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RGTI Rigetti Computing

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  • 3.0500
  • +0.6500+27.08%
Close Nov 29 13:00 ET
  • 3.0801
  • +0.0301+0.99%
Post 16:59 ET
586.50MMarket Cap-8243P/E (TTM)

Rigetti Computing Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-239.80%-15.43M
25.20%-13.52M
15.49%-13.14M
19.32%-50.58M
12.57%-12.42M
66.11%-4.54M
6.68%-18.07M
1.10%-15.55M
-115.84%-62.69M
-129.11%-14.21M
Net income from continuing operations
33.23%-14.83M
26.79%-12.42M
11.05%-20.77M
-5.01%-75.11M
45.03%-12.57M
-18.45%-22.22M
-38.48%-16.97M
-32.38%-23.35M
-87.03%-71.52M
-177.84%-22.87M
Operating gains losses
-126.51%-1.2M
-4,385.71%-2.1M
30.92%2.58M
112.15%3.39M
-22.58%-3.16M
153.32%4.53M
100.49%49K
129.27%1.97M
-1,572.86%-27.9M
---2.58M
Depreciation and amortization
-14.59%1.82M
-28.38%1.55M
-14.46%1.79M
5.83%7.43M
-52.84%1.05M
16.95%2.13M
36.02%2.16M
50.29%2.09M
50.87%7.02M
98.71%2.22M
Other non cash items
-95.40%123K
-165.59%-673K
119.79%2.31M
123.74%4.08M
22.20%-666K
159.99%2.67M
116.47%1.03M
118.56%1.05M
-2,459.67%-17.2M
---856K
Change In working capital
-170.00%-3.79M
66.74%-2.24M
-256.76%-1.18M
78.73%-495K
102.95%61K
215.26%5.41M
-96.18%-6.72M
-48.11%754K
-1,572.78%-2.33M
-301.65%-2.07M
-Change in receivables
-115.30%-875K
37.72%-1.95M
52.44%657K
138.91%2.1M
76.57%-926K
1,129.89%5.72M
15.04%-3.12M
-75.57%431K
-271.83%-5.4M
-1,075.24%-3.95M
-Change in prepaid assets
-576.81%-934K
7.96%-1.46M
-37.23%435K
75.68%-259K
-35.03%768K
-121.20%-138K
-1,114.10%-1.58M
122.69%693K
-238.10%-1.07M
771.54%1.18M
-Change in payables and accrued expense
-1,151.81%-2.03M
119.98%458K
-6,537.50%-2.06M
-138.58%-1.72M
-64.74%348K
-78.84%193K
-50.10%-2.29M
-99.22%32K
186.74%4.46M
18.37%987K
-Change in other current liabilities
----
----
----
--0
----
----
----
----
-239.08%-295K
-466.64%-437K
-Change in other working capital
113.85%50K
158.03%707K
46.77%-214K
-2,475.00%-618K
-186.00%-129K
-21.55%-361K
-53.48%274K
13.73%-402K
-104.87%-24K
196.70%150K
Cash from discontinued investing activities
Operating cash flow
-239.80%-15.43M
25.20%-13.52M
15.49%-13.14M
19.32%-50.58M
12.57%-12.42M
66.11%-4.54M
6.68%-18.07M
1.10%-15.55M
-115.84%-62.69M
-129.11%-14.21M
Investing cash flow
Cash flow from continuing investing activities
-56.16%6.27M
-208.44%-13.25M
141.51%6.22M
100.72%773K
-1,876.29%-10.75M
114.91%14.29M
256.68%12.22M
-428.42%-14.99M
-1,427.17%-107.02M
33.45%-544K
Net PPE purchase and sale
-28.27%-2.28M
-119.66%-2.05M
-14.34%-5.49M
60.16%-9.06M
55.04%-1.55M
79.49%-1.78M
88.06%-931K
-69.39%-4.8M
-224.44%-22.74M
-321.17%-3.44M
Net investment purchase and sale
-46.82%8.54M
-185.22%-11.21M
215.04%11.71M
111.66%9.83M
-417.45%-9.2M
118.43%16.07M
--13.15M
---10.18M
---84.29M
--2.9M
Cash from discontinued investing activities
Investing cash flow
-56.16%6.27M
-208.44%-13.25M
141.51%6.22M
100.72%773K
-1,876.29%-10.75M
114.91%14.29M
256.68%12.22M
-428.42%-14.99M
-1,427.17%-107.02M
33.45%-544K
Financing cash flow
Cash flow from continuing financing activities
-15.24%8.69M
759.93%12.38M
1,894.63%20.71M
-93.86%13.23M
264.46%2.69M
