AIB
AIB Data Centers Inc.
Company overview
- Market capitalization
- $125.37M
- Employees
- 3
- Latest publication
- 2026-09-29
About AIB Data Centers Inc.
BlockchAIn Digital Infrastructure, Inc. develops and operates digital infrastructure focused on AI hosting and high-performance computing workloads. Its platform combines access to power resources with modular infrastructure deployment designed to AI-optimized data center facilities. The company is headquartered in the New York, New York.
Financial statements
Income Quarterly
| Metric | Q2 20262026-06-30 · USD | Q1 20262026-03-31 · USD | Q4 20252025-12-31 · USD | Q3 20252025-09-30 · USD | Q2 20252025-06-30 · USD | Q1 20252025-03-31 · USD |
|---|---|---|---|---|---|---|
| Total Revenue | 2,915,460USD | 4,913,201USD | 5,045,058USD | 30,581USD | 66,806USD | 148,358USD |
| Cost Of Revenue | 3,432,555USD | 4,343,442USD | 4,289,631USD | 61,672USD | 57,596USD | 67,331USD |
| Gross Profit | -517,095USD | 569,759USD | 755,427USD | -31,091USD | 9,210USD | 81,027USD |
| Selling General Administrative | 2,710,592USD | 596,984USD | 1,224,910USD | 792,486USD | 896,623USD | 636,723USD |
| Total Operating Expenses | 3,062,908USD | 847,085USD | 1,474,463USD | 837,470USD | 1,592,647USD | 917,375USD |
| Operating Income | -3,580,003USD | -277,326USD | -719,036USD | -868,561USD | -1,583,437USD | -836,348USD |
| Total Other Income Expense Net | 98,770USD | 4,128USD | 1USD | 302,160USD | 216,753USD | -6,646USD |
| Net Income | -3,481,233USD | -273,198USD | -719,035USD | -566,401USD | -1,366,684USD | -842,994USD |
| Income Before Tax | — | -273,198USD | -719,035USD | -566,401USD | -1,366,684USD | -842,994USD |
| Net Income From Continuing Ops | — | -273,198USD | -719,035USD | -63,363USD | -541,812USD | 488,778USD |
| Ebit | — | -277,326USD | -719,036USD | -868,561USD | -1,583,437USD | -836,348USD |
| Ebitda | — | -27,225USD | -469,483USD | -815,531USD | -1,531,199USD | -783,318USD |
| Depreciation And Amortization | — | 250,101USD | 249,553USD | 53,030USD | 52,238USD | 53,030USD |
| Reconciled Depreciation | — | 250,101USD | 249,553USD | 255,771USD | 193,809USD | 163,172USD |
| Interest Expense | — | — | — | — | — | 20,994USD |
| Source | DisclosureDeterministicFinal | Legacy providerLegacy | Legacy providerLegacy | Legacy providerLegacy | Legacy providerLegacy | Legacy providerLegacy |
Income Yearly
| Metric | FY 20252025-12-31 · USD | FY 20232023-12-31 · USD |
|---|---|---|
| Total Revenue | 18,516,612USD | 23,981,693USD |
| Cost Of Revenue | 15,001,351USD | 14,466,116USD |
| Gross Profit | 3,515,261USD | 9,515,577USD |
| Selling General Administrative | 3,550,742USD | 1,726,098USD |
| Total Operating Expenses | 4,413,047USD | 3,992,686USD |
| Operating Income | -897,786USD | 5,522,891USD |
| Income Before Tax | -835,431USD | 5,214,141USD |
| Net Income | -835,431USD | 5,214,141USD |
| Net Income From Continuing Ops | -835,431USD | 5,214,141USD |
| Ebit | -897,786USD | 5,522,891USD |
| Ebitda | -35,481USD | 7,789,479USD |
| Depreciation And Amortization | 862,305USD | 2,266,588USD |
| Reconciled Depreciation | 862,305USD | 2,266,588USD |
| Total Other Income Expense Net | 62,355USD | -308,750USD |
| Unclassified Operating Expenses | — | 2,266,588USD |
| Source | Legacy providerLegacy | Legacy providerLegacy |
Balance sheet Quarterly
