US Stock MarketDetailed Quotes

ARQQ Arqit Quantum

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  • 0.361
  • +0.037+11.52%
Close Jul 12 16:00 ET
  • 0.372
  • +0.011+3.05%
Post 19:43 ET
60.59MMarket Cap-551P/E (TTM)

Arqit Quantum Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Mar 31, 2024
(FY)Sep 30, 2023
(Q4)Sep 30, 2023
(Q2)Mar 31, 2023
(FY)Sep 30, 2022
(Q4)Sep 30, 2022
(Q2)Mar 31, 2022
(FY)Sep 30, 2021
(Q4)Sep 30, 2021
(FY)Sep 30, 2020
Assets
Current assets
Cash, cash equivalents and short term investments
-48.61%21.33M
-9.21%44.46M
-9.21%44.46M
-49.48%41.5M
-43.70%48.97M
-43.70%48.97M
--82.16M
44,497.95%86.97M
--86.97M
-95.39%195K
-Cash and cash equivalents
-48.61%21.33M
-9.21%44.46M
-9.21%44.46M
-49.48%41.5M
-43.70%48.97M
-43.70%48.97M
--82.16M
44,497.95%86.97M
--86.97M
-95.39%195K
Receivables
83.35%7.8M
-58.10%3.22M
-58.10%3.22M
-72.77%4.25M
133.20%7.68M
133.20%7.68M
--15.61M
1,075.71%3.29M
--3.29M
-68.80%280K
-Accounts receivable
4.66%1.17M
-78.51%1.27M
-78.51%1.27M
-92.85%1.12M
10,292.98%5.92M
10,292.98%5.92M
--15.61M
--57K
--57K
--0
-Other receivables
111.35%6.63M
10.90%1.94M
10.90%1.94M
--3.14M
-45.81%1.75M
-45.81%1.75M
----
1,055.36%3.24M
--3.24M
-68.80%280K
Total current assets
-36.35%29.12M
52.44%86.35M
52.44%86.35M
-53.20%45.76M
-37.24%56.64M
-37.24%56.64M
--97.77M
18,901.68%90.26M
--90.26M
-90.73%475K
Non current assets
Net PPE
-27.07%6.96M
-2.89%8.1M
-2.89%8.1M
20.89%9.54M
4,093.47%8.35M
4,093.47%8.35M
--7.89M
637.04%199K
--199K
431.08%27K
-Gross PPE
-27.07%6.96M
25.11%11.97M
25.11%11.97M
--9.54M
3,638.67%9.57M
3,638.67%9.57M
----
700.00%256K
--256K
494.46%32K
-Accumulated depreciation
----
-215.66%-3.87M
-215.66%-3.87M
----
-2,050.88%-1.23M
-2,050.88%-1.23M
----
-1,040.00%-57K
---57K
-1,572.24%-5K
Goodwill and other intangible assets
-93.47%3.74M
-91.53%3.41M
-91.53%3.41M
90.76%57.22M
120.95%40.29M
120.95%40.29M
--30M
107.76%18.24M
--18.24M
116.87%8.78M
-Other intangible assets
----
-91.53%3.41M
-91.53%3.41M
90.76%57.22M
120.95%40.29M
120.95%40.29M
--30M
107.76%18.24M
--18.24M
116.87%8.78M
Investments and advances
3.23%32K
7.14%30K
7.14%30K
-5.46%31K
-17.65%28K
-17.65%28K
--32.79K
6.25%34K
--34K
--32K
Non current accounts receivable
1.77%1.95M
-29.87%1.89M
-29.87%1.89M
-74.54%1.92M
--2.69M
--2.69M
--7.53M
----
----
----
Non current prepaid assets
----
--0
--0
----
217.46%15.87M
217.46%15.87M
----
--5M
--5M
--0
Total non current assets
-81.55%12.68M
-80.01%13.44M
-80.01%13.44M
51.16%68.71M
186.47%67.23M
186.47%67.23M
--45.45M
165.60%23.47M
--23.47M
118.05%8.84M
Total assets
-63.48%41.8M
-19.45%99.79M
-19.45%99.79M
-20.08%114.47M
8.92%123.87M
8.92%123.87M
--143.23M
1,121.42%113.73M
--113.73M
1.47%9.31M
Liabilities
Current liabilities
Payables
-28.78%10.48M
-24.88%13.99M
-24.88%13.99M
-22.30%14.72M
66.65%18.63M
66.65%18.63M
--18.95M
1,674.13%11.18M
--11.18M
94.13%630K
-accounts payable
-38.29%8.2M
-32.56%11.79M
-32.56%11.79M
