
-43.70%2.86M
-52.39%2.77M
104.65%3.24M
411.37%3.92M
417.33%5.08M
355.34%5.82M
6.12%1.58M
-53.32%767.39K
--981.13K
--1.28M
--1.49M
--1.64M
- Cash and cash equivalents
135.16%5.92M
217.91%8.80M
-54.09%1.80M
-50.40%2.52M
-52.39%2.77M
104.65%3.24M
411.37%3.92M
417.33%5.08M
355.34%5.82M
6.12%1.58M
-53.32%767.39K
--981.13K
--1.28M
--1.49M
--1.64M
-Short-term investments
981.25%3.67M
--1.38M
--425.25K
--339.88K
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Receivables
-73.39%52.00K
-68.63%52.00K
422.81%631.44K
126.84%195.40K
29.81%165.78K
12.03%111.18K
4.38%120.78K
124.98%86.14K
63.02%127.71K
298.69%99.24K
373.21%115.71K
--38.29K
--78.34K
--24.89K
--24.45K
-Accounts and notes receivable
-73.39%52.00K
-68.63%52.00K
422.81%631.44K
126.84%195.40K
29.81%165.78K
12.03%111.18K
4.38%120.78K
124.98%86.14K
63.02%127.71K
298.69%99.24K
373.21%115.71K
--38.29K
--78.34K
--24.89K
--24.45K
-Other receivables
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--0.00
--0.00
--0.00
--0.00
Prepaid expenses
298.42%433.00K
366.70%603.00K
-37.15%83.06K
-16.68%108.68K
-32.50%129.21K
846.47%71.61K
1646.58%132.15K
1623.90%130.43K
1460.25%191.41K
-38.33%7.57K
-47.61%7.57K
--7.57K
--12.27K
--12.27K
--14.44K
Other current assets
6861.28%7.90M
23245.29%11.33M
--113.53K
--113.53K
--48.53K
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Total current assets
3622.97%121.93M
5504.58%174.41M
-26.87%3.05M
-38.12%3.27M
-49.27%3.11M
102.53%3.42M
368.99%4.18M
415.32%5.29M
348.51%6.13M
10.53%1.69M
-47.08%890.67K
--1.03M
--1.37M
--1.53M
--1.68M
Non-current assets
Net Fixed Assets
-100.00%0.00
-100.00%0.00
29.51%108.47K
-40.88%53.75K
-26.03%61.94K
-11.70%76.44K
-14.71%83.76K
-17.09%90.92K
-36.19%83.73K
-34.48%86.57K
-31.39%98.20K
--109.66K
--131.22K
--132.13K
--143.13K
-Fixed Assets
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-100.00%0.00
38.10%118.83K
-32.68%61.82K
-18.96%67.94K
--80.50K
--86.04K
--91.83K
--83.84K
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-Accumulated depreciation
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-100.00%0.00
352.62%10.36K
784.98%8.07K
5514.02%6.01K
--4.05K
--2.29K
--912.00
--107.00
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Goodwill and other intangible assets
18719.89%185.39M
27246.91%305.45M
-22.59%937.48K
-23.20%985.08K
6804.12%1.12M
7089.39%1.16M
7385.56%1.21M
7828.19%1.28M
0.00%16.18K
0.00%16.18K
0.00%16.18K
--16.18K
--16.18K
--16.18K
--16.18K
Other non-current assets
354.86%93.00K
348.37%93.00K
16.78%21.14K
12.92%20.45K
201.61%20.74K
-63.46%95.63K
-90.16%18.11K
-90.16%18.11K
-94.62%6.88K
170.25%261.73K
658.50%184.10K
--184.10K
--127.85K
--96.85K
--24.27K
Total non-current assets
16749.79%185.48M
22155.73%305.54M
-15.97%1.10M
-20.90%1.10M
1185.66%1.37M
266.33%1.34M
339.87%1.31M
349.01%1.39M
-61.20%106.78K
48.67%364.47K
62.58%298.47K
--309.94K
--275.24K
--245.15K
--183.58K
Total assets
6925.27%307.41M
10601.80%479.95M
-24.26%4.16M
-34.53%4.38M
-28.14%4.48M
131.61%4.75M
361.68%5.49M
399.94%6.68M
279.87%6.24M
15.80%2.05M
-36.29%1.19M
--1.34M
--1.64M
--1.77M
--1.87M
Liabilities
Current liabilities
-Other payables
--6.26M
--9.31M
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Short-term debt and lease liabilities
