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D-Wave Quantum (QBTS)

Watchlist
  • 23.370
  • -0.450-1.89%
Close Jun 12 16:00 ET
  • 23.450
  • +0.080+0.34%
Post 18:47 ET
8.57BMarket Cap-20.50P/E (TTM)

D-Wave Quantum (QBTS) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2026
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
Assets
Current assets
Cash, cash equivalents and short term investments
93.35%588.4M
396.96%884.48M
396.96%884.48M
2,756.57%836.23M
1,905.12%819.31M
1,014.57%304.32M
330.87%177.98M
330.87%177.98M
-45.09%29.27M
443.80%40.86M
-Cash and cash equivalents
11.13%338.2M
256.98%635.35M
256.98%635.35M
2,756.57%836.23M
1,905.12%819.31M
1,014.57%304.32M
330.87%177.98M
330.87%177.98M
-45.09%29.27M
443.80%40.86M
-Short-term investments
--250.2M
--249.13M
--249.13M
----
----
----
--0
--0
----
----
Receivables
917.00%10.65M
166.06%4.68M
166.06%4.68M
203.78%4.42M
55.22%2.44M
-39.65%1.05M
6.48%1.76M
6.48%1.76M
63.41%1.46M
95.52%1.57M
-Accounts receivable
751.10%8.91M
11.76%1.59M
11.76%1.59M
76.47%1.93M
25.28%1.44M
-4.64%1.05M
-14.04%1.42M
-14.04%1.42M
176.46%1.09M
43.34%1.15M
-Accrued interest receivable
--1.74M
812.39%3.09M
812.39%3.09M
--2.5M
--995K
----
--339K
--339K
----
----
-Other receivables
----
----
----
----
----
----
----
----
18.75%589K
--644K
-Recievables adjustments allowances
----
----
----
----
----
----
----
----
---225K
---225K
Inventory
71.27%2.92M
64.65%2.78M
64.65%2.78M
48.77%2.83M
15.15%2.45M
-18.13%1.7M
-18.86%1.69M
-18.86%1.69M
-15.20%1.9M
-8.56%2.13M
Prepaid assets
53.80%3.98M
47.97%3.49M
47.97%3.49M
67.50%3.28M
80.58%3.55M
28.87%2.59M
50.41%2.36M
50.41%2.36M
25.32%1.96M
8.31%1.97M
Other current assets
-3.07%1.17M
-36.02%803K
-36.02%803K
181.52%1.37M
107.07%791K
115.36%1.21M
185.23%1.26M
185.23%1.26M
173.60%487K
-0.52%382K
Total current assets
95.30%607.11M
384.35%896.23M
384.35%896.23M
2,317.73%848.14M
1,666.38%828.54M
822.80%310.87M
293.32%185.04M
293.32%185.04M
-39.72%35.08M
265.25%46.91M
Non current assets
Net PPE
129.15%25.4M
26.02%14.36M
26.02%14.36M
11.47%12.32M
5.81%11.42M
2.73%11.08M
5.75%11.39M
5.75%11.39M
5.91%11.06M
2.70%10.79M
-Gross PPE
28.30%46.06M
10.50%40.22M
10.50%40.22M
5.54%37.77M
3.61%36.54M
2.52%35.9M
4.52%36.4M
4.52%36.4M
4.35%35.78M
3.23%35.27M
-Accumulated depreciation
16.74%-20.66M
-3.42%-25.86M
-3.42%-25.86M
-2.90%-25.44M
-2.64%-25.12M
-2.42%-24.82M
-3.97%-25.01M
-3.97%-25.01M
-3.67%-24.73M
-3.47%-24.48M
Goodwill and other intangible assets
104,959.70%557.87M
86.73%915K
86.73%915K
84.17%803K
43.63%586K
75.83%531K
173.74%490K
173.74%490K
123.59%436K
99.02%408K
-Goodwill
--342.59M
----
----
----
----
----
----
----
----
----
-Other intangible assets
40,442.18%215.28M
86.73%915K
86.73%915K
84.17%803K
43.63%586K
