IONQ Financial Ratios


* All Per Share Items In USD
Period Ending: LTM
(Last Twelve Months)
2023 (Q4)
12-31
2023 (Q3)
09-30
2023 (Q2)
06-30
2023 (Q1)
03-31
2022 (Q4)
12-31
2022 (Q3)
09-30
2022 (Q2)
06-30
2022 (Q1)
03-31
2021 (Q4)
12-31
2021 (Q3)
09-30
2021 (Q2)
06-30
2021 (Q1)
03-31
2020 (Q4)
12-31
2020 (Q3)
09-30
2001 (Q2)
06-30
Price Ratios
Price to Earnings Ratio -15.175948816759737 -16.88451997857669 -15.58493134303948 -11.254426606280635 -9.211738208559018 -10.480207717966893
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Price to Sales Ratio 416.59545313953487 493.22830818774446 494.17372870716224 287.20981522753794 180.47941410559497 363.8752395222584
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Price to Book Ratio 5.2448727960964465 6.071159846899474 5.208578973981645 2.2285613934778 1.2092077230113463 1.7465859784931295
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Price to Free Cash Flows Ratio -71.76762884747771 -107.98718686362663 -145.5159439275989 -76.15209815296083 -40.400136973011115 -67.24099028892456
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Price to Operating Cash Flow Ratio -95.5212856503943 -135.83702419389587 -169.42484855277883 -89.08389853420196 -46.072898109032394 -78.20374041692595
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Price Earnings to Growth Ratio 1.6693543698435727 0 -0.2727362985031909 -0.2270289505060059 0.41871537311631907 -0.007888328389867553
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EV to EBITDA
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Liquidity Ratios
Current Ratio 10.493730491873857 14.121232254003777 16.56191806331471 19.287727708533076 18.43392857142857 21.22372777749478
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Quick Ratio 9.872672478742869 13.533219106231204 16.00173522938886 18.681879194630874 17.811954365079366 20.809383118537006
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Cash Ratio 0.9596652674631364 1.2985873137981676 0.5918401896055527 2.4880632790028763 2.2007440476190476 2.9136569711171107
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Debt Ratio 0.014592376675962818 0.01272599924298434 0.010812132054669136 0.010603447396083154 0.006772665855061606 0.006749082180873424
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Debt to Equity Ratio 0.01671154694697254 0.014433415714469123 0.011919823562913047 0.011288631511470618 0.007127633924721626 0.007112207494397443
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Long Term Debt to Capitalization 0.015018613332141863 0.012871389080309548 0.01060593168259731 0.010081364354202928 0.0060506935819616215 0.006064143163507395
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Total Debt to Capitalization 0.01643686156329662 0.014228056263607618 0.011779415014268636 0.011162620798573247 0.007077190303026067 0.007061981218648874
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Interest Coverage Ratio 0 0 0 40.90948905109489 4.745881880273202 26.84375
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Cash Flow to Debt Ratio -3.2856261566933993 -3.0965948575399582 -2.579124579124579 -2.216073147256978 -3.6822222222222223 -3.1402051783097216
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Margins
Gross Profit Margin -0.09220438912545037 0.6727509778357236 0.6553037171350862 0.7582263710618437 0.763330706593118 0.7347086500180963
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Operating Profit Margin -8.917130691123486 -6.876466753585397 -5.999818676337262 -6.539789964994165 -6.205673758865248 -9.015924719507781
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Pretax Profit Margin -6.8612839829675725 -7.296610169491525 -7.9271078875793295 -6.379929988331389 -4.898082479642763 -8.680057908070937
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Net Profit Margin -6.862757943006878 -7.302966101694915 -7.9271078875793295 -6.379929988331389 -4.898082479642763 -8.680057908070937
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Operating Cash Flow Margin -4.3612839829675725 -3.6310299869621905 -2.916772438803264 -3.2240373395565927 -3.91725768321513 -4.652913499819038
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Free Cash Flow Margin -5.804782181460858 -4.567470664928292 -3.3960108794197645 -3.7715285880980165 -4.467297084318361 -5.411509229098805
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Return
Return on Assets -0.07544465789383663 -0.07925847839852276 -0.07578720365015637 -0.046499365562098376 -0.031182691407242905 -0.03953669710402719
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Return on Equity -0.08640106887920262 -0.08989239632815509 -0.08355152261077964 -0.04950410783775806 -0.0328170345171072 -0.04166391605718951
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Return on Capital Employed -0.10505862853416123 -0.0786057602742278 -0.05981121571009212 -0.04941787670484003 -0.04088558612191779 -0.042439988415080836
