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IONQ IonQ Inc

Watchlist
  • 29.930
  • +0.200+0.67%
Close Feb 26 16:00 ET
  • 29.700
  • -0.230-0.77%
Pre 06:40 ET
6.67BMarket Cap-19.19P/E (TTM)

IonQ Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
-4.26%340.29M
-4.26%340.29M
22.74%301.78M
19.32%281.71M
-31.37%266.19M
-0.10%355.44M
-0.10%355.44M
-15.91%245.88M
-26.05%236.09M
-6.74%387.87M
-Cash and cash equivalents
52.51%54.39M
52.51%54.39M
-18.75%30.17M
198.57%41.75M
15.75%60.07M
-19.61%35.67M
-19.61%35.67M
-35.07%37.14M
-68.20%13.98M
-40.17%51.9M
-Short-term investments
-10.59%285.9M
-10.59%285.9M
30.12%271.61M
8.04%239.96M
-38.65%206.11M
2.68%319.78M
2.68%319.78M
-11.25%208.74M
-19.32%222.11M
2.07%335.97M
Receivables
-8.60%12.41M
-8.60%12.41M
-50.22%70.26M
-32.41%95.98M
6,362.77%118.72M
312.39%13.58M
312.39%13.58M
21.56%141.15M
34.12%142M
222.85%1.84M
-Accounts receivable
-23.91%6.52M
-23.91%6.52M
286.85%3.27M
366.40%5.9M
755.54%8.56M
644.70%8.56M
644.70%8.56M
-37.39%844K
59.32%1.27M
931.96%1M
-Notes receivable
----
----
-53.71%63.93M
-36.89%88.09M
--109.17M
----
----
21.97%138.12M
34.08%139.57M
----
-Accrued interest receivable
5.31%2.22M
5.31%2.22M
--2.19M
----
----
--2.11M
--2.11M
----
----
----
-Other receivables
26.49%3.67M
26.49%3.67M
-60.16%872K
71.37%1.99M
18.66%992K
35.53%2.9M
35.53%2.9M
43.26%2.19M
17.71%1.16M
77.12%836K
Inventory
49.55%18.66M
49.55%18.66M
--17.95M
--19.22M
--16.25M
141.60%12.48M
141.60%12.48M
----
----
----
Prepaid assets
-14.15%4.89M
-14.15%4.89M
--3.1M
--4.43M
--5.14M
44.13%5.7M
44.13%5.7M
----
----
----
Other current assets
-8.71%2.56M
-8.71%2.56M
-86.27%2.31M
-73.44%3.52M
-71.23%3.64M
-18.20%2.8M
-18.20%2.8M
106.74%16.82M
158.87%13.24M
116.92%12.64M
Total current assets
-2.87%378.8M
-2.87%378.8M
-2.09%395.4M
3.46%404.86M
1.89%409.93M
4.94%389.99M
4.94%389.99M
-3.07%403.84M
-9.05%391.33M
-4.73%402.34M
Non current assets
Net PPE
47.72%62.23M
47.72%62.23M
45.28%59.48M
66.66%57.82M
59.96%51.64M
41.53%42.13M
41.53%42.13M
41.73%40.94M
20.61%34.69M
28.65%32.28M
-Gross PPE
58.38%89.84M
58.38%89.84M
56.60%83.16M
73.48%78.05M
68.32%68.97M
52.38%56.73M
52.38%56.73M
49.74%53.1M
31.41%44.99M
38.94%40.98M
-Accumulated depreciation
-89.14%-27.61M
-89.14%-27.61M
-94.72%-23.67M
-96.48%-20.23M
-99.39%-17.33M
-95.67%-14.6M
-95.67%-14.6M
-85.00%-12.16M
-88.21%-10.3M
-97.66%-8.69M
Goodwill and other intangible assets
148.90%39.37M
148.90%39.37M
31.98%18.21M
43.92%17.69M
62.99%17.59M
63.32%15.82M
63.32%15.82M
81.59%13.8M
79.70%12.29M
74.79%10.79M
-Goodwill
1,234.77%9.9M
1,234.77%9.9M
-2.02%727K
-3.10%719K
-2.16%726K
0.00%742K
0.00%742K
--742K
--742K
--742K
-Other intangible assets
95.46%29.47M
95.46%29.47M
33.91%17.49M
46.94%16.97M
67.79%16.87M
68.57%15.08M
68.57%15.08M
--13.06M
--11.55M
--10.05M
Investments and advances
-76.57%23.55M
-76.57%23.55M
-61.96%13.7M
-35.94%28.8M
-66.95%45.49M
-44.79%100.49M
-44.79%100.49M
298.91%36M
390.85%44.96M