75.83%531K
173.74%490K
173.74%490K
123.59%436K
99.02%408K
Investments and advances
64.41%4.23M
-7.11%2.39M
-7.11%2.39M
32.09%3.4M
7.43%2.57M
0.00%2.57M
120.38%2.57M
120.38%2.57M
--2.57M
--2.4M
Long-term notes receivables
----
----
----
----
----
----
----
----
----
--1.07M
Non current deferred assets
1,250.96%4.93M
856.90%1.67M
856.90%1.67M
356.00%912K
431.48%287K
729.55%365K
--174K
--174K
--200K
--54K
Non current prepaid assets
53.30%279K
38.67%251K
38.67%251K
12.56%242K
3.70%196K
-3.70%182K
-4.23%181K
-4.23%181K
--215K
--189K
Other non current assets
----
----
----
----
----
----
--174K
--174K
-85.20%200K
-96.01%54K
Total non current assets
3,922.44%592.71M
32.19%19.58M
32.19%19.58M
22.10%17.68M
1.05%15.06M
-1.23%14.74M
20.33%14.81M
20.33%14.81M
20.83%14.48M
23.52%14.91M
Total assets
268.49%1.2B
358.24%915.81M
358.24%915.81M
1,646.98%865.82M
1,264.81%843.6M
569.89%325.6M
236.70%199.85M
236.70%199.85M
-29.38%49.56M
148.15%61.81M
Liabilities
Current liabilities
Payables
67.19%1.71M
16.56%950K
16.56%950K
42.53%992K
1.88%1.19M
-1.54%1.02M
-44.37%815K
-44.37%815K
-54.83%696K
-71.55%1.17M
-accounts payable
67.19%1.71M
16.56%950K
16.56%950K
42.53%992K
1.88%1.19M
-1.54%1.02M
-44.37%815K
-44.37%815K
-54.83%696K
-71.55%1.17M
Current accrued expenses
59.72%6.66M
67.12%5.49M
67.12%5.49M
24.30%3.33M
70.62%4.27M
6.14%4.17M
56.58%3.29M
56.58%3.29M
-38.51%2.68M
-58.73%2.51M
Current debt and capital lease obligation
-9.56%1.69M
-14.95%1.58M
-14.95%1.58M
-89.55%1.64M
-95.33%1.6M
3.08%1.87M
4.91%1.86M
4.91%1.86M
-50.32%15.65M
94.19%34.15M
-Current debt
-59.77%140K
-61.49%134K
-61.49%134K
-98.98%144K
----
-5.69%348K
-12.78%348K
-12.78%348K
-53.27%14.07M
102.64%32.67M
-Current capital lease obligation
1.90%1.55M
-4.23%1.45M
-4.23%1.45M
-5.63%1.49M
7.91%1.6M
5.32%1.53M
10.04%1.51M
10.04%1.51M
13.67%1.58M
1.09%1.48M
Current deferred liabilities
71.11%9.5M
-85.13%2.78M
-85.13%2.78M
16.46%3.39M
89.42%4.91M
177.59%5.55M
600.11%18.69M
600.11%18.69M
30.96%2.91M
-9.82%2.59M
Current liabilities
89.05%28.36M
-29.85%21.15M
-29.85%21.15M
-39.94%15.51M
-55.12%19.27M
38.11%15M
167.96%30.15M
167.96%30.15M
-40.39%25.83M
27.64%42.94M
Non current liabilities
Long term debt and capital lease obligation
23.36%45.13M
14.67%41.88M
14.67%41.88M
-2.11%38.16M
0.31%38.38M
-47.76%36.58M
-48.48%36.52M
-48.48%36.52M
143.74%38.98M
144.73%38.26M
-Long term debt
16.65%35.42M
18.91%35.83M
18.91%35.83M
0.13%32.05M
1.94%32.06M
-51.83%30.37M
-52.81%30.13M
-52.81%30.13M
251.48%32.01M
271.19%31.45M
-Long term capital lease obligation
56.17%9.7M
-5.31%6.05M
-5.31%6.05M
-12.42%6.1M
-7.21%6.32M
-10.96%6.21M
-9.09%6.39M
-9.09%6.39M
1.19%6.97M
-4.87%6.81M
Non current deferred liabilities
197.29%2.08M
-16.42%560K
-16.42%560K
1,003.51%629K
1,881.82%654K
