Recent Annual Filings for QUBT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $153,559,000 $373,000 $68,915,000 $-68,542,000 $-16,213,000 $99,135,000 $76,886,000
2023 $78,728,275 $358,047 $27,579,324 $-29,730,672 $-19,940,521 $19,309,330 $-3,249,181
2022 $89,300,331 $135,648 $36,714,990 $-38,593,700 $-17,557,368 $8,354,434 $17,557,368
2021 $17,284,196 $-27,898,846 $-6,804,960 $8,387,879 $1,542,335