1,614.77%10.26M
-66.67%1.44M
-100.54%-1.15M
742.18%215.45M
-1.64M
Net issuance payments of debt
-29.25%-3.29M
-197.55%-3.15M
-69.35%-3.05M
-324.67%-8.33M
-126.80%-2.93M
---2.55M
---1.06M
-135.96%-1.8M
-86.26%3.71M
---1.29M
Net common stock issuance
-5.55%12M
573.00%15.8M
--23.87M
--20.54M
--5.49M
--12.7M
--2.35M
--0
--0
--0
Proceeds from stock option exercised by employees
-84.85%15K
-94.74%8K
-92.01%60K
-81.44%1.13M
58.97%124K
-68.57%99K
-97.00%152K
24.75%751K
1,505.29%6.07M
--78K
Net other financing activities
---29K
---273K
-62.62%-174K
-100.05%-107K
--0
--0
--0
-100.05%-107K
11,558.33%205.68M
---422K
Cash from discontinued financing activities
Financing cash flow
-15.24%8.69M
759.93%12.38M
1,894.63%20.71M
-93.86%13.23M
264.46%2.69M
1,614.77%10.26M
-66.67%1.44M
-100.54%-1.15M
742.18%215.45M
---1.64M
Net cash flow
Beginning cash position
-4.73%20.68M
34.39%35.1M
-63.05%21.39M
380.56%57.89M
-43.54%41.76M
-88.21%21.71M
-87.38%26.12M
380.56%57.89M
-46.51%12.05M
150.79%73.95M
Current changes in cash
-102.35%-470K
-226.31%-14.39M
143.52%13.79M
-179.96%-36.58M
-25.00%-20.48M
118.20%20M
80.70%-4.41M
-116.26%-31.69M
536.92%45.74M
-133.47%-16.39M
Effect of exchange rate changes
75.61%72K
-775.00%-27K
-2.41%-85K
-20.79%80K
-63.13%118K
115.47%41K
-89.19%4K
-1,022.22%-83K
2,120.00%101K
552.25%320K
End cash Position
-51.42%20.29M
-4.73%20.68M
34.39%35.1M
-63.05%21.39M
-63.05%21.39M
-43.54%41.76M
-88.21%21.71M
-87.38%26.12M
380.56%57.89M
157.06%57.89M
Free cash flow
-180.32%-17.71M
18.10%-15.56M
8.45%-18.63M
30.19%-59.64M
20.86%-13.97M
71.36%-6.32M
30.05%-19M
-9.67%-20.35M
-136.95%-85.43M
-151.48%-17.65M
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
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
(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(FY)Dec 31, 2022(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -239.80%-15.43M25.20%-13.52M15.49%-13.14M19.32%-50.58M12.57%-12.42M66.11%-4.54M6.68%-18.07M1.10%-15.55M-115.84%-62.69M-129.11%-14.21M
Net income from continuing operations 33.23%-14.83M26.79%-12.42M11.05%-20.77M-5.01%-75.11M45.03%-12.57M-18.45%-22.22M-38.48%-16.97M-32.38%-23.35M-87.03%-71.52M-177.84%-22.87M
Operating gains losses -126.51%-1.2M-4,385.71%-2.1M30.92%2.58M112.15%3.39M-22.58%-3.16M153.32%4.53M100.49%49K129.27%1.97M-1,572.86%-27.9M---2.58M
Depreciation and amortization -14.59%1.82M-28.38%1.55M-14.46%1.79M5.83%7.43M-52.84%1.05M16.95%2.13M36.02%2.16M50.29%2.09M50.87%7.02M98.71%2.22M
Other non cash items -95.40%123K-165.59%-673K119.79%2.31M123.74%4.08M22.20%-666K159.99%2.67M116.47%1.03M118.56%1.05M-2,459.67%-17.2M---856K
Change In working capital -170.00%-3.79M66.74%-2.24M-256.76%-1.18M78.73%-495K102.95%61K215.26%5.41M-96.18%-6.72M-48.11%754K-1,572.78%-2.33M-301.65%-2.07M
-Change in receivables -115.30%-875K37.72%-1.95M52.44%657K138.91%2.1M76.57%-926K1,129.89%5.72M15.04%-3.12M-75.57%431K-271.83%-5.4M-1,075.24%-3.95M
-Change in prepaid assets -576.81%-934K7.96%-1.46M-37.23%435K75.68%-259K-35.03%768K-121.20%-138K-1,114.10%-1.58M122.69%693K-238.10%-1.07M771.54%1.18M