-29.87%13.29M
79.30%17.48M
79.30%17.48M
--18.95M
3,693.00%9.75M
--9.75M
1.67%257K
-Total tax payable
88.10%1.53M
132.39%1.47M
132.39%1.47M
--815K
54.39%633K
54.39%633K
----
23.87%410K
--410K
375.73%331K
-Other payable
21.29%752K
42.05%733K
42.05%733K
--620K
-49.36%516K
-49.36%516K
----
2,326.19%1.02M
--1.02M
1,824.84%42K
Current accrued expenses
-5.60%4.23M
26.77%4.82M
26.77%4.82M
--4.48M
17.52%3.8M
17.52%3.8M
----
1,551.02%3.24M
--3.24M
-90.11%196K
Current debt and capital lease obligation
54.18%2.44M
83.54%2.12M
83.54%2.12M
46.99%1.58M
--1.15M
--1.15M
--1.07M
----
----
--5.46M
-Current debt
----
----
----
----
----
----
----
----
----
--5.46M
-Current capital lease obligation
54.18%2.44M
83.54%2.12M
83.54%2.12M
46.99%1.58M
--1.15M
--1.15M
--1.07M
--0
--0
--0
Current deferred liabilities
--30K
-92.00%18K
-92.00%18K
--0
-91.53%225K
-91.53%225K
----
70.26%2.66M
--2.66M
4.56%1.56M
Other current liabilities
----
--5.87M
--5.87M
----
----
----
----
----
----
----
Current liabilities
-17.33%17.18M
12.64%26.82M
12.64%26.82M
3.81%20.78M
39.49%23.81M
39.49%23.81M
--20.02M
117.55%17.07M
--17.07M
106.57%7.85M
Non current liabilities
Long term debt and capital lease obligation
-30.97%5.24M
-5.94%6.28M
-5.94%6.28M
-5.10%7.6M
--6.68M
--6.68M
--8M
--0
--0
--0
-Long term capital lease obligation
-30.97%5.24M
-5.94%6.28M
-5.94%6.28M
-5.10%7.6M
--6.68M
--6.68M
--8M
--0
--0
--0
Non current deferred liabilities
--0
-99.43%24K
-99.43%24K
----
70.04%4.18M
70.04%4.18M
--0
360.67%2.46M
--2.46M
-29.50%534K
Derivative product liabilities
-98.74%8K
-99.94%6K
-99.94%6K
-98.86%633K
-91.69%10.64M
-91.69%10.64M
--55.57M
--128.04M
--128.04M
--0
Total non current liabilities
-31.28%9.29M
-70.64%6.31M
-70.64%6.31M
-79.92%13.52M
-83.52%21.51M
-83.52%21.51M
--67.33M
24,337.83%130.5M
--130.5M
-86.83%534K
Total liabilities
-22.83%26.47M
-26.89%33.13M
-26.89%33.13M
-60.73%34.3M
-69.29%45.32M
-69.29%45.32M
--87.35M
1,660.94%147.57M
--147.57M
6.71%8.38M
Shareholders'equity
Share capital
30.77%17K
33.33%16K
33.33%16K
6.63%13K
9.09%12K
9.09%12K
--12.19K
--11K
--11K
--0
-common stock
30.77%17K
33.33%16K
33.33%16K
6.63%13K
9.09%12K
9.09%12K
--12.19K
--11K
--11K
--0
Retained earnings
-42.03%-325.21M
-33.98%-277.53M
-33.98%-277.53M
-6.91%-228.98M
23.91%-207.14M
23.91%-207.14M
---214.17M
-55,911.32%-272.22M
---272.22M
-686.78%-486K
Paid-in capital
25.48%137.02M
48.44%137.02M
48.44%137.02M
18.33%109.2M
30.01%92.31M
30.01%92.31M
--92.28M
--71M
--71M
--0
Gains losses not affecting retained earnings
-1.14%165.75M
-0.92%168.59M
-0.92%168.59M
0.20%167.66M
1.86%170.16M
1.86%170.16M
--167.32M
129,604.65%167.06M
--167.06M
29.15%-129K
Other equity interest
16.98%37.75M
66.07%38.56M
66.07%38.56M
209.22%32.27M
7,562.05%23.22M
7,562.05%23.22M
--10.44M
-80.40%303K
--303K
8.71%1.55M
Total stockholders'equity
-80.88%15.33M
-15.15%66.65M
-15.15%66.65M
43.47%80.16M
332.13%78.56M
332.13%78.56M
--55.88M
-3,734.91%-33.84M
