RGTI

Rigetti Computing, Inc.

RGTI | NASDAQ Capital Market

9.37USD1.9 %

Market Value Ratio

Annual
Breakdown2024-12-222023-12-312022-12-312021-12-312021-01-312020-01-31
Price-to-Earnings ratio (P/E)
-29.13
%1583.14
-1.73
%-15.35
-2.04
%-58.30
-4.9
%-80.24
-24.81
%20.84
-20.53
Price to Sales Ratio (P/S)
190.91
%1663.65
10.82
%90.12
5.69
%-75.11
22.88
%-70.30
77.03
%-94.97
1.53 K
Price-to-Cash Flow ratio (P/CF)
-32.45
%1162.70
-2.57
%115.97
-1.19
%-81.41
-6.4
%-54.92
-14.2
%-53.51
-30.54
Price to Free Cash Flow Ratio (PFCF)
-34.52
%1483.98
-2.18
%149.59
-0.8732
%-83.09
-5.17
%-58.30
-12.39
%-56.05
-28.18
Price to Book (PB) Ratio
14.37
%1111.53
1.19
%138.86
0.4966
%-118.94
-2.62
%-78.25
-12.05
%37.35
-8.77
Dividend Yield
0
0
0
0
0
0
Payout Ratio
0
0
0
0
0
0
Price Earnings to Growth Ratio (PEG)
-1.52
%5027.34
-0.0297
%-220.23
0.0247
%-313.89
-0.0115
%-100.77
1.49
0
Enterprise Value Multiplier
-45.52
%1869.69
-2.31
%142.79
-0.9518
%-85.23
-6.44
%-44.13
-11.53
%-56.24
-26.36
Price Fair Value
14.37
%1111.53
1.19
%138.86
0.4966
%-118.94
-2.62
%-78.25
-12.05
%37.35
-8.77

Efficiency Ratio

Annual
Breakdown2024-12-222023-12-312022-12-312021-12-312021-01-312020-01-31
Receivables Turnover
1.86
%-21.99
2.39
%13.63
2.1
%-60.44
5.31
%-54.06
11.56
%197.08
3.89
Inventory Turnover
0
0
0.9670
%-29.66
1.37
0
0
Fixed Asset Turnover
0.2235
%-2.99
0.2304
%-14.10
0.2682
%-26.37
0.3643
%32.38
0.2752
%649.82
0.0367
Operating Cycle
195.94
%28.18
152.86
%-72.26
551.15
%64.91
334.22
%958.71
31.57
%-66.34
93.78
Cash Conversion Cycle (CCC)
121.91
%-120.33
-599.56
%-296.62
304.93
%38.89
219.55
%-191.66
-239.54
%-93.76
-3.84 K
Days of Sales Outstanding (DSO)
195.94
%28.18
152.86
%-11.99
173.7
%152.78
68.72
%117.67
31.57
%-66.34
93.78
Days of Inventory Outstanding (DIO)
0
0
377.45
%42.16
265.5
0
0
Days of Payables Outstanding (DPO)
74.03
%-90.16
752.42
%205.60
246.21
%114.72
114.67
%-57.71
271.11
%-93.10
3.93 K
Payables Turnover
4.93
%916.32
0.4851
%-67.28
1.48
%-53.43
3.18
%136.44
1.35
%1349.72
0.0929

Cash Flow Ratio

Annual
Breakdown2024-12-222023-12-312022-12-312021-12-312021-01-312020-01-31
Operating Cash Flow Sales Ratio
-4.57
%8.60
-4.21
%-11.97
-4.78
%33.88
-3.57
%-34.12
-5.42
%-89.18
-50.16
Free Cash Flow Operating Cash Flow Ratio
1.21
%2.53
1.18
%-13.47
1.36
%9.96
1.24
%8.10
1.15
%5.76
1.08
Cash Flow Coverage Ratios
-4.09
%96.12
-2.08
%4.00
-2
%69.61
-1.18
0
-1.37
Short Term Coverage Ratios
-4.84
%37.45
-3.52
%-40.23
-5.89
%-74.06
-22.7
0
-1.37
Capital Expenditure Coverage Ratio
-4.79
%-14.27
-5.58
%102.50
-2.76
%-34.03
-4.18
%-38.83
-6.83
%-42.69
-11.92
Dividend Paid and Capex Coverage Ratio
-4.79
%-14.27
-5.58
%102.50
-2.76
%-34.03
-4.18
%-38.83
-6.83
%-42.69
-11.92
Cash per Share
0.4914
%-35.10
0.7572
%-45.76
1.4
%116.88
0.6437
%25.03
0.5148
%18880.41
0.0027
Free Cashflow per Share
-0.3491
%-22.75
-0.4519
%-45.89
-0.8350
%-58.08
-1.99
%149.25
-0.7993
%127.51
-0.3513
Operating Cashflow per Share
-0.2887
%-24.66
-0.3832
%-37.46
-0.6128
%-61.88
-1.61
%130.57
-0.6972
%115.11
-0.3241