-19.25%137.65M
Long-term notes receivables
----
----
-94.72%3.44M
-96.19%3.37M
--13.6M
----
----
-53.86%65.11M
-36.19%88.59M
----
Other non current assets
-13.93%4.44M
-13.93%4.44M
35.26%7.68M
-2.02%4.9M
15.54%5.61M
4.99%5.16M
4.99%5.16M
71.34%5.68M
58.81%5M
42.10%4.86M
Total non current assets
-20.79%129.59M
-20.79%129.59M
-36.54%102.51M
-39.32%112.58M
-27.83%133.93M
-27.73%163.59M
-27.73%163.59M
-14.96%161.54M
-0.65%185.53M
-9.54%185.58M
Total assets
-8.16%508.39M
-8.16%508.39M
-11.93%497.91M
-10.30%517.44M
-7.49%543.86M
-7.43%553.58M
-7.43%553.58M
-6.80%565.38M
-6.51%576.85M
-6.30%587.92M
Liabilities
Current liabilities
Payables
-6.59%5.23M
-6.59%5.23M
-24.25%4.85M
38.68%6.32M
62.69%5.85M
83.27%5.6M
83.27%5.6M
27.09%6.41M
23.91%4.56M
82.87%3.6M
-accounts payable
-6.59%5.23M
-6.59%5.23M
-24.25%4.85M
38.68%6.32M
62.69%5.85M
83.27%5.6M
83.27%5.6M
27.09%6.41M
23.91%4.56M
82.87%3.6M
Current accrued expenses
-10.62%16.42M
-10.62%16.42M
-0.29%15.66M
-3.52%8.93M
11.97%10.54M
176.12%18.38M
176.12%18.38M
92.04%15.7M
130.18%9.25M
119.03%9.41M
Current debt and capital lease obligation
374.08%3.37M
374.08%3.37M
344.46%3.09M
135.51%1.48M
93.11%1.18M
20.14%710K
20.14%710K
19.42%695K
8.84%628K
6.46%610K
-Current capital lease obligation
374.08%3.37M
374.08%3.37M
344.46%3.09M
135.51%1.48M
93.11%1.18M
20.14%710K
20.14%710K
19.42%695K
8.84%628K
6.46%610K
Current deferred liabilities
-11.66%10.68M
-11.66%10.68M
59.74%8.33M
62.17%13.67M
166.00%16.74M
38.47%12.09M
38.47%12.09M
10.98%5.22M
72.53%8.43M
84.20%6.29M
Other current liabilities
-1.28%387K
-1.28%387K
-31.94%392K
-48.49%392K
-58.52%392K
-65.31%392K
-65.31%392K
-49.03%576K
-32.65%761K
-16.37%945K
Current liabilities
-2.90%36.09M
-2.90%36.09M
13.03%32.32M
30.30%30.79M
66.37%34.71M
84.35%37.16M
84.35%37.16M
45.68%28.6M
65.33%23.63M
83.22%20.86M
Non current liabilities
Long term debt and capital lease obligation
94.17%14.36M
94.17%14.36M
134.06%15.21M
170.14%15.15M
156.97%14.45M
113.79%7.4M
113.79%7.4M
85.08%6.5M
57.73%5.61M
56.22%5.62M
-Long term capital lease obligation
94.17%14.36M
94.17%14.36M
134.06%15.21M
170.14%15.15M
156.97%14.45M
113.79%7.4M
113.79%7.4M
85.08%6.5M
57.73%5.61M
56.22%5.62M
Non current deferred liabilities
--0
--0
-86.87%60K
-82.89%121K
-81.03%181K
-62.78%447K
-62.78%447K
-38.33%457K
14.77%707K
95.09%954K
Derivative product liabilities
201.68%70.75M
201.68%70.75M
-62.24%11.76M
-66.16%7.99M
80.27%14.73M
403.48%23.45M
403.48%23.45M
363.45%31.14M
303.50%23.61M
-63.19%8.17M
Other non current liabilities
2,503.91%3.33M
2,503.91%3.33M
1,467.76%2.87M
107.55%110K
-64.94%27K
-57.76%128K
-57.76%128K
-50.14%183K
--53K
--77K
Total non current liabilities
181.46%88.44M
181.46%88.44M
-21.89%29.9M
-22.03%23.37M
98.23%29.39M
226.60%31.42M
226.60%31.42M
237.60%38.28M
199.09%29.98M
-43.59%14.83M
Total liabilities
81.56%124.53M
81.56%124.53M
-6.96%62.23M
1.04%54.16M
79.61%64.09M
130.30%68.59M
130.30%68.59M
115.95%66.88M