---33.84M
-29.63%931K
Total equity
-80.88%15.33M
-15.15%66.65M
-15.15%66.65M
43.47%80.16M
332.13%78.56M
332.13%78.56M
--55.88M
-3,734.91%-33.84M
---33.84M
-29.63%931K
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
Unqualified Opinion
--
--
Unqualified Opinion
--
--
Unqualified Opinion
--
--
(Q2)Mar 31, 2024(FY)Sep 30, 2023(Q4)Sep 30, 2023(Q2)Mar 31, 2023(FY)Sep 30, 2022(Q4)Sep 30, 2022(Q2)Mar 31, 2022(FY)Sep 30, 2021(Q4)Sep 30, 2021(FY)Sep 30, 2020
Assets
Current assets
Cash, cash equivalents and short term investments -48.61%21.33M-9.21%44.46M-9.21%44.46M-49.48%41.5M-43.70%48.97M-43.70%48.97M--82.16M44,497.95%86.97M--86.97M-95.39%195K
-Cash and cash equivalents -48.61%21.33M-9.21%44.46M-9.21%44.46M-49.48%41.5M-43.70%48.97M-43.70%48.97M--82.16M44,497.95%86.97M--86.97M-95.39%195K
Receivables 83.35%7.8M-58.10%3.22M-58.10%3.22M-72.77%4.25M133.20%7.68M133.20%7.68M--15.61M1,075.71%3.29M--3.29M-68.80%280K
-Accounts receivable 4.66%1.17M-78.51%1.27M-78.51%1.27M-92.85%1.12M10,292.98%5.92M10,292.98%5.92M--15.61M--57K--57K--0
-Other receivables 111.35%6.63M10.90%1.94M10.90%1.94M--3.14M-45.81%1.75M-45.81%1.75M----1,055.36%3.24M--3.24M-68.80%280K
Total current assets -36.35%29.12M52.44%86.35M52.44%86.35M-53.20%45.76M-37.24%56.64M-37.24%56.64M--97.77M18,901.68%90.26M--90.26M-90.73%475K
Non current assets
Net PPE -27.07%6.96M-2.89%8.1M-2.89%8.1M20.89%9.54M4,093.47%8.35M4,093.47%8.35M--7.89M637.04%199K--199K431.08%27K
-Gross PPE -27.07%6.96M25.11%11.97M25.11%11.97M--9.54M3,638.67%9.57M3,638.67%9.57M----700.00%256K--256K494.46%32K
-Accumulated depreciation -----215.66%-3.87M-215.66%-3.87M-----2,050.88%-1.23M-2,050.88%-1.23M-----1,040.00%-57K---57K-1,572.24%-5K
Goodwill and other intangible assets -93.47%3.74M-91.53%3.41M-91.53%3.41M90.76%57.22M120.95%40.29M120.95%40.29M--30M107.76%18.24M--18.24M116.87%8.78M
-Other intangible assets -----91.53%3.41M-91.53%3.41M90.76%57.22M120.95%40.29M120.95%40.29M--30M107.76%18.24M--18.24M116.87%8.78M
Investments and advances 3.23%32K7.14%30K7.14%30K-5.46%31K-17.65%28K-17.65%28K--32.79K6.25%34K--34K--32K
Non current accounts receivable 1.77%1.95M-29.87%1.89M-29.87%1.89M-74.54%1.92M--2.69M--2.69M--7.53M------------
Non current prepaid assets ------0--0----217.46%15.87M217.46%15.87M------5M--5M--0
Total non current assets -81.55%12.68M-80.01%13.44M-80.01%13.44M51.16%68.71M186.47%67.23M186.47%67.23M--45.45M165.60%23.47M--23.47M118.05%8.84M
Total assets -63.48%41.8M-19.45%99.79M-19.45%99.79M-20.08%114.47M8.92%123.87M8.92%123.87M--143.23M1,121.42%113.73M--113.73M1.47%9.31M
Liabilities
Current liabilities
Payables -28.78%10.48M-24.88%13.99M-24.88%13.99M-22.30%14.72M66.65%18.63M66.65%18.63M--18.95M1,674.13%11.18M--11.18M94.13%630K
-accounts payable -38.29%8.2M-32.56%11.79M-32.56%11.79M-29.87%13.29M79.30%17.48M79.30%17.48M--18.95M3,693.00%9.75M--9.75M1.67%257K
-Total tax payable 88.10%1.53M132.39%1.47M132.39%1.47M--815K54.39%633K54.39%633K----23.87%410K--410K375.73%331K