--107.00K
--267.00K
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-Short-term debt
--107.00K
--267.00K
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Deferred liabilities
-65.74%82.00K
-42.77%115.00K
893.71%827.10K
187.54%239.32K
--200.95K
--86.62K
--83.23K
--83.23K
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Other current liabilities
2548.80%6.34M
4591.76%9.43M
893.71%827.10K
187.54%239.32K
--200.95K
--86.62K
--83.23K
--83.23K
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Total current liabilities
13526.21%80.79M
24332.38%85.55M
202.01%1.06M
-12.18%592.89K
61.58%350.15K
34.67%314.84K
43.79%349.91K
229.48%675.10K
20.19%216.69K
18.52%233.78K
77.32%243.34K
--204.90K
--180.29K
--197.24K
--137.23K
Non-current liabilities
Long-term debt and lease liabilities
--127.36M
--131.44M
--0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
-79.22%13.93K
-65.07%27.66K
-45.53%49.27K
-51.55%47.58K
--67.06K
--79.19K
--90.45K
--98.20K
-Long-term debt
--127.36M
--131.44M
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-Long-term lease liabilities
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-100.00%0.00
-100.00%0.00
-100.00%0.00
-79.22%13.93K
-65.07%27.66K
-45.53%49.27K
-51.55%47.58K
--67.06K
--79.19K
--90.45K
--98.20K
Deferred liabilities
-100.00%0.00
--0.00
--138.95K
--102.14K
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Other non-current liabilities
-100.00%0.00
-35.69%115.00K
41.76%253.49K
57.12%280.96K
--178.82K
-72.88%178.82K
-63.79%178.82K
-66.86%178.82K
-100.00%0.00
-61.06%659.41K
-70.83%493.87K
--539.58K
--1.65M
--1.69M
--1.69M
Total non-current liabilities
45231.14%127.36M
84119.80%150.60M
41.76%253.49K
45.76%280.96K
546.54%178.82K
-74.77%178.82K
-66.97%178.82K
-68.23%192.75K
-98.40%27.66K
-60.27%708.68K
-69.78%541.45K
--606.64K
--1.73M
--1.78M
--1.79M
Total liabilities
23719.93%208.15M
44543.79%236.15M
147.81%1.31M
0.69%873.84K
116.48%528.97K
-47.62%493.66K
-32.63%528.73K
6.94%867.85K
-87.22%244.35K
-52.43%942.45K
-59.31%784.79K
--811.53K
--1.91M
--1.98M
--1.93M
Shareholders' equity
Common equity
1473.79%202.58M
1321.29%182.49M
3.40%13.00M
3.31%12.87M
12.01%12.84M
153.57%12.67M
222.76%12.57M
228.31%12.46M
250.57%11.46M
63.15%5.00M
37.39%3.89M
--3.80M
--3.27M
--3.06M
--2.83M
Retained earnings
-879.41%-91.77M
790.10%61.31M
-33.39%-10.15M
-41.04%-9.37M
-62.53%-8.88M
-116.40%-8.41M
-117.99%-7.61M
-103.18%-6.64M
-54.44%-5.47M
-18.83%-3.89M
-20.48%-3.49M
---3.27M
---3.54M
---3.27M
---2.90M
Capital reserves
1473.79%202.58M
1321.30%182.49M
3.40%13.00M
3.31%12.87M
12.01%12.84M
153.58%12.67M
222.76%12.57M
228.31%12.46M
250.57%11.46M
63.18%5.00M
37.41%3.89M
--3.79M
--3.27M
--3.06M
--2.83M
Less: Treasury stock
--11.52M
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Gains losses not affecting retained earnings
---27.00K
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Total equity
2734.46%99.26M
6063.16%243.80M
-42.60%2.85M
-39.79%3.50M
-34.03%3.96M
283.74%4.26M
1126.99%4.96M
1007.01%5.82M
2324.23%6.00M
633.00%1.11M
749.45%404.35K
--525.38K
---269.60K
---208.32K
---62.26K
Currency unit
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