-Change in payables and accrued expense -1,151.81%-2.03M119.98%458K-6,537.50%-2.06M-138.58%-1.72M-64.74%348K-78.84%193K-50.10%-2.29M-99.22%32K186.74%4.46M18.37%987K
-Change in other current liabilities --------------0-----------------239.08%-295K-466.64%-437K
-Change in other working capital 113.85%50K158.03%707K46.77%-214K-2,475.00%-618K-186.00%-129K-21.55%-361K-53.48%274K13.73%-402K-104.87%-24K196.70%150K
Cash from discontinued investing activities
Operating cash flow -239.80%-15.43M25.20%-13.52M15.49%-13.14M19.32%-50.58M12.57%-12.42M66.11%-4.54M6.68%-18.07M1.10%-15.55M-115.84%-62.69M-129.11%-14.21M
Investing cash flow
Cash flow from continuing investing activities -56.16%6.27M-208.44%-13.25M141.51%6.22M100.72%773K-1,876.29%-10.75M114.91%14.29M256.68%12.22M-428.42%-14.99M-1,427.17%-107.02M33.45%-544K
Net PPE purchase and sale -28.27%-2.28M-119.66%-2.05M-14.34%-5.49M60.16%-9.06M55.04%-1.55M79.49%-1.78M88.06%-931K-69.39%-4.8M-224.44%-22.74M-321.17%-3.44M
Net investment purchase and sale -46.82%8.54M-185.22%-11.21M215.04%11.71M111.66%9.83M-417.45%-9.2M118.43%16.07M--13.15M---10.18M---84.29M--2.9M
Cash from discontinued investing activities
Investing cash flow -56.16%6.27M-208.44%-13.25M141.51%6.22M100.72%773K-1,876.29%-10.75M114.91%14.29M256.68%12.22M-428.42%-14.99M-1,427.17%-107.02M33.45%-544K
Financing cash flow
Cash flow from continuing financing activities -15.24%8.69M759.93%12.38M1,894.63%20.71M-93.86%13.23M264.46%2.69M1,614.77%10.26M-66.67%1.44M-100.54%-1.15M742.18%215.45M-1.64M
Net issuance payments of debt -29.25%-3.29M-197.55%-3.15M-69.35%-3.05M-324.67%-8.33M-126.80%-2.93M---2.55M---1.06M-135.96%-1.8M-86.26%3.71M---1.29M
Net common stock issuance -5.55%12M573.00%15.8M--23.87M--20.54M--5.49M--12.7M--2.35M--0--0--0
Proceeds from stock option exercised by employees -84.85%15K-94.74%8K-92.01%60K-81.44%1.13M58.97%124K-68.57%99K-97.00%152K24.75%751K1,505.29%6.07M--78K
Net other financing activities ---29K---273K-62.62%-174K-100.05%-107K--0--0--0-100.05%-107K11,558.33%205.68M---422K
Cash from discontinued financing activities
Financing cash flow -15.24%8.69M759.93%12.38M1,894.63%20.71M-93.86%13.23M264.46%2.69M1,614.77%10.26M-66.67%1.44M-100.54%-1.15M742.18%215.45M---1.64M
Net cash flow
Beginning cash position -4.73%20.68M34.39%35.1M-63.05%21.39M380.56%57.89M-43.54%41.76M-88.21%21.71M-87.38%26.12M380.56%57.89M-46.51%12.05M150.79%73.95M
Current changes in cash -102.35%-470K-226.31%-14.39M143.52%13.79M-179.96%-36.58M-25.00%-20.48M118.20%20M80.70%-4.41M-116.26%-31.69M536.92%45.74M-133.47%-16.39M
Effect of exchange rate changes 75.61%72K-775.00%-27K-2.41%-85K-20.79%80K-63.13%118K115.47%41K-89.19%4K-1,022.22%-83K2,120.00%101K552.25%320K
End cash Position -51.42%20.29M-4.73%20.68M34.39%35.1M-63.05%21.39M-63.05%21.39M-43.54%41.76M-88.21%21.71M-87.38%26.12M380.56%57.89M157.06%57.89M
Free cash flow -180.32%-17.71M18.10%-15.56M8.45%-18.63M30.19%-59.64M20.86%-13.97M71.36%-6.32M30.05%-19M-9.67%-20.35M-136.95%-85.43M-151.48%-17.65M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion with Explanatory Notes--

Analysis

Analyst Rating

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Price Target

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