| Metric | Q2 20262026-06-30 · USD | Q1 20262026-03-31 · USD | Q4 20252025-12-31 · USD | Q3 20252025-09-30 · USD | Q2 20252025-06-30 · USD | Q1 20252025-03-31 · USD | Q4 20242024-12-31 · USD |
|---|---|---|---|---|---|---|---|
| Total Assets | 90,407,767USD | 36,257,178USD | 17,267,516USD | 18,155,342USD | 15,647,137USD | 15,318,627USD | 14,427,014USD |
| Cash And Equivalents | 52,784,510USD | — | — | — | — | — | — |
| Total Current Assets | 57,708,351USD | 3,680,609USD | 3,469,649USD | 4,104,905USD | 1,329,170USD | 3,112,044USD | 2,030,545USD |
| Other Current Assets | 1,401,828USD | 193,852USD | 218,698USD | 149,868USD | 23,151USD | 35,609USD | 124,357USD |
| Other Non Current Assets | 26,200USD | — | — | — | — | — | — |
| Total Liabilities | 7,740,922USD | — | — | — | — | — | — |
| Total Current Liabilities | 7,643,755USD | 8,691,271USD | 8,728,069USD | 8,478,133USD | 3,981,396USD | 4,526,461USD | 3,648,628USD |
| Other Current Liabilities | 3,814,852USD | — | — | — | — | — | — |
| Total Stockholder Equity | 82,666,845USD | 27,177,241USD | 7,859,281USD | 8,705,546USD | 10,375,309USD | 10,737,721USD | 10,696,858USD |
| Total Equity Including Noncontrolling Interest | 82,666,845USD | — | — | — | — | — | — |
| Net Receivables | 740,224USD | 2,235,045USD | 3,235,686USD | 3,946,531USD | 1,304,562USD | 2,850,373USD | 1,775,081USD |
| Property Plant Equipment Net | 8,798,890USD | 8,705,043USD | 8,946,731USD | 9,199,301USD | 9,466,831USD | 7,355,447USD | 7,545,333USD |
| Goodwill | 23,874,326USD | — | — | — | — | — | — |
| Accounts Payable | 2,635,633USD | 3,471,661USD | 3,304,012USD | 3,098,977USD | 2,509,975USD | 1,706,773USD | 1,521,889USD |
| Short Term Debt | 27,269USD | 86,240USD | 81,712USD | 127,268USD | 126,897USD | 126,527USD | 126,159USD |
| Common Stock | 7,599USD | 3,765USD | — | -788,521USD | 817,879USD | 638,479USD | 1,086,394USD |
| Retained Earnings | -3,754,431USD | -273,198USD | 7,859,281USD | 9,494,067USD | 9,557,430USD | 10,099,242USD | 9,610,464USD |
| Intangible Assets | — | 18,978,190USD | — | — | — | — | — |
| Total Liab | — | 9,079,937USD | 9,408,235USD | 9,449,796USD | 5,271,828USD | 4,580,906USD | 3,730,156USD |
| Other Current Liab | — | 3,136,296USD | 3,011,761USD | 1,166,004USD | 1,068,837USD | 334,000USD | 334,000USD |
| Capital Stock | — | 3,765USD | 0USD | -788,521USD | 817,879USD | 638,479USD | 1,086,394USD |
| Good Will | — | 4,851,136USD | 4,851,136USD | 4,851,136USD | 4,851,136USD | 4,851,136USD | 4,851,136USD |
| Cash | — | 1,251,712USD | 15,265USD | 8,506USD | 1,457USD | 226,062USD | 131,107USD |
| Cash And Short Term Investments | — | 1,251,712USD | 15,265USD | 8,506USD | 1,457USD | 226,062USD | 131,107USD |
| Current Deferred Revenue | — | 1,997,074USD | 2,330,584USD | 4,085,884USD | 275,687USD | 2,359,161USD | 1,666,580USD |
| Net Debt | — | -1,165,472USD | 66,447USD | 118,762USD | 152,709USD | -45,090USD | 76,580USD |
| Short Long Term Debt Total | — | 86,240USD | 81,712USD | 127,268USD | 154,166USD | 180,972USD | 207,687USD |
| Property Plant Equipment Gross | — | 10,464,869USD | 10,442,639USD | 10,445,655USD | 10,457,415USD | 8,152,221USD | 8,178,936USD |
| Common Stock Shares Outstanding | — | 37,646,133shares | 99,099,083shares | 99,099,083shares | 99,099,083shares | 99,099,083shares | 99,099,083shares |
| Non Current Assets Total | — | 32,576,569USD | 13,797,867USD | 14,050,437USD | 14,317,967USD | 12,206,583USD | 12,396,469USD |
