Recent Annual Filings for QBTS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $199,853,000 $8,827,000 $152,706,000 $-143,872,000 $-42,643,000 $182,450,000 $136,666,000
2023 $59,356,000 $8,758,000 $91,473,000 $-82,830,000 $-60,649,000 $95,636,000 $34,357,000
2022 $26,947,000 $7,173,000 $58,702,000 $-51,488,000 $-45,226,000 $43,265,000 $-2,459,000