120.47%53.61M
-5.26%35.69M
Shareholders'equity
Share capital
10.00%22K
10.00%22K
10.00%22K
5.00%21K
5.00%21K
0.00%20K
0.00%20K
0.00%20K
0.00%20K
0.00%20K
-common stock
10.00%22K
10.00%22K
10.00%22K
5.00%21K
5.00%21K
0.00%20K
0.00%20K
0.00%20K
0.00%20K
0.00%20K
Retained earnings
-94.20%-683.72M
-94.20%-683.72M
-55.31%-481.72M
-61.75%-429.23M
-76.71%-391.67M
-81.20%-352.07M
-81.20%-352.07M
-76.58%-310.17M
-74.96%-265.36M
-47.74%-221.64M
Paid-in capital
27.22%1.07B
27.22%1.07B
12.74%917.05M
12.47%893.8M
12.04%873.13M
8.98%839.01M
8.98%839.01M
6.98%813.44M
5.78%794.67M
4.68%779.29M
Gains losses not affecting retained earnings
107.98%157K
107.98%157K
106.99%335K
78.35%-1.32M
68.32%-1.72M
73.26%-1.97M
73.26%-1.97M
47.46%-4.79M
12.15%-6.09M
-15.81%-5.43M
Total stockholders'equity
-20.85%383.86M
-20.85%383.86M
-12.60%435.68M
-11.46%463.27M
-13.12%479.77M
-14.65%484.99M
-14.65%484.99M
-13.40%498.5M
-11.71%523.25M
-6.37%552.24M
Total equity
-20.85%383.86M
-20.85%383.86M
-12.60%435.68M
-11.46%463.27M
-13.12%479.77M
-14.65%484.99M
-14.65%484.99M
-13.40%498.5M
-11.71%523.25M
-6.37%552.24M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
--
--
--
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments -4.26%340.29M-4.26%340.29M22.74%301.78M19.32%281.71M-31.37%266.19M-0.10%355.44M-0.10%355.44M-15.91%245.88M-26.05%236.09M-6.74%387.87M
-Cash and cash equivalents 52.51%54.39M52.51%54.39M-18.75%30.17M198.57%41.75M15.75%60.07M-19.61%35.67M-19.61%35.67M-35.07%37.14M-68.20%13.98M-40.17%51.9M
-Short-term investments -10.59%285.9M-10.59%285.9M30.12%271.61M8.04%239.96M-38.65%206.11M2.68%319.78M2.68%319.78M-11.25%208.74M-19.32%222.11M2.07%335.97M
Receivables -8.60%12.41M-8.60%12.41M-50.22%70.26M-32.41%95.98M6,362.77%118.72M312.39%13.58M312.39%13.58M21.56%141.15M34.12%142M222.85%1.84M
-Accounts receivable -23.91%6.52M-23.91%6.52M286.85%3.27M366.40%5.9M755.54%8.56M644.70%8.56M644.70%8.56M-37.39%844K59.32%1.27M931.96%1M
-Notes receivable ---------53.71%63.93M-36.89%88.09M--109.17M--------21.97%138.12M34.08%139.57M----
-Accrued interest receivable 5.31%2.22M5.31%2.22M--2.19M----------2.11M--2.11M------------
-Other receivables 26.49%3.67M26.49%3.67M-60.16%872K71.37%1.99M18.66%992K35.53%2.9M35.53%2.9M43.26%2.19M17.71%1.16M77.12%836K
Inventory 49.55%18.66M49.55%18.66M--17.95M--19.22M--16.25M141.60%12.48M141.60%12.48M------------
Prepaid assets -14.15%4.89M-14.15%4.89M--3.1M--4.43M--5.14M44.13%5.7M44.13%5.7M------------
Other current assets -8.71%2.56M-8.71%2.56M-86.27%2.31M-73.44%3.52M-71.23%3.64M-18.20%2.8M-18.20%2.8M106.74%16.82M158.87%13.24M116.92%12.64M
Total current assets -2.87%378.8M-2.87%378.8M-2.09%395.4M3.46%404.86M1.89%409.93M4.94%389.99M4.94%389.99M-3.07%403.84M-9.05%391.33M-4.73%402.34M
Non current assets
Net PPE 47.72%62.23M47.72%62.23M45.28%59.48M66.66%57.82M59.96%51.64M41.53%42.13M41.53%42.13M41.73%40.94M20.61%34.69M28.65%32.28M