| Non Current Liabilities Total | — | 388,666USD | 680,166USD | 971,663USD | 1,290,432USD | 54,445USD | 81,528USD |
| Non Currrent Assets Other | — | 42,200USD | — | — | — | — | — |
| Net Working Capital | — | -5,010,662USD | -5,258,420USD | -4,373,228USD | -2,652,226USD | -1,414,417USD | -1,618,083USD |
| Unclassified Equity | — | 27,442,909USD | — | — | — | — | -1,086,394USD |
| Short Long Term Debt | — | — | — | 18,750USD | 18,750USD | 18,750USD | 18,750USD |
| Unclassified Non Current Liabilities | — | — | — | — | 1,290,432USD | — | — |
| Source | DisclosureDeterministicFinal | Legacy providerLegacy | Legacy providerLegacy | Legacy providerLegacy | Legacy providerLegacy | Legacy providerLegacy | Legacy providerLegacy |
Balance sheet Yearly
| Metric | FY 20252025-12-31 · USD | FY 20242024-12-31 · USD | FY 20232023-12-31 · USD |
|---|---|---|---|
| Total Assets | 17,267,516USD | 14,427,014USD | 13,204,488USD |
| Other Current Assets | 218,698USD | 124,357USD | 186,334USD |
| Total Liab | 9,408,235USD | 3,730,156USD | 3,223,092USD |
| Total Stockholder Equity | 7,859,281USD | 10,696,858USD | 9,981,396USD |
| Other Current Liab | 3,011,761USD | 334,000USD | 45,000USD |
| Capital Stock | 0USD | 0USD | 6,021,243USD |
| Retained Earnings | 7,859,281USD | 9,610,464USD | 3,960,153USD |
| Good Will | 4,851,136USD | 4,851,136USD | 0USD |
| Cash | 15,265USD | 131,107USD | 4,722,904USD |
| Cash And Short Term Investments | 15,265USD | 131,107USD | 4,722,904USD |
| Total Current Assets | 3,469,649USD | 2,030,545USD | 6,684,074USD |
| Total Current Liabilities | 8,728,069USD | 3,648,628USD | 3,034,155USD |
| Current Deferred Revenue | 2,330,584USD | 1,666,580USD | 1,454,000USD |
| Net Debt | 66,447USD | 76,580USD | -4,428,018USD |
| Short Term Debt | 81,712USD | 126,159USD | 105,949USD |
| Short Long Term Debt Total | 81,712USD | 207,687USD | 294,886USD |
| Net Receivables | 3,235,686USD | 1,775,081USD | 1,774,836USD |
| Accounts Payable | 3,304,012USD | 1,521,889USD | 1,429,206USD |
| Property Plant Equipment Net | 8,946,731USD | 7,545,333USD | 6,520,414USD |
| Property Plant Equipment Gross | 10,442,639USD | 8,178,936USD | 9,358,634USD |
| Common Stock Shares Outstanding | 37,646,133shares | 99,099,083shares | 99,099,083shares |
| Non Current Assets Total | 13,797,867USD | 12,396,469USD | 6,520,414USD |
| Non Current Liabilities Total | 680,166USD | 81,528USD | 188,937USD |
| Net Working Capital | -5,258,420USD | -1,618,083USD | 3,649,919USD |
| Common Stock | — | 1,086,394USD | 6,021,243USD |
| Short Long Term Debt | — | 18,750USD | — |
| Unclassified Equity | — | — | -6,021,243USD |
| Source | Legacy providerLegacy | Legacy providerLegacy | Legacy providerLegacy |
Cash flow YTD
| Metric | Q2 20262026-06-30 · USD |
|---|---|
| Depreciation | 501,011USD |
| Stock Based Compensation | 650,642USD |
| Change To Account Receivables | -276,781USD |
| Change To Liabilities | 497,023USD |
| Change In Working Capital | -1,706,112USD |
| Operating Cash Flow | -4,671,807USD |
| Investing Cash Flow | -946,786USD |
| Financing Cash Flow | 58,387,838USD |
| Change In Cash | 52,769,245USD |
| End Cash Flow | 52,784,510USD |
| Source | DisclosureDeterministicFinal |
Cash flow Quarterly
| Metric | Q1 20262026-03-31 · USD | Q4 20252025-12-31 · USD | Q3 20252025-09-30 · USD | Q2 20252025-06-30 · USD | Q1 20252025-03-31 · USD |
