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Datacentrex, Inc.

Company overview

Market capitalization
$71.86M
Employees
2
Latest publication
2026-09-29
About Datacentrex, Inc.

Datacentrex, Inc. is a digital infrastructure and capital deployment company that owns and operates Scrypt-based proof-of-work compute infrastructure assets and evaluates strategic transactions across asset-backed operating businesses in the United States. The company owns and manages a fleet of specialized application-specific integrated circuit (ASIC) hardware. The company was formerly known as Thumzup Media Corporation and changed its name to Datacentrex, Inc. in December 2025. Datacentrex, Inc. is headquartered in Salt Lake City, Utah.

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 · USDQ4 20242024-12-31 · USDQ3 20242024-09-30 · USD
Total Revenue1,913,779USD2,179,208USD6,962,926USD385USD15USD151USD156USD150USD
Cost Of Revenue1,708,524USD4,953,587USD10,937,614USD48,998USD42,126USD34,212USD30,808USD27,346USD
Gross Profit205,255USD-2,774,379USD-3,974,687USD-48,613USD-42,111USD-34,061USD-30,652USD-27,196USD
Selling General Administrative1,072USD2,243,275USD———201,871USD——
General And Administrative Expenses863,281USD———————
Total Operating Expenses5,001,465USD2,243,275USD-10,046,086USD10,546,336USD1,616,767USD1,701,881USD2,615,563USD415,501USD
Operating Income-4,796,210USD-5,017,654USD6,071,398USD-10,594,949USD-1,658,878USD-1,735,942USD-2,646,215USD-442,697USD
Total Other Income Expense Net-672,147USD-1,134,053USD-792,976USD142,344USD465,638USD-399,520USD-56,130USD859USD
Net Interest Income597,278USD71,653USD———0USD——
Income Before Tax-5,468,357USD-6,151,707USD5,278,422USD-10,452,605USD-1,193,240USD-2,135,462USD-2,702,345USD-441,838USD
Income Tax Expense0USD———————
Net Income-5,468,357USD-6,151,707USD5,278,422USD-10,452,605USD-1,193,240USD-2,135,462USD-2,702,345USD-441,838USD
Interest Income—71,653USD———0USD——
Tax Provision—0USD———0USD——
Net Income From Continuing Ops—-6,151,707USD———-308,595USD——
Ebit—-5,017,654USD5,859,006USD-10,452,605USD-1,189,310USD-2,135,462USD-2,631,901USD-441,838USD
Ebitda—-1,730,395USD13,237,056USD-10,403,607USD-1,147,184USD-2,101,250USD-2,601,093USD-414,492USD
Depreciation And Amortization—3,287,259USD7,378,050USD48,998USD42,126USD34,212USD30,808USD27,346USD
Reconciled Depreciation—3,287,259USD———189,480USD——
Research Development——191,219USD1,420USD117,180USD75,459USD107,970USD49,852USD
Unclassified Operating Expenses——-10,237,305USD10,544,916USD1,499,587USD1,424,551USD2,507,593USD—
Interest Expense——136,888USD—3,930USD—70,444USD—
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Income Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20252025-12-31 · USDFY 20242024-12-31 · USDFY 20232023-12-31 · USDFY 20222022-12-31 · USDFY 20212021-12-31 · USDFY 20202020-12-31 · USD
Total Revenue6,963,477USD741USD2,048USD2,421USD2,446USD—
Cost Of Revenue11,062,950USD98,317USD29,542USD2,599USD1,736USD—
Gross Profit-4,099,472USD-97,576USD-27,494USD-178USD710USD—
Selling General Administrative3,818,898USD—————
Total Operating Expenses3,818,898USD3,848,346USD2,491,536USD1,210,436USD840,479USD3,783USD
Operating Income-7,918,371USD-3,945,922USD-2,519,030USD-1,210,614USD-839,769USD-3,783USD
Interest Expense140,818USD70,444USD73,498USD25,865USD17,486USD1,904USD
Net Interest Income-140,818USD—————
Income Before Tax-8,502,885USD-3,999,905USD-3,324,180USD-1,504,681USD-857,255USD-5,687USD
Tax Provision0USD—————
Net Income-8,502,885USD-3,999,905USD-3,324,180USD-1,504,681USD-857,255USD-5,687USD
Net Income From Continuing Ops-8,502,885USD—————
Ebit-7,918,371USD-3,929,461USD-3,250,682USD-1,478,816USD-839,769USD—
Ebitda-414,985USD-3,831,144USD-3,221,284USD-1,476,656USD-838,033USD-3,783USD
Depreciation And Amortization7,503,386USD98,317USD29,398USD2,160USD1,736USD—
Reconciled Depreciation7,503,386USD—————
Total Other Income Expense Net-584,514USD-53,983USD-805,150USD-294,067USD-17,486USD-1,904USD
Research Development—244,909USD513,088USD567,408USD716,524USD2,783USD
Unclassified Operating Expenses—3,603,437USD1,978,448USD———
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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 · USDQ3 20242024-09-30 · USD