-Gross PPE 58.38%89.84M58.38%89.84M56.60%83.16M73.48%78.05M68.32%68.97M52.38%56.73M52.38%56.73M49.74%53.1M31.41%44.99M38.94%40.98M
-Accumulated depreciation -89.14%-27.61M-89.14%-27.61M-94.72%-23.67M-96.48%-20.23M-99.39%-17.33M-95.67%-14.6M-95.67%-14.6M-85.00%-12.16M-88.21%-10.3M-97.66%-8.69M
Goodwill and other intangible assets 148.90%39.37M148.90%39.37M31.98%18.21M43.92%17.69M62.99%17.59M63.32%15.82M63.32%15.82M81.59%13.8M79.70%12.29M74.79%10.79M
-Goodwill 1,234.77%9.9M1,234.77%9.9M-2.02%727K-3.10%719K-2.16%726K0.00%742K0.00%742K--742K--742K--742K
-Other intangible assets 95.46%29.47M95.46%29.47M33.91%17.49M46.94%16.97M67.79%16.87M68.57%15.08M68.57%15.08M--13.06M--11.55M--10.05M
Investments and advances -76.57%23.55M-76.57%23.55M-61.96%13.7M-35.94%28.8M-66.95%45.49M-44.79%100.49M-44.79%100.49M298.91%36M390.85%44.96M-19.25%137.65M
Long-term notes receivables ---------94.72%3.44M-96.19%3.37M--13.6M---------53.86%65.11M-36.19%88.59M----
Other non current assets -13.93%4.44M-13.93%4.44M35.26%7.68M-2.02%4.9M15.54%5.61M4.99%5.16M4.99%5.16M71.34%5.68M58.81%5M42.10%4.86M
Total non current assets -20.79%129.59M-20.79%129.59M-36.54%102.51M-39.32%112.58M-27.83%133.93M-27.73%163.59M-27.73%163.59M-14.96%161.54M-0.65%185.53M-9.54%185.58M
Total assets -8.16%508.39M-8.16%508.39M-11.93%497.91M-10.30%517.44M-7.49%543.86M-7.43%553.58M-7.43%553.58M-6.80%565.38M-6.51%576.85M-6.30%587.92M
Liabilities
Current liabilities
Payables -6.59%5.23M-6.59%5.23M-24.25%4.85M38.68%6.32M62.69%5.85M83.27%5.6M83.27%5.6M27.09%6.41M23.91%4.56M82.87%3.6M
-accounts payable -6.59%5.23M-6.59%5.23M-24.25%4.85M38.68%6.32M62.69%5.85M83.27%5.6M83.27%5.6M27.09%6.41M23.91%4.56M82.87%3.6M
Current accrued expenses -10.62%16.42M-10.62%16.42M-0.29%15.66M-3.52%8.93M11.97%10.54M176.12%18.38M176.12%18.38M92.04%15.7M130.18%9.25M119.03%9.41M
Current debt and capital lease obligation 374.08%3.37M374.08%3.37M344.46%3.09M135.51%1.48M93.11%1.18M20.14%710K20.14%710K19.42%695K8.84%628K6.46%610K
-Current capital lease obligation 374.08%3.37M374.08%3.37M344.46%3.09M135.51%1.48M93.11%1.18M20.14%710K20.14%710K19.42%695K8.84%628K6.46%610K
Current deferred liabilities -11.66%10.68M-11.66%10.68M59.74%8.33M62.17%13.67M166.00%16.74M38.47%12.09M38.47%12.09M10.98%5.22M72.53%8.43M84.20%6.29M
Other current liabilities -1.28%387K-1.28%387K-31.94%392K-48.49%392K-58.52%392K-65.31%392K-65.31%392K-49.03%576K-32.65%761K-16.37%945K
Current liabilities -2.90%36.09M-2.90%36.09M13.03%32.32M30.30%30.79M66.37%34.71M84.35%37.16M84.35%37.16M45.68%28.6M65.33%23.63M83.22%20.86M
Non current liabilities
Long term debt and capital lease obligation 94.17%14.36M94.17%14.36M134.06%15.21M170.14%15.15M156.97%14.45M113.79%7.4M113.79%7.4M85.08%6.5M57.73%5.61M56.22%5.62M
-Long term capital lease obligation 94.17%14.36M94.17%14.36M134.06%15.21M170.14%15.15M156.97%14.45M113.79%7.4M113.79%7.4M85.08%6.5M57.73%5.61M56.22%5.62M
Non current deferred liabilities --0--0-86.87%60K-82.89%121K-81.03%181K-62.78%447K-62.78%447K-38.33%457K14.77%707K95.09%954K
