IO

IonQIONQ

NYSE

Системная Интеграция

44,34 $-0.23%

AI многогоризонтный анализ

Короткий срокуверенность 30%
Нейтральный

Minute-level candles and indicators not supplied; no actionable intraday setup identified.

Средний срокуверенность 70%
Медвежий

Daily price at 37.27 below EMA-12/26/50, SMA-20/50/200; MACD below signal; RSI sub-40; session low reference 25.89; volume below average.

Долгий срокуверенность 60%
Медвежий

Revenue path uneven; latest operating loss widened vs March; FCF negative in all four periods and deteriorated in June; shares outstanding up ~17%; cash and current ratio high but not from operating cash flow.

Общий ИИ-взглядуверенность 65%
Медвежий

Price below all major moving averages on daily data; latest operating loss widened QoQ and FCF deteriorated; insider sales exceed buys by $759k; dilution of ~17% across four periods; only high cash balance and current ratio offer counter-support.

Подробный фундаментальный ИИ-анализ

Этот анализ изначально был написан на английский. Кэшированной версии на русский ещё нет — запустите живой анализ выше, чтобы сгенерировать.

Business Snapshot

  • IonQ, Inc. is a US-listed common stock trading on the NYSE under ticker IONQ. The supplied data identifies the company but does not provide a business description, sector classification, or operating guidance.
  • The financials show quarterly revenue alongside substantial operating losses and negative free cash flow. The figures cover four reporting periods, but include a year-end 10-K period; comparisons are period-to-period, not necessarily like-for-like quarters.

Financial Trends

  • Revenue: Revenue rose from $39.9M on 2025-09-30 to $130.0M on 2025-12-31 (+$90.2M, +226%), then fell to $64.7M on 2026-03-31 (−$65.3M, −50%) before increasing to $80.1M on 2026-06-30 (+$15.4M, +24%). Latest revenue is $40.2M (+101%) above the earliest period, but the path is uneven.
  • Operating performance: Operating losses widened from −$168.8M to −$633.7M between the earliest and 2025-12-31 periods, narrowed to −$271.5M in 2026-03-31, then widened again to −$337.2M in 2026-06-30 ($65.7M more negative quarter over quarter). Operating margin improved from −487.41% in 2025-12-31 to −419.85% in 2026-03-31, then slipped to −421.29% in the latest period. Gross margin data is unavailable.
  • Net income: Net income moved from −$1,055.0M to −$510.4M, then to +$805.4M, and back to −$1,867.7M in the latest period. This is highly volatile; the latest loss is $812.8M larger than the earliest-period loss. The data does not explain the sources of these swings, so the quarterly net result should not be treated as a stable operating trend.
  • Free cash flow: FCF was negative in all four periods: −$216.3M, −$299.6M, −$159.4M, and −$273.4M. It improved by $140.2M from December to March, then deteriorated by $114.0M in June. Latest FCF is $57.1M more negative than four periods ago.
  • Balance sheet and dilution: Cash rose from $346.0M at 2025-09-30 to $1,235.7M at 2026-06-30 (+$889.7M), including a $742.2M increase from March to June. Current assets increased $1,194.5M over the four periods, while current liabilities rose $86.8M; the current ratio nevertheless eased from 15.50 at year-end to 10.66 latest. Total assets rose $2,459.2M, while total liabilities increased $1,407.5M from the earliest to latest period. Shares outstanding increased from 325.3M to 381.0M (+55.7M, about 17%), indicating meaningful share-count growth. Debt/equity is not provided.

Financial Health

  • The latest balance sheet reports $1.24B cash, $2.41B current assets, and $226.1M current liabilities, with a 10.66 current ratio. That indicates substantial reported short-term asset coverage, though the ratio has declined from 15.50 at 2025-12-31.
  • The cash position improved sharply in the latest period, but the supplied data does not identify the drivers of the cash-flow movements. This should be viewed alongside −$254.8M cash from operations and −$273.4M FCF in the latest period; the improvement in cash does not represent positive operating cash generation.
  • Operating losses remain large relative to revenue, and the latest operating loss widened versus March. Net income is unusually volatile across the periods, so it offers limited evidence of a durable earnings inflection.
  • Shares outstanding increased about 17% over the four reported balance-sheet dates. That is a relevant dilution consideration for existing shareholders. The data does not provide debt/equity or enough detail to assess the composition of liabilities.