Total Assets74,852,272USD79,411,128USD66,841,910USD51,660,244USD2,604,320USD3,179,967USD5,102,464USD421,481USD
Cash And Equivalents51,884,089USD———————
Total Current Assets58,463,543USD59,735,073USD43,818,505USD44,832,651USD211,214USD1,289,673USD4,839,177USD162,318USD
Other Non Current Assets621,660USD———————
Total Liabilities318,463USD———————
Total Current Liabilities318,463USD259,817USD594,658USD882,704USD781,275USD383,744USD335,203USD233,517USD
Total Stockholder Equity74,533,809USD79,151,311USD66,247,252USD50,777,540USD1,823,045USD2,796,223USD4,767,261USD187,964USD
Total Equity Including Noncontrolling Interest74,533,809USD———————
Property Plant Equipment Net12,028,842USD15,283,076USD18,537,452USD13,825USD15,080USD13,675USD14,660USD5,861USD
Accounts Payable318,463USD259,817USD594,658USD301,554USD281,275USD328,152USD233,255USD93,517USD
Common Stock39,643USD34,885USD30,375USD16,540USD9,678USD9,480USD9,401USD7,750USD
Retained Earnings-20,122,949USD-14,654,592USD-8,502,885USD-23,492,604USD-13,040,024USD-11,846,795USD-9,691,708USD-7,038,071USD
Intangible Assets—171,219USD264,193USD4,313,768USD2,378,026USD1,876,619USD248,627USD253,302USD
Other Current Assets—6,080,808USD4,899,019USD600,569USD150,708USD254,242USD141,300USD52,072USD
Total Liab—259,817USD594,658USD882,704USD781,275USD383,744USD335,203USD233,517USD
Capital Stock—35,065USD——————
Cash—42,474,352USD38,919,486USD44,080,451USD60,430USD1,035,179USD4,680,840USD110,246USD
Cash And Short Term Investments—42,474,352USD38,919,486USD44,080,451USD60,430USD1,035,179USD4,680,840USD110,246USD
Net Debt—-42,474,352USD-38,919,486USD-43,580,451USD-60,430USD-1,035,179USD-4,680,840USD29,754USD
Net Receivables—11,179,913USD—151,631USD76USD252USD17,037USD—
Property Plant Equipment Gross—29,648,834USD——————
Common Stock Shares Outstanding—30,425,641shares18,345,206shares13,656,273shares9,560,917shares9,412,260shares8,306,190shares7,742,982shares
Non Current Assets Total—19,676,055USD23,023,404USD6,827,593USD2,393,106USD1,890,294USD263,287USD259,163USD
Non Current Liabilities Total—0USD——————
Non Currrent Assets Other—4,221,760USD4,221,759USD—————
Net Working Capital—59,475,256USD——————
Unclassified Equity—93,735,953USD74,719,762USD74,253,604USD14,853,391USD14,633,538USD14,449,568USD7,218,285USD
Other Current Liab———81,150USD500,000USD55,592USD101,948USD—
Short Term Debt———500,000USD———140,000USD
Short Long Term Debt Total———500,000USD———140,000USD
Unclassified Non Current Assets———2,500,000USD————
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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 · USDFY 20222022-12-31 · USDFY 20212021-12-31 · USDFY 20202020-12-31 · USD
Total Assets66,841,910USD5,102,464USD415,187USD1,193,799USD429,158USD—
Intangible Assets264,193USD248,627USD142,614USD———
Other Current Assets4,899,019USD141,300USD6,321USD2,903USD——
Total Liab594,658USD335,203USD65,860USD374,275USD249,313USD—
Total Stockholder Equity66,247,252USD4,767,261USD349,327USD819,524USD179,845USD—
Common Stock30,375USD9,401USD7,656USD7,108USD6,038USD—
Capital Stock30,549USD—————
Retained Earnings-8,502,885USD-9,691,708USD-5,691,803USD-2,367,623USD-862,942USD—
Cash38,919,486USD4,680,840USD259,212USD1,155,343USD424,445USD—
Cash And Short Term Investments38,919,486USD4,680,840USD259,212USD1,155,343USD424,445USD—
Total Current Assets43,818,505USD4,839,177USD265,533USD1,158,246USD424,445USD—
Total Current Liabilities594,658USD335,203USD65,860USD374,275USD249,313USD—
Net Debt-38,919,486USD-4,680,840USD-259,212USD-1,155,343USD-209,445USD—
Accounts Payable594,658USD233,255USD65,860USD91,359USD——
Property Plant Equipment Net18,537,452USD14,660USD7,040USD2,553USD4,713USD—
Property Plant Equipment Gross29,648,834USD—————
Common Stock Shares Outstanding18,345,206shares8,003,246shares9,175,342shares9,175,342shares9,175,342shares9,175,342shares
Non Current Assets Total23,023,404USD263,287USD149,653USD35,552USD4,712USD—
Non Current Liabilities Total0USD—————
Non Currrent Assets Other4,221,759USD—————
Net Working Capital43,223,847USD—————
Unclassified Equity74,689,213USD14,449,568USD6,033,474USD3,180,039USD1,036,749USD—
