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COM:RIGETTI

Rigetti Computing, Inc.

  • Stock

USD

Last Close

1.48

22/11 21:00

Market Cap

185.67M

Beta: -

Volume Today

14.34M

Avg: -

Preview

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Jan '21
Mar '21
Jun '21
Sep '21
Mar '22
Jun '22
Sep '22
Dec '22
Mar '23
Jun '23
Sep '23
Dec '23
Mar '24
Jun '24
Sep '24
net income
-8.23M
-
-7.79M
5.41%
3.73M
-
-10.47M
380.56%
-9.97M
4.74%
-28.20M
182.79%
-22.87M
18.91%
-23.35M
2.11%
-16.97M
27.35%
-22.21M
30.94%
-12.57M
43.41%
-20.77M
65.23%
-12.42M
40.21%
-14.83M
19.42%
depreciation and amortization
1.12M
-
1.14M
2.58%
-1.06M
192.83%
1.39M
-
1.59M
14.24%
1.82M
14.80%
2.22M
21.56%
2.09M
5.73%
2.16M
3.40%
2.13M
1.30%
1.44M
32.50%
1.79M
24.18%
1.55M
13.43%
1.82M
17.71%
deferred income tax
143K
-
3.79M
2,548.95%
-7.49M
297.62%
stock based compensation
-110.59K
-
597K
639.83%
-495K
182.91%
11.48M
-
11.04M
3.83%
15.12M
36.95%
7.17M
52.59%
1.70M
76.24%
3.35M
97.01%
3.67M
9.36%
3.68M
0.35%
2.99M
18.77%
3.43M
-
change in working capital
1.03M
-
251K
75.55%
-25K
-
-3.54M
14,056%
3.31M
193.44%
-2.07M
162.59%
754K
136.43%
-6.72M
991.64%
5.41M
180.51%
61K
98.87%
-2.24M
-
3.42M
252.86%
accounts receivables
405.23K
-
450K
11.05%
1.76M
-
-3.68M
308.39%
465K
112.65%
-3.25M
797.85%
431K
113.28%
-3.12M
824.59%
5.72M
283.13%
-2.03M
135.55%
323K
115.89%
-526K
262.85%
-1.15M
119.01%
inventory
-1.48M
-
814K
-
-1.09M
233.42%
accounts payables
1.48M
-
-882K
159.51%
188K
121.32%
-13K
106.91%
-484K
3,623.08%
-814K
68.18%
1.09M
233.42%
1.11M
1.93%
334K
69.83%
-1.42M
524.85%
277K
119.52%
other working capital
621.32K
-
-199K
132.03%
-1.79M
-
1.02M
156.96%
2.65M
160.45%
1.19M
55.24%
807K
32.07%
-3.60M
546.10%
-306K
91.50%
987K
422.55%
-291K
-
4.29M
1,575.26%
other non cash items
1.56M
-
-3.73M
339.68%
-18.10M
384.93%
-18.48M
2.12%
-5.44M
70.55%
1.35M
124.80%
3.26M
141.48%
-39K
101.20%
2.67M
6,953.85%
2.56M
4.15%
4.63M
-
-9.26M
299.91%
net cash provided by operating activities
-6.20M
-
-5.79M
6.55%
-1.56M
73.13%
3.73M
339.68%
-15.72M
521.27%
-19.36M
23.17%
-13.40M
30.81%
-14.21M
6.05%
-15.55M
9.44%
-18.07M
16.22%
-4.54M
74.88%
-12.31M
171.23%
-13.14M
6.70%
-13.52M
2.88%
-15.43M
14.13%
investments in property plant and equipment
-817.49K
-
-1.49M
82.02%
-2.84M
-
-7.80M
175.04%
-8.66M
11%
-3.44M
60.23%
-4.80M
39.53%
-931K
80.62%
-1.78M
90.76%
-1.55M
12.84%
-5.49M
254.84%
-2.04M
62.77%
-2.28M
11.39%
acquisitions net
10.18M
-
-13.15M
229.17%
purchases of investments
-87.19M
-
2.90M
103.33%
-38.53M
1,429.01%
-19.09M
50.45%
-21.43M
12.24%
-30.20M
40.96%
-27.29M
9.66%
-48.71M
78.50%
-22.46M