75.44%700K
748.10%670K
748.10%670K
-38.04%57K
-72.50%33K
Derivative product liabilities
----
--0
--0
8,650.47%140.97M
4,262.10%91.04M
1,439.75%65.93M
4,186.81%69.88M
4,186.81%69.88M
-18.26%1.61M
-38.69%2.09M
Total non current liabilities
-54.26%47.21M
-60.36%42.44M
-60.36%42.44M
342.23%179.75M
222.09%130.07M
38.16%103.21M
47.49%107.06M
47.49%107.06M
125.13%40.65M
110.78%40.38M
Total liabilities
-36.08%75.56M
-53.66%63.58M
-53.66%63.58M
193.74%195.27M
79.24%149.35M
38.16%118.21M
63.66%137.21M
63.66%137.21M
8.30%66.48M
57.81%83.33M
Shareholders'equity
Share capital
27.59%37K
29.63%35K
29.63%35K
70.00%34K
83.33%33K
81.25%29K
68.75%27K
68.75%27K
33.33%20K
50.00%18K
-common stock
27.59%37K
29.63%35K
29.63%35K
70.00%34K
83.33%33K
81.25%29K
68.75%27K
68.75%27K
33.33%20K
50.00%18K
Retained earnings
-58.19%-1B
-56.63%-982M
-56.63%-982M
-73.74%-939.68M
-54.34%-799.69M
-26.38%-632.36M
-29.78%-626.94M
-29.78%-626.94M
-22.05%-540.86M
-21.26%-518.15M
Paid-in capital
151.11%2.13B
163.29%1.84B
163.29%1.84B
202.94%1.62B
196.44%1.5B
79.32%849.73M
49.24%700.07M
49.24%700.07M
15.60%534.53M
23.71%507.07M
Gains losses not affecting retained earnings
8.55%-9.16M
14.17%-9.02M
14.17%-9.02M
13.90%-9.13M
11.71%-9.23M
4.37%-10.01M
0.07%-10.51M
0.07%-10.51M
-1.21%-10.6M
0.37%-10.45M
Total stockholders'equity
442.10%1.12B
1,260.39%852.23M
1,260.39%852.23M
4,064.26%670.55M
3,326.99%694.25M
661.16%207.39M
355.90%62.65M
355.90%62.65M
-292.30%-16.92M
22.87%-21.51M
Total equity
442.10%1.12B
1,260.39%852.23M
1,260.39%852.23M
4,064.26%670.55M
3,326.99%694.25M
661.16%207.39M
355.90%62.65M
355.90%62.65M
-292.30%-16.92M
22.87%-21.51M
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
--
--
--
(Q1)Mar 31, 2026(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024
Assets
Current assets
Cash, cash equivalents and short term investments 93.35%588.4M396.96%884.48M396.96%884.48M2,756.57%836.23M1,905.12%819.31M1,014.57%304.32M330.87%177.98M330.87%177.98M-45.09%29.27M443.80%40.86M
-Cash and cash equivalents 11.13%338.2M256.98%635.35M256.98%635.35M2,756.57%836.23M1,905.12%819.31M1,014.57%304.32M330.87%177.98M330.87%177.98M-45.09%29.27M443.80%40.86M
-Short-term investments --250.2M--249.13M--249.13M--------------0--0--------
Receivables 917.00%10.65M166.06%4.68M166.06%4.68M203.78%4.42M55.22%2.44M-39.65%1.05M6.48%1.76M6.48%1.76M63.41%1.46M95.52%1.57M
-Accounts receivable 751.10%8.91M11.76%1.59M11.76%1.59M76.47%1.93M25.28%1.44M-4.64%1.05M-14.04%1.42M-14.04%1.42M176.46%1.09M43.34%1.15M
-Accrued interest receivable --1.74M812.39%3.09M812.39%3.09M--2.5M--995K------339K--339K--------
-Other receivables --------------------------------18.75%589K--644K
-Recievables adjustments allowances -----------------------------------225K---225K
