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D-Wave Quantum Inc.
QBTS | New York Stock Exchange
6.44
USD
0.07 %
Market Value Ratio
Annual
Breakdown
2024-12-22
2023-12-31
2022-12-31
2021-12-31
2020-12-31
Price-to-Earnings ratio (P/E)
-17.59
%1097.81
-1.47
%-66.79
-4.42
%-87.76
-36.12
%68.83
-21.4
Price to Sales Ratio (P/S)
198.7
%1332.88
13.87
%-42.27
24.02
%-87.75
196.03
%159.11
75.65
Price-to-Cash Flow ratio (P/CF)
-21.86
%991.44
-2
%-47.44
-3.81
%-89.23
-35.37
%165.35
-13.33
Price to Free Cash Flow Ratio (PFCF)
-30.55
%1441.70
-1.98
%-47.40
-3.77
%-88.73
-33.45
%157.70
-12.98
Price to Book (PB) Ratio
-76.75
%1447.07
-4.96
%-82.23
-27.92
%-106.85
407.57
%3317.07
11.93
Dividend Yield
0
0
0
0
0
Payout Ratio
0
0
0
0
0
Price Earnings to Growth Ratio (PEG)
-7.56
%42041.10
-0.0179
%-90.98
-0.1990
%-124.73
0.8046
0
Enterprise Value Multiplier
-27.47
%1353.46
-1.89
%-49.69
-3.76
%-89.61
-36.16
%36.09
-26.57
Price Fair Value
-76.75
%1447.07
-4.96
%-82.23
-27.92
%-106.85
407.57
%3317.07
11.93
Efficiency Ratio
Annual
Breakdown
2024-12-22
2023-12-31
2022-12-31
2021-12-31
2020-12-31
Receivables Turnover
6.47
%28.45
5.04
%-42.75
8.8
%-38.61
14.34
%4396.55
0.3188
Inventory Turnover
1.77
%-11.11
1.99
%49.53
1.33
%60.79
0.8278
%128.08
0.3630
Fixed Asset Turnover
0.8524
%4.86
0.8129
%29.50
0.6277
%18.24
0.5309
%-39.89
0.8833
Operating Cycle
262.69
%2.69
255.82
%-18.97
315.69
%-32.31
466.38
%-78.31
2.15 K
Cash Conversion Cycle (CCC)
187.24
%47.98
126.53
%-182.52
-153.33
%-678.51
26.5
%-97.93
1.28 K
Days of Sales Outstanding (DSO)
56.39
%-22.15
72.43
%74.66
41.47
%62.88
25.46
%-97.78
1.14 K
Days of Inventory Outstanding (DIO)
206.29
%12.49
183.38
%-33.13
274.22
%-37.81
440.92
%-56.16
1.01 K
Days of Payables Outstanding (DPO)
75.45
%-41.64
129.29
%-72.43
469.02
%6.62
439.88
%-49.32
868.02
Payables Turnover
4.84
%71.35
2.82
%262.78
0.7782
%-6.21
0.8298
%97.33
0.4205
Cash Flow Ratio
Annual
Breakdown
2024-12-22
2023-12-31
2022-12-31
2021-12-31
2020-12-31
Operating Cash Flow Sales Ratio
-6.3
%-8.98
-6.92
%9.83
-6.31
%13.76
-5.54
%-2.35
-5.68
Free Cash Flow Operating Cash Flow Ratio
1.03
%2.11
1.01
%-0.06
1.01
%-4.39
1.06
%2.97
1.03
Cash Flow Coverage Ratios
-1.25
%34.84
-0.9242
%-31.64
-1.35
%-51.47
-2.79
%-84.06
-17.47
Short Term Coverage Ratios
-3.8
%-88.90
-34.21
%72.68
-19.81
%-85.26
-134.36
%62.87
-82.5
Capital Expenditure Coverage Ratio
-32.58
%-66.15
-96.27
%6.00
-90.82
%421.67
-17.41
%-53.10
-37.12
Dividend Paid and Capex Coverage Ratio
-32.58
%-66.15
-96.27
%6.00
-90.82
%421.67
-17.41
%-53.10
-37.12
Cash per Share
0.1452
%-51.49
0.2993
%406.94
0.0590
%-21.95
0.0757
%-86.70
0.5689
Free Cashflow per Share
-0.3040
%-31.54
-0.4441
%16.20
-0.3822
%30.17
-0.2936
%-63.39
-0.8020
Operating Cashflow per Share
-0.2947
%-32.96
-0.4395
%16.27
-0.3780
%36.15
-0.2776
%-64.45
-0.7810
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