53.90%
sales maturities of investments
28.35M
-
32.24M
13.75%
37.49M
16.28%
21.00M
43.98%
39M
85.70%
37.50M
3.85%
31.00M
17.34%
other investing activites
-10.18M
-
13.15M
229.17%
net cash used for investing activites
-817.49K
-
-1.49M
82.02%
-2.84M
-
-7.80M
175.04%
-95.84M
1,128.77%
-544K
99.43%
-14.99M
2,654.78%
12.22M
181.55%
14.29M
16.92%
-10.75M
175.24%
6.22M
157.86%
-13.25M
313.07%
6.26M
147.27%
debt repayment
-85K
-
-1.29M
-
-1.80M
39.27%
-1.06M
41.05%
-2.55M
140.28%
-2.93M
14.96%
-3.15M
-
common stock issued
315K
-
6.07M
1,826.35%
751K
87.62%
2.50M
232.89%
12.70M
408.12%
-14.93M
217.51%
12.84M
186.01%
15.81M
23.15%
-26.90M
270.15%
common stock repurchased
dividends paid
other financing activites
12.03M
-
213.44M
-
4.41M
97.94%
-992K
122.51%
-6.41M
546.37%
-107K
98.33%
99K
-
20.44M
20,543.43%
7.87M
61.48%
-273K
103.47%
8.69M
3,283.88%
net cash used provided by financing activities
12.03M
-
213.44M
-
4.32M
97.98%
-677K
115.67%
-1.64M
141.51%
-1.15M
29.42%
1.44M
224.78%
10.26M
612.15%
2.58M
74.82%
20.71M
702.09%
12.38M
40.21%
8.69M
29.81%
effect of forex changes on cash
49.06K
-
42K
14.39%
9K
-
37K
311.11%
-265K
816.22%
320K
220.75%
-83K
125.94%
4K
104.82%
41K
925%
118K
187.80%
-85K
172.03%
72K
-
net change in cash
-6.97M
-
4.79M
168.66%
-1.56M
132.54%
3.73M
339.68%
194.90M
5,122.53%
-22.81M
111.70%
-110.18M
383.13%
-16.07M
85.42%
-31.77M
97.75%
-4.41M
86.14%
20.05M
555.05%
-20.36M
201.60%
13.71M
167.30%
-14.41M
205.17%
-398K
97.24%
cash at beginning of period
29.49M
-
24.39M
17.28%
12.05M
-
206.94M
1,617.94%
184.14M
11.02%
73.95M
59.84%
57.89M
21.72%
26.12M
54.88%
21.71M
16.87%
41.76M
92.32%
21.39M
48.77%
35.10M
64.07%
20.68M
41.07%
cash at end of period
22.52M
-
29.18M
29.57%
-1.56M
105.34%
3.73M
339.68%
206.94M
5,445.32%
184.14M
11.02%
73.95M
59.84%
57.89M
21.72%
26.12M
54.88%
21.71M
16.87%
41.76M
92.32%
21.39M
48.77%
35.10M
64.07%
20.68M
41.07%
20.29M
1.92%
operating cash flow
-6.20M
-
-5.79M
6.55%
-1.56M
73.13%
3.73M
339.68%
-15.72M
521.27%
-19.36M
23.17%
-13.40M
30.81%
-14.21M
6.05%
-15.55M
9.44%
-18.07M
16.22%
-4.54M
74.88%
-12.31M
171.23%
-13.14M
6.70%
-13.52M
2.88%
-15.43M
14.13%
capital expenditure
-817.49K
-
-1.49M
82.02%
-2.84M
-
-7.80M
175.04%
-8.66M
11%
-3.44M
60.23%
-4.80M
39.53%
-931K
80.62%
-1.78M
90.76%
-1.55M
12.84%
-5.49M
254.84%
-2.04M
62.77%
-2.28M
11.39%
free cash flow
-7.02M
-
-7.28M
3.77%
-1.56M
78.62%
3.73M
339.68%
-18.56M
597.26%
-27.16M
46.38%
-22.05M
18.81%
-17.65M
19.97%
-20.35M
15.31%
-19.00M
6.64%
-6.32M
66.76%
-13.86M
119.47%
-18.63M
34.41%
-15.56M
16.48%
-17.70M
13.77%

All numbers in USD (except ratios and percentages)