Inventory 71.27%2.92M64.65%2.78M64.65%2.78M48.77%2.83M15.15%2.45M-18.13%1.7M-18.86%1.69M-18.86%1.69M-15.20%1.9M-8.56%2.13M
Prepaid assets 53.80%3.98M47.97%3.49M47.97%3.49M67.50%3.28M80.58%3.55M28.87%2.59M50.41%2.36M50.41%2.36M25.32%1.96M8.31%1.97M
Other current assets -3.07%1.17M-36.02%803K-36.02%803K181.52%1.37M107.07%791K115.36%1.21M185.23%1.26M185.23%1.26M173.60%487K-0.52%382K
Total current assets 95.30%607.11M384.35%896.23M384.35%896.23M2,317.73%848.14M1,666.38%828.54M822.80%310.87M293.32%185.04M293.32%185.04M-39.72%35.08M265.25%46.91M
Non current assets
Net PPE 129.15%25.4M26.02%14.36M26.02%14.36M11.47%12.32M5.81%11.42M2.73%11.08M5.75%11.39M5.75%11.39M5.91%11.06M2.70%10.79M
-Gross PPE 28.30%46.06M10.50%40.22M10.50%40.22M5.54%37.77M3.61%36.54M2.52%35.9M4.52%36.4M4.52%36.4M4.35%35.78M3.23%35.27M
-Accumulated depreciation 16.74%-20.66M-3.42%-25.86M-3.42%-25.86M-2.90%-25.44M-2.64%-25.12M-2.42%-24.82M-3.97%-25.01M-3.97%-25.01M-3.67%-24.73M-3.47%-24.48M
Goodwill and other intangible assets 104,959.70%557.87M86.73%915K86.73%915K84.17%803K43.63%586K75.83%531K173.74%490K173.74%490K123.59%436K99.02%408K
-Goodwill --342.59M------------------------------------
-Other intangible assets 40,442.18%215.28M86.73%915K86.73%915K84.17%803K43.63%586K75.83%531K173.74%490K173.74%490K123.59%436K99.02%408K
Investments and advances 64.41%4.23M-7.11%2.39M-7.11%2.39M32.09%3.4M7.43%2.57M0.00%2.57M120.38%2.57M120.38%2.57M--2.57M--2.4M
Long-term notes receivables --------------------------------------1.07M
Non current deferred assets 1,250.96%4.93M856.90%1.67M856.90%1.67M356.00%912K431.48%287K729.55%365K--174K--174K--200K--54K
Non current prepaid assets 53.30%279K38.67%251K38.67%251K12.56%242K3.70%196K-3.70%182K-4.23%181K-4.23%181K--215K--189K
Other non current assets --------------------------174K--174K-85.20%200K-96.01%54K
Total non current assets 3,922.44%592.71M32.19%19.58M32.19%19.58M22.10%17.68M1.05%15.06M-1.23%14.74M20.33%14.81M20.33%14.81M20.83%14.48M23.52%14.91M
Total assets 268.49%1.2B358.24%915.81M358.24%915.81M1,646.98%865.82M1,264.81%843.6M569.89%325.6M236.70%199.85M236.70%199.85M-29.38%49.56M148.15%61.81M
Liabilities
Current liabilities
Payables 67.19%1.71M16.56%950K16.56%950K42.53%992K1.88%1.19M-1.54%1.02M-44.37%815K-44.37%815K-54.83%696K-71.55%1.17M
-accounts payable 67.19%1.71M16.56%950K16.56%950K42.53%992K1.88%1.19M-1.54%1.02M-44.37%815K-44.37%815K-54.83%696K-71.55%1.17M
Current accrued expenses 59.72%6.66M67.12%5.49M67.12%5.49M24.30%3.33M70.62%4.27M6.14%4.17M56.58%3.29M56.58%3.29M-38.51%2.68M-58.73%2.51M
Current debt and capital lease obligation -9.56%1.69M-14.95%1.58M-14.95%1.58M-89.55%1.64M-95.33%1.6M3.08%1.87M4.91%1.86M4.91%1.86M-50.32%15.65M94.19%34.15M
