D-Wave Quantum
Financial ratios & Valuation

Historical Multiples (2020 – 2023)

2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
-21.39-36.12-4.42-1.46N/A-20.27
Price/Sales ratio
75.65196.0224.0113.86N/A110.02
Price/Book Value ratio
11.92407.57-27.91-4.96N/A189.82
Price/Cash Flow ratio
-13.32-35.36-3.80-2.00N/A-19.58
Price/Free Cash Flow ratio
-12.97-33.44-3.76-1.98N/A-18.60
Price/Earnings Growth ratio
N/A0.80-0.19-0.01N/A0.30
Dividend Yield
N/AN/AN/AN/AN/AN/A
Profitability Indicator Ratios
Gross Profit Margin
82.26%72.12%59.25%52.77%N/A65.68%
Operating Profit Margin
-376.74%-506.14%-828.91%-919.68%N/A-667.53%
Pretax Profit Margin
-194.16%-502.38%-718.37%-944.45%N/A-610.38%
Net Profit Margin
-353.58%-542.66%-543.24%-944.45%N/A-542.95%
Effective Tax Rate
-82.10%-8.01%24.37%N/AN/A8.18%
Return on Assets
-38.44%-104.48%-144.60%-139.35%N/A-124.54%
Return On Equity
-55.74%-1128.27%631.35%337.87%N/A-248.46%
Return on Capital Employed
-54.77%-142.41%-535.70%-167.43%N/A-339.06%
Liquidity Ratios
Current Ratio
N/AN/AN/AN/AN/AN/A
Quick Ratio
3.231.650.743.99N/A1.19
Cash ratio
1.780.920.443.67N/A0.68
Days of Sales Outstanding
1.14K25.4641.4772.43N/A33.46
Days of Inventory outstanding
1.00K440.92274.21183.38N/A357.56
Operating Cycle
2.15K466.38315.68255.81N/A391.03
Days of Payables Outstanding
868.02439.87469.01129.28N/A454.44
Cash Conversion Cycle
1.28K26.50-153.32126.53N/A-63.41
Debt Ratios
Debt Ratio
0.030.381.241.10N/A0.81
Debt Equity Ratio
0.054.13-5.41-2.68N/A-0.64
Long-term Debt to Capitalization
0.030.801.241.62N/A1.02
Total Debt to Capitalization
0.040.801.221.59N/A1.01
Interest Coverage Ratio
N/AN/AN/AN/AN/AN/A
Cash Flow to Debt Ratio
-17.47-2.78-1.35-0.92N/A-2.06
Company Equity Multiplier
1.4510.79-4.36-2.42N/A3.21
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
-5.67-5.54-6.30-6.92N/A-5.92
Free Cash Flow / Operating Cash Flow Ratio
1.021.051.011.01N/A1.03
Cash Flow Coverage Ratio
-17.47-2.78-1.35-0.92N/A-2.06
Short Term Coverage Ratio
-82.49-134.36-19.80-34.20N/A-77.08
Dividend Payout Ratio
N/AN/AN/AN/AN/AN/A