Derivative product liabilities 201.68%70.75M201.68%70.75M-62.24%11.76M-66.16%7.99M80.27%14.73M403.48%23.45M403.48%23.45M363.45%31.14M303.50%23.61M-63.19%8.17M
Other non current liabilities 2,503.91%3.33M2,503.91%3.33M1,467.76%2.87M107.55%110K-64.94%27K-57.76%128K-57.76%128K-50.14%183K--53K--77K
Total non current liabilities 181.46%88.44M181.46%88.44M-21.89%29.9M-22.03%23.37M98.23%29.39M226.60%31.42M226.60%31.42M237.60%38.28M199.09%29.98M-43.59%14.83M
Total liabilities 81.56%124.53M81.56%124.53M-6.96%62.23M1.04%54.16M79.61%64.09M130.30%68.59M130.30%68.59M115.95%66.88M120.47%53.61M-5.26%35.69M
Shareholders'equity
Share capital 10.00%22K10.00%22K10.00%22K5.00%21K5.00%21K0.00%20K0.00%20K0.00%20K0.00%20K0.00%20K
-common stock 10.00%22K10.00%22K10.00%22K5.00%21K5.00%21K0.00%20K0.00%20K0.00%20K0.00%20K0.00%20K
Retained earnings -94.20%-683.72M-94.20%-683.72M-55.31%-481.72M-61.75%-429.23M-76.71%-391.67M-81.20%-352.07M-81.20%-352.07M-76.58%-310.17M-74.96%-265.36M-47.74%-221.64M
Paid-in capital 27.22%1.07B27.22%1.07B12.74%917.05M12.47%893.8M12.04%873.13M8.98%839.01M8.98%839.01M6.98%813.44M5.78%794.67M4.68%779.29M
Gains losses not affecting retained earnings 107.98%157K107.98%157K106.99%335K78.35%-1.32M68.32%-1.72M73.26%-1.97M73.26%-1.97M47.46%-4.79M12.15%-6.09M-15.81%-5.43M
Total stockholders'equity -20.85%383.86M-20.85%383.86M-12.60%435.68M-11.46%463.27M-13.12%479.77M-14.65%484.99M-14.65%484.99M-13.40%498.5M-11.71%523.25M-6.37%552.24M
Total equity -20.85%383.86M-20.85%383.86M-12.60%435.68M-11.46%463.27M-13.12%479.77M-14.65%484.99M-14.65%484.99M-13.40%498.5M-11.71%523.25M-6.37%552.24M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion------------------
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Companies involved in the creation, trade, and services of digital forms of money.Displayed third-party logos, brands, or trademark images on screens or web pages are only for identification purposes and remain the property of their respective owners.Displayed third-party logos, brands, or trademark images on screens or web pages are only for identification purposes and remain the property of their respective owners. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in U.S. Crypto Concept Stocks, ranked from highest to lowest based on real-time market data. Companies involved in the creation, trade, and services of digital forms of money.Displayed third-party logos, brands, or trademark images on screens or web pages are only for identification purposes and remain the property of their respective owners.Displayed third-party logos, brands, or trademark images on screens or web pages are only for identification purposes and remain the property of their respective owners. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in U.S. Crypto Concept Stocks, ranked from highest to lowest based on real-time market data.