marketcaparena

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.

Company website

Financial statements

Income Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ2 20262026-06-30 · USDQ1 20262026-03-31 · USDQ4 20252025-12-31 · USDQ3 20252025-09-30 · USDQ2 20252025-06-30 · USDQ1 20252025-03-31 · USD
Total Revenue2,915,460USD4,913,201USD5,045,058USD30,581USD66,806USD148,358USD
Cost Of Revenue3,432,555USD4,343,442USD4,289,631USD61,672USD57,596USD67,331USD
Gross Profit-517,095USD569,759USD755,427USD-31,091USD9,210USD81,027USD
Selling General Administrative2,710,592USD596,984USD1,224,910USD792,486USD896,623USD636,723USD
Total Operating Expenses3,062,908USD847,085USD1,474,463USD837,470USD1,592,647USD917,375USD
Operating Income-3,580,003USD-277,326USD-719,036USD-868,561USD-1,583,437USD-836,348USD
Total Other Income Expense Net98,770USD4,128USD1USD302,160USD216,753USD-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-541,812USD488,778USD
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—250,101USD249,553USD53,030USD52,238USD53,030USD
Reconciled Depreciation—250,101USD249,553USD255,771USD193,809USD163,172USD
Interest Expense—————20,994USD
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Income Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20252025-12-31 · USDFY 20232023-12-31 · USD
Total Revenue18,516,612USD23,981,693USD
Cost Of Revenue15,001,351USD14,466,116USD
Gross Profit3,515,261USD9,515,577USD
Selling General Administrative3,550,742USD1,726,098USD
Total Operating Expenses4,413,047USD3,992,686USD
Operating Income-897,786USD5,522,891USD
Income Before Tax-835,431USD5,214,141USD
Net Income-835,431USD5,214,141USD
Net Income From Continuing Ops-835,431USD5,214,141USD
Ebit-897,786USD5,522,891USD
Ebitda-35,481USD7,789,479USD
Depreciation And Amortization862,305USD2,266,588USD
Reconciled Depreciation862,305USD2,266,588USD
Total Other Income Expense Net62,355USD-308,750USD
Unclassified Operating Expenses—2,266,588USD
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Balance sheet Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ2 20262026-06-30 · USDQ1 20262026-03-31 · USDQ4 20252025-12-31 · USDQ3 20252025-09-30 · USDQ2 20252025-06-30 · USDQ1 20252025-03-31 · USDQ4 20242024-12-31 · USD
Total Assets90,407,767USD36,257,178USD17,267,516USD18,155,342USD15,647,137USD15,318,627USD14,427,014USD
Cash And Equivalents52,784,510USD——————
Total Current Assets57,708,351USD3,680,609USD3,469,649USD4,104,905USD1,329,170USD3,112,044USD2,030,545USD
Other Current Assets1,401,828USD193,852USD218,698USD149,868USD23,151USD35,609USD124,357USD
Other Non Current Assets26,200USD——————
Total Liabilities7,740,922USD——————
Total Current Liabilities7,643,755USD8,691,271USD8,728,069USD8,478,133USD3,981,396USD4,526,461USD3,648,628USD
Other Current Liabilities3,814,852USD——————
Total Stockholder Equity82,666,845USD27,177,241USD7,859,281USD8,705,546USD10,375,309USD10,737,721USD10,696,858USD
Total Equity Including Noncontrolling Interest82,666,845USD——————
Net Receivables740,224USD2,235,045USD3,235,686USD3,946,531USD1,304,562USD2,850,373USD1,775,081USD
Property Plant Equipment Net8,798,890USD8,705,043USD8,946,731USD9,199,301USD9,466,831USD7,355,447USD7,545,333USD
Goodwill23,874,326USD——————
Accounts Payable2,635,633USD3,471,661USD3,304,012USD3,098,977USD2,509,975USD1,706,773USD1,521,889USD
Short Term Debt27,269USD86,240USD81,712USD127,268USD126,897USD126,527USD126,159USD
Common Stock7,599USD3,765USD—-788,521USD817,879USD638,479USD1,086,394USD
Retained Earnings-3,754,431USD-273,198USD7,859,281USD9,494,067USD9,557,430USD10,099,242USD9,610,464USD
Intangible Assets—18,978,190USD—————
Total Liab—9,079,937USD9,408,235USD9,449,796USD5,271,828USD4,580,906USD3,730,156USD
Other Current Liab—3,136,296USD3,011,761USD1,166,004USD1,068,837USD334,000USD334,000USD
Capital Stock—3,765USD0USD-788,521USD817,879USD638,479USD1,086,394USD
Good Will—4,851,136USD4,851,136USD4,851,136USD4,851,136USD4,851,136USD4,851,136USD
Cash—1,251,712USD15,265USD8,506USD1,457USD226,062USD131,107USD
Cash And Short Term Investments—1,251,712USD15,265USD8,506USD1,457USD226,062USD131,107USD
Current Deferred Revenue—1,997,074USD2,330,584USD4,085,884USD275,687USD2,359,161USD1,666,580USD
Net Debt—-1,165,472USD66,447USD118,762USD152,709USD-45,090USD76,580USD
Short Long Term Debt Total—86,240USD81,712USD127,268USD154,166USD180,972USD207,687USD
Property Plant Equipment Gross—10,464,869USD10,442,639USD10,445,655USD10,457,415USD8,152,221USD8,178,936USD
Common Stock Shares Outstanding—37,646,133shares99,099,083shares99,099,083shares99,099,083shares99,099,083shares99,099,083shares
Non Current Assets Total—32,576,569USD13,797,867USD14,050,437USD14,317,967USD12,206,583USD12,396,469USD
Non Current Liabilities Total—388,666USD680,166USD971,663USD1,290,432USD54,445USD81,528USD
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———18,750USD18,750USD18,750USD18,750USD
Unclassified Non Current Liabilities————1,290,432USD——
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Balance sheet Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20252025-12-31 · USDFY 20242024-12-31 · USDFY 20232023-12-31 · USD
Total Assets17,267,516USD14,427,014USD13,204,488USD
Other Current Assets218,698USD124,357USD186,334USD
Total Liab9,408,235USD3,730,156USD3,223,092USD
Total Stockholder Equity7,859,281USD10,696,858USD9,981,396USD
Other Current Liab3,011,761USD334,000USD45,000USD
Capital Stock0USD0USD6,021,243USD
Retained Earnings7,859,281USD9,610,464USD3,960,153USD
Good Will4,851,136USD4,851,136USD0USD
Cash15,265USD131,107USD4,722,904USD
Cash And Short Term Investments15,265USD131,107USD4,722,904USD
Total Current Assets3,469,649USD2,030,545USD6,684,074USD
Total Current Liabilities8,728,069USD3,648,628USD3,034,155USD
Current Deferred Revenue2,330,584USD1,666,580USD1,454,000USD
Net Debt66,447USD76,580USD-4,428,018USD
Short Term Debt81,712USD126,159USD105,949USD
Short Long Term Debt Total81,712USD207,687USD294,886USD
Net Receivables3,235,686USD1,775,081USD1,774,836USD
Accounts Payable3,304,012USD1,521,889USD1,429,206USD
Property Plant Equipment Net8,946,731USD7,545,333USD6,520,414USD
Property Plant Equipment Gross10,442,639USD8,178,936USD9,358,634USD
Common Stock Shares Outstanding37,646,133shares99,099,083shares99,099,083shares
Non Current Assets Total13,797,867USD12,396,469USD6,520,414USD
Non Current Liabilities Total680,166USD81,528USD188,937USD
Net Working Capital-5,258,420USD-1,618,083USD3,649,919USD
Common Stock—1,086,394USD6,021,243USD
Short Long Term Debt—18,750USD—
Unclassified Equity——-6,021,243USD
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Cash flow YTD