-Other payable 21.29%752K42.05%733K42.05%733K--620K-49.36%516K-49.36%516K----2,326.19%1.02M--1.02M1,824.84%42K
Current accrued expenses -5.60%4.23M26.77%4.82M26.77%4.82M--4.48M17.52%3.8M17.52%3.8M----1,551.02%3.24M--3.24M-90.11%196K
Current debt and capital lease obligation 54.18%2.44M83.54%2.12M83.54%2.12M46.99%1.58M--1.15M--1.15M--1.07M----------5.46M
-Current debt --------------------------------------5.46M
-Current capital lease obligation 54.18%2.44M83.54%2.12M83.54%2.12M46.99%1.58M--1.15M--1.15M--1.07M--0--0--0
Current deferred liabilities --30K-92.00%18K-92.00%18K--0-91.53%225K-91.53%225K----70.26%2.66M--2.66M4.56%1.56M
Other current liabilities ------5.87M--5.87M----------------------------
Current liabilities -17.33%17.18M12.64%26.82M12.64%26.82M3.81%20.78M39.49%23.81M39.49%23.81M--20.02M117.55%17.07M--17.07M106.57%7.85M
Non current liabilities
Long term debt and capital lease obligation -30.97%5.24M-5.94%6.28M-5.94%6.28M-5.10%7.6M--6.68M--6.68M--8M--0--0--0
-Long term capital lease obligation -30.97%5.24M-5.94%6.28M-5.94%6.28M-5.10%7.6M--6.68M--6.68M--8M--0--0--0
Non current deferred liabilities --0-99.43%24K-99.43%24K----70.04%4.18M70.04%4.18M--0360.67%2.46M--2.46M-29.50%534K
Derivative product liabilities -98.74%8K-99.94%6K-99.94%6K-98.86%633K-91.69%10.64M-91.69%10.64M--55.57M--128.04M--128.04M--0
Total non current liabilities -31.28%9.29M-70.64%6.31M-70.64%6.31M-79.92%13.52M-83.52%21.51M-83.52%21.51M--67.33M24,337.83%130.5M--130.5M-86.83%534K
Total liabilities -22.83%26.47M-26.89%33.13M-26.89%33.13M-60.73%34.3M-69.29%45.32M-69.29%45.32M--87.35M1,660.94%147.57M--147.57M6.71%8.38M
Shareholders'equity
Share capital 30.77%17K33.33%16K33.33%16K6.63%13K9.09%12K9.09%12K--12.19K--11K--11K--0
-common stock 30.77%17K33.33%16K33.33%16K6.63%13K9.09%12K9.09%12K--12.19K--11K--11K--0
Retained earnings -42.03%-325.21M-33.98%-277.53M-33.98%-277.53M-6.91%-228.98M23.91%-207.14M23.91%-207.14M---214.17M-55,911.32%-272.22M---272.22M-686.78%-486K
Paid-in capital 25.48%137.02M48.44%137.02M48.44%137.02M18.33%109.2M30.01%92.31M30.01%92.31M--92.28M--71M--71M--0
Gains losses not affecting retained earnings -1.14%165.75M-0.92%168.59M-0.92%168.59M0.20%167.66M1.86%170.16M1.86%170.16M--167.32M129,604.65%167.06M--167.06M29.15%-129K
Other equity interest 16.98%37.75M66.07%38.56M66.07%38.56M209.22%32.27M7,562.05%23.22M7,562.05%23.22M--10.44M-80.40%303K--303K8.71%1.55M
Total stockholders'equity -80.88%15.33M-15.15%66.65M-15.15%66.65M43.47%80.16M332.13%78.56M332.13%78.56M--55.88M-3,734.91%-33.84M---33.84M-29.63%931K
Total equity -80.88%15.33M-15.15%66.65M-15.15%66.65M43.47%80.16M332.13%78.56M332.13%78.56M--55.88M-3,734.91%-33.84M---33.84M-29.63%931K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion----Unqualified Opinion----Unqualified Opinion----

Analysis

Analyst Rating

No Data

Price Target

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