|---|---|---|---|---|---|
| Net Income | -273,198USD | -719,035USD | -63,363USD | -541,811USD | 488,778USD |
| Depreciation | 250,101USD | 249,553USD | 255,771USD | 193,809USD | 163,172USD |
| Other Non Cash Items | 650,642USD | — | — | -2,698,315USD | 2,630,601USD |
| Change To Account Receivables | 1,010,187USD | 745,711USD | -1,642,544USD | 3,247,980USD | -3,773,607USD |
| Change In Working Capital | 647,188USD | 972,376USD | 2,629,938USD | 1,646,166USD | -2,871,681USD |
| Total Cash From Operating Activities | 1,274,733USD | 502,894USD | 2,822,346USD | -1,400,151USD | 410,870USD |
| Capital Expenditures | 0USD | -23,788USD | -15,139USD | 0USD | 0USD |
| Free Cash Flow | 1,274,733USD | 479,106USD | 2,807,207USD | -1,400,151USD | 410,870USD |
| Total Cashflows From Investing Activities | 253,214USD | -58,654USD | -1,014,564USD | 996,146USD | 132,000USD |
| Total Cash From Financing Activities | -291,500USD | -437,481USD | -1,800,733USD | 179,400USD | -447,915USD |
| Dividends Paid | 0USD | -2,243,980USD | -2,205,400USD | -698,600USD | -744,000USD |
| Issuance Of Capital Stock | 0USD | 2,116,749USD | 599,000USD | 878,000USD | 296,085USD |
| Change In Cash | 1,236,447USD | 6,759USD | 7,049USD | -224,605USD | 94,955USD |
| Begin Period Cash Flow | 15,265USD | 8,506USD | 1,457USD | 226,062USD | 131,107USD |
| End Period Cash Flow | 1,251,712USD | 15,265USD | 8,506USD | 1,457USD | 226,062USD |
| Other Cashflows From Investing Activities | 253,214USD | -34,866USD | -999,425USD | 996,146USD | 132,000USD |
| Other Cashflows From Financing Activities | -291,500USD | -310,250USD | -194,333USD | — | — |
| Net Borrowings | — | — | — | 0USD | 0USD |
| Source | Legacy providerLegacy | Legacy providerLegacy | Legacy providerLegacy | Legacy providerLegacy | Legacy providerLegacy |
Cash flow Yearly
| Metric | FY 20252025-12-31 · USD | FY 20232023-12-31 · USD |
|---|---|---|
| Net Income | -835,431USD | 5,214,141USD |
| Depreciation | 862,305USD | 2,266,588USD |
| Other Non Cash Items | -67,714USD | 323,032USD |
| Change To Account Receivables | -1,422,460USD | -1,608,515USD |
| Change In Working Capital | 2,376,799USD | -3,345,767USD |
| Total Cash From Operating Activities | 2,335,959USD | 4,457,994USD |
| Capital Expenditures | -38,927USD | -424,209USD |
| Free Cash Flow | 2,297,032USD | 4,033,785USD |
| Total Cashflows From Investing Activities | 54,928USD | -388,209USD |
| Net Borrowings | -18,750USD | 0USD |
| Total Cash From Financing Activities | -2,506,729USD | -1,552,964USD |
| Dividends Paid | -5,891,980USD | -1,552,964USD |
| Issuance Of Capital Stock | 3,889,834USD | 0USD |
| Change In Cash | -115,842USD | 2,516,821USD |
| Begin Period Cash Flow | 131,107USD | 2,206,083USD |
| End Period Cash Flow | 15,265USD | 4,722,904USD |
| Other Cashflows From Investing Activities | 93,855USD | 36,000USD |
| Other Cashflows From Financing Activities | -485,833USD | — |
| Source | Legacy providerLegacy | Legacy providerLegacy |
Operating metrics
No operating metrics are currently published for this company.
Revenue breakdown
No revenue breakdown is currently published for this company.
Periods follow company fiscal calendars. Quarterly, annual and year-to-date amounts are shown separately. Missing values are not zero. Data may be delayed, incomplete or corrected; follow the disclosure links to verify figures.