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Return on Invested Capital -0.11284691745561946 -0.08452185731692569 -0.07632459121184662 -0.05303358787275951 -0.030542028902132038 -0.04520263792429206
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Turnover Ratios
Receivables Turnover Ratio 0.532484520798814 2.02307945928124 0.038838028169014084 2.332607512248231 1.1564398541919805 0.02379639996554991
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Payables Turnover Ratio 1.191105554563315 0.31335830212234705 0.4168859649122807 0.2880177926049486 0.2949263502454992 0.1453788179293931
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Inventory Turnover Ratio 0.534546328951587 2008000 1901000 1036000 901000 733000
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Fixed Asset Turnover Ratio 0.14493923281428028 0.1498668881127421 0.15896120366634 0.13272828645768803 0.12789330466624113 0.09564193983869293
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Asset Turnover Ratio 0.010993343859769151 0.01085291610214759 0.009560511188311733 0.007288381792142495 0.00636630590375791 0.004554888633549895
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Per Share Items ()
Revenue Per Share 0.029741083121831578 0.03016858471622033 0.027379035375669707 0.02141291722613222 0.01911575354506344 0.01393334706328614
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Operating Cash Flow Per Share -0.12970930945535128 -0.10954303576880525 -0.07985841578477296 -0.06903604468588487 -0.07488133244484663 -0.06483065864842802
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Free Cash Flow Per Share -0.17264050936295422 -0.1377941256937404 -0.09297950200379292 -0.08075942947293416 -0.08539575007641029 -0.07540043622520969
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Cash & Short Term Investments 1.731280760875686 1.8879457048861548 1.1720560440265613 1.9382412988910682 1.7865321155957283 1.474519271790736
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Earnings Per Share -0.8164234177119098 -0.8812806060746735 -0.8681462691231392 -0.546451650994635 -0.3745221500969772 -0.48376903745029537
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EBITDA Per Share
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EBIT Per Share -0.26520512509293903 -0.20745326980381365 -0.1642692477870417 -0.1400359811967102 -0.11862613015553554 -0.12562200821336267
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Dividend Per Share 0.0 0.0 0.0 0.0 0.0 0.0
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Enterprise Value Per Share 10.698197044349083 13.027429615686401 12.388907336506175 4.242911122576308 1.6838037924309353 3.6161260857471196
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Price Per Share 12.389999999999999 14.879999999999999 13.53 6.1499999999999995 3.45 5.07
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Effective Tax Rate -0.00021482277121374866 -0.0008710801393728223 -0.24383549110206323 0.025056697636988808 0.3103448275862069 0.03869407496977025
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Short Term Coverage Ratio -37.50704225352113 -32.05755395683453 -25.61464968152866 -22.647540983606557 -25.233502538071065 -22.0893470790378
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Capital Expenditure Coverage Ratio 3.021329702745632 3.877479986077271 6.0862656072644725 5.888746803069053 7.121776504297994 6.133587786259542
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EBIT Per Revenue -8.917130691123486 -6.876466753585397 -5.999818676337262 -6.539789964994165 -6.205673758865248 -9.015924719507781
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Days of Sales Outstanding 169.0189977071733 44.486636245110816 2317.316409791478 38.58343057176196 77.82505910165484 3782.084690553746
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Days of Inventory Outstanding 168.36707152496626 0.000044820717131474105 0.000047343503419253025 0.00008687258687258687 0.00009988901220865705 0.0001227830832196453
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Days of Payables Outstanding 75.5600539811066 287.21115537848607 215.88637559179378 312.480694980695 305.1609322974473 619.0723055934516
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Cash Conversion Cycle 261.82601525103297 -242.72447431265812 2101.4300815431875 -273.89717753634613 -227.33577330678025 3163.0125077433777
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Cash Conversion Ratio 0.635500190912562 0.49719934837428315 0.3679491285054211 0.5053405516131392 0.799753311524642 0.5360463661760414
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Free Cash Flow to Earnings 0.8458381061473845 0.6254267925286202 0.42840477606477884 0.5911551686297462 0.9120501957419423 0.6234416044698328
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