-Current debt -59.77%140K-61.49%134K-61.49%134K-98.98%144K-----5.69%348K-12.78%348K-12.78%348K-53.27%14.07M102.64%32.67M
-Current capital lease obligation 1.90%1.55M-4.23%1.45M-4.23%1.45M-5.63%1.49M7.91%1.6M5.32%1.53M10.04%1.51M10.04%1.51M13.67%1.58M1.09%1.48M
Current deferred liabilities 71.11%9.5M-85.13%2.78M-85.13%2.78M16.46%3.39M89.42%4.91M177.59%5.55M600.11%18.69M600.11%18.69M30.96%2.91M-9.82%2.59M
Current liabilities 89.05%28.36M-29.85%21.15M-29.85%21.15M-39.94%15.51M-55.12%19.27M38.11%15M167.96%30.15M167.96%30.15M-40.39%25.83M27.64%42.94M
Non current liabilities
Long term debt and capital lease obligation 23.36%45.13M14.67%41.88M14.67%41.88M-2.11%38.16M0.31%38.38M-47.76%36.58M-48.48%36.52M-48.48%36.52M143.74%38.98M144.73%38.26M
-Long term debt 16.65%35.42M18.91%35.83M18.91%35.83M0.13%32.05M1.94%32.06M-51.83%30.37M-52.81%30.13M-52.81%30.13M251.48%32.01M271.19%31.45M
-Long term capital lease obligation 56.17%9.7M-5.31%6.05M-5.31%6.05M-12.42%6.1M-7.21%6.32M-10.96%6.21M-9.09%6.39M-9.09%6.39M1.19%6.97M-4.87%6.81M
Non current deferred liabilities 197.29%2.08M-16.42%560K-16.42%560K1,003.51%629K1,881.82%654K75.44%700K748.10%670K748.10%670K-38.04%57K-72.50%33K
Derivative product liabilities ------0--08,650.47%140.97M4,262.10%91.04M1,439.75%65.93M4,186.81%69.88M4,186.81%69.88M-18.26%1.61M-38.69%2.09M
Total non current liabilities -54.26%47.21M-60.36%42.44M-60.36%42.44M342.23%179.75M222.09%130.07M38.16%103.21M47.49%107.06M47.49%107.06M125.13%40.65M110.78%40.38M
Total liabilities -36.08%75.56M-53.66%63.58M-53.66%63.58M193.74%195.27M79.24%149.35M38.16%118.21M63.66%137.21M63.66%137.21M8.30%66.48M57.81%83.33M
Shareholders'equity
Share capital 27.59%37K29.63%35K29.63%35K70.00%34K83.33%33K81.25%29K68.75%27K68.75%27K33.33%20K50.00%18K
-common stock 27.59%37K29.63%35K29.63%35K70.00%34K83.33%33K81.25%29K68.75%27K68.75%27K33.33%20K50.00%18K
Retained earnings -58.19%-1B-56.63%-982M-56.63%-982M-73.74%-939.68M-54.34%-799.69M-26.38%-632.36M-29.78%-626.94M-29.78%-626.94M-22.05%-540.86M-21.26%-518.15M
Paid-in capital 151.11%2.13B163.29%1.84B163.29%1.84B202.94%1.62B196.44%1.5B79.32%849.73M49.24%700.07M49.24%700.07M15.60%534.53M23.71%507.07M
Gains losses not affecting retained earnings 8.55%-9.16M14.17%-9.02M14.17%-9.02M13.90%-9.13M11.71%-9.23M4.37%-10.01M0.07%-10.51M0.07%-10.51M-1.21%-10.6M0.37%-10.45M
Total stockholders'equity 442.10%1.12B1,260.39%852.23M1,260.39%852.23M4,064.26%670.55M3,326.99%694.25M661.16%207.39M355.90%62.65M355.90%62.65M-292.30%-16.92M22.87%-21.51M
Total equity 442.10%1.12B1,260.39%852.23M1,260.39%852.23M4,064.26%670.55M3,326.99%694.25M661.16%207.39M355.90%62.65M355.90%62.65M-292.30%-16.92M22.87%-21.51M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------
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