Other Current Liab—101,948USD—282,916USD34,313USD—
Net Receivables—17,037USD————
Short Term Debt————215,000USD—
Short Long Term Debt Total————215,000USD—
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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 · USDQ4 20242024-12-31 · USDQ3 20242024-09-30 · USDQ2 20242024-06-30 · USD
Net Income-6,151,707USD5,278,422USD-10,452,605USD-1,193,240USD-2,135,462USD-2,702,345USD-441,838USD-527,773USD
Depreciation3,287,259USD7,378,050USD48,998USD42,126USD34,212USD30,808USD27,346USD22,925USD
Stock Based Compensation1,156,066USD———0USD———
Other Non Cash Items249,123USD-14,372,190USD8,797,328USD-231,505USD676,970USD103,394USD10,598USD170,359USD
Change To Account Receivables-29,913USD134,594USD-117,633USD-33,746USD16,785USD———
Change In Working Capital-611,381USD228,116USD-689,108USD-19,477USD161,891USD135,419USD26,042USD-17,977USD
Total Cash From Operating Activities-3,226,706USD-1,487,602USD-2,295,387USD-1,402,096USD-1,262,389USD-2,432,724USD-377,852USD-352,466USD
Capital Expenditures-4USD-29,537,439USD-833USD-4USD-20,719,762USD-9,876USD-1,248USD-4USD
Free Cash Flow-3,226,710USD-31,025,040USD-2,296,220USD-1,402,100USD-1,262,390USD-2,442,600USD-379,100USD-352,470USD
Investments31,872USD———68,367USD———
Total Cashflows From Investing Activities31,871USD-18,104,565USD-4,604,232USD-72,653USD-2,085,065USD-34,933USD-50,352USD-65,765USD
Net Borrowings0USD———4,150,000USD———
Total Cash From Financing Activities6,749,700USD19,112,042USD50,919,640USD500,000USD-298,207USD7,038,251USD140,000USD591,009USD
Issuance Of Capital Stock6,749,700USD———17,945,000USD———
Change In Cash-1,606,099USD-5,160,965USD44,020,021USD-974,749USD-3,645,661USD4,570,594USD-288,204USD172,777USD
Begin Period Cash Flow44,080,451USD44,080,451USD60,430USD1,035,179USD4,680,840USD110,246USD398,450USD225,673USD
End Period Cash Flow42,474,352USD38,919,486USD44,080,451USD60,430USD1,035,179USD4,680,840USD110,246USD398,450USD
Other Cashflows From Investing Activities31,871USD7,141,776USD-2,500,000USD—————
Unclassified Operating Cash Flow-1,156,066USD———————
Sale Purchase Of Stock—983,189USD-959,213USD—-298,207USD———
Other Cashflows From Financing Activities—42,140,304USD——————
Unclassified Investing Cash Flow—4,291,098USD-2,103,399USD—18,566,330USD———
Unclassified Financing Cash Flow—-24,011,451USD51,878,853USD—-4,150,000USD———
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Cash flow Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20252025-12-31 · USDFY 20242024-12-31 · USDFY 20232023-12-31 · USDFY 20222022-12-31 · USDFY 20212021-12-31 · USD
Net Income-8,502,885USD-3,999,905USD-3,324,180USD-1,504,681USD-857,255USD
Depreciation7,503,386USD98,317USD29,398USD2,160USD1,736USD
Stock Based Compensation1,389,989USD————
Other Non Cash Items-5,129,397USD298,362USD1,280,092USD62,111USD—
Change In Working Capital-318,578USD117,327USD-311,833USD356,450USD42,308USD
Total Cash From Operating Activities-6,447,474USD-3,485,899USD-2,326,523USD-1,083,960USD-813,211USD
Capital Expenditures-29,538,276USD-11,121USD-7,987USD0USD-6,449USD
Free Cash Flow-35,985,750USD-3,497,020USD-2,334,510USD-1,083,960USD-819,660USD
Investments4,641,776USD————
Total Cashflows From Investing Activities-24,866,515USD-211,950USD-176,499USD—-6,449USD
Net Borrowings0USD————
Total Cash From Financing Activities70,233,475USD8,119,477USD1,606,891USD1,814,858USD1,042,788USD
Sale Purchase Of Stock-274,231USD————
Issuance Of Capital Stock28,367,402USD————
Change In Cash34,238,646USD4,421,628USD-896,131USD730,898USD223,128USD
Begin Period Cash Flow4,680,840USD259,212USD1,155,343USD424,445USD201,317USD
End Period Cash Flow38,919,486USD4,680,840USD259,212USD1,155,343USD424,445USD
Other Cashflows From Investing Activities4,641,776USD————
Other Cashflows From Financing Activities42,140,304USD—33,000USD-33,000USD—
Unclassified Operating Cash Flow-1,389,989USD————
Unclassified Investing Cash Flow-4,611,791USD————
Unclassified Financing Cash Flow28,367,402USD—1,573,891USD1,847,858USD—
Change To Account Receivables—-17,037USD———
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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.