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ2 20262026-06-30 · USD
Depreciation501,011USD
Stock Based Compensation650,642USD
Change To Account Receivables-276,781USD
Change To Liabilities497,023USD
Change In Working Capital-1,706,112USD
Operating Cash Flow-4,671,807USD
Investing Cash Flow-946,786USD
Financing Cash Flow58,387,838USD
Change In Cash52,769,245USD
End Cash Flow52,784,510USD
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Cash flow Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ1 20262026-03-31 · USDQ4 20252025-12-31 · USDQ3 20252025-09-30 · USDQ2 20252025-06-30 · USDQ1 20252025-03-31 · USD
Net Income-273,198USD-719,035USD-63,363USD-541,811USD488,778USD
Depreciation250,101USD249,553USD255,771USD193,809USD163,172USD
Other Non Cash Items650,642USD——-2,698,315USD2,630,601USD
Change To Account Receivables1,010,187USD745,711USD-1,642,544USD3,247,980USD-3,773,607USD
Change In Working Capital647,188USD972,376USD2,629,938USD1,646,166USD-2,871,681USD
Total Cash From Operating Activities1,274,733USD502,894USD2,822,346USD-1,400,151USD410,870USD
Capital Expenditures0USD-23,788USD-15,139USD0USD0USD
Free Cash Flow1,274,733USD479,106USD2,807,207USD-1,400,151USD410,870USD
Total Cashflows From Investing Activities253,214USD-58,654USD-1,014,564USD996,146USD132,000USD
Total Cash From Financing Activities-291,500USD-437,481USD-1,800,733USD179,400USD-447,915USD
Dividends Paid0USD-2,243,980USD-2,205,400USD-698,600USD-744,000USD
Issuance Of Capital Stock0USD2,116,749USD599,000USD878,000USD296,085USD
Change In Cash1,236,447USD6,759USD7,049USD-224,605USD94,955USD
Begin Period Cash Flow15,265USD8,506USD1,457USD226,062USD131,107USD
End Period Cash Flow1,251,712USD15,265USD8,506USD1,457USD226,062USD
Other Cashflows From Investing Activities253,214USD-34,866USD-999,425USD996,146USD132,000USD
Other Cashflows From Financing Activities-291,500USD-310,250USD-194,333USD——
Net Borrowings———0USD0USD
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Cash flow Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20252025-12-31 · USDFY 20232023-12-31 · USD
Net Income-835,431USD5,214,141USD
Depreciation862,305USD2,266,588USD
Other Non Cash Items-67,714USD323,032USD
Change To Account Receivables-1,422,460USD-1,608,515USD
Change In Working Capital2,376,799USD-3,345,767USD
Total Cash From Operating Activities2,335,959USD4,457,994USD
Capital Expenditures-38,927USD-424,209USD
Free Cash Flow2,297,032USD4,033,785USD
Total Cashflows From Investing Activities54,928USD-388,209USD
Net Borrowings-18,750USD0USD
Total Cash From Financing Activities-2,506,729USD-1,552,964USD
Dividends Paid-5,891,980USD-1,552,964USD
Issuance Of Capital Stock3,889,834USD0USD
Change In Cash-115,842USD2,516,821USD
Begin Period Cash Flow131,107USD2,206,083USD
End Period Cash Flow15,265USD4,722,904USD
Other Cashflows From Investing Activities93,855USD36,000USD
Other Cashflows From Financing Activities-485,833USD—
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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.