Insider Activity

  • The supplied sentiment summary for 2026-06-16 to 2026-09-14 is Neutral (−10): reported sells totaled $759,146 versus $0 in buys across seven buy and five sell transactions.
  • The latest listed transaction is Raymond John’s sale of 2,407 shares at $37.21, valued at $89,564, dated 2026-09-10. Two August 24 entries list 5,540 shares each as buys at $0 for Timothy E. Baxter and Eric R. Ball; the reported zero value means these entries do not establish open-market purchases at a cash price.
  • Overall, the provided transaction data leans toward selling by reported value, but it does not establish the motivation behind transactions. The sentiment window and transaction list may not represent every insider holding change.

Multi-Timeframe Technical Context

  • Ultra-short (minutes): Intraday or minute-level candles and indicators are not provided, so a minutes-scale setup cannot be assessed from this payload.
  • Short (hours to days): The 1D snapshot is weak: price at $37.27 is below EMA-12 ($38.71), EMA-26 ($39.95), EMA-50 ($41.67), SMA-20 ($40.41), SMA-50 ($39.86), and SMA-200 ($44.03). MACD is −1.243, below its −0.8978 signal, consistent with bearish momentum in the supplied daily indicators.
  • Momentum and range: RSI-14 is 39.2 and RSI-21 is 37.9—weak, but not at a conventional oversold reading. Price is below the Bollinger middle band ($40.41) and above the lower band ($34.73). ATR is $2.31, indicating a sizable daily trading range relative to the current price.
  • Volume and session data: Current volume is 5.96M, below the 20-day average of 17.92M. The stated session high of $73.65 and low of $25.89 imply an unusually wide range; the supplied data does not explain the price action behind it. The 200-bar series opens at $46.57 and closes at $37.27, a 19.97% decline over that span.
  • Longer horizon (weeks to months): Price below all listed major averages, including the 200-day SMA, signals a weak trend in the available daily snapshot. Only one timeframe is supplied, so no independent weekly or monthly confirmation is available.

Bull / Bear Cases

  • Short-term bull case: RSI readings near 38–39 are weak but not deeply oversold, and price remains above the daily lower Bollinger band at $34.73. A recovery through the $39.86–$40.41 moving-average/Bollinger-middle cluster would improve the short-term technical picture. The latest reported cash balance is also materially higher than in March, though operating cash flow remains negative.
  • Short-term bear case: Price is below every listed moving average, MACD is below its signal, and the latest operating loss and FCF both worsened versus March. A break below $34.73 would put the lower-band area at risk; the supplied session low of $25.89 is a further downside reference, not a confirmed support level.
  • Long-term bull case: Revenue in the latest period is $40.2M above the earliest period, and the balance sheet reports $1.24B cash with a high current ratio. If revenue growth becomes more consistent and operating losses and cash burn narrow, those would improve the fundamental case.
  • Long-term bear case: Operating losses remain substantial, FCF is negative in all four periods, latest FCF deteriorated versus March, and reported shares outstanding rose about 17% across the dates. The volatile net-income figures do not establish a sustained earnings improvement, and the technical price remains below the 200-day SMA.

Key Levels & Triggers

  • Near-term resistance areas: $38.71 (EMA-12), then $39.86–$40.41 (SMA-50, EMA-26, SMA-20/Bollinger middle). A sustained recovery above this cluster would be a short-term improvement; $41.67 (EMA-50) and $44.03 (SMA-200) are higher trend hurdles.
  • Potential support references: $34.73 (Bollinger lower band), followed by the stated session low of $25.89. These are reference points from the supplied data, not validated support zones.
  • Technical triggers: Holding above the lower band while reclaiming the $39.86–$40.41 cluster would reduce immediate technical weakness. Failure at that cluster or a break below $34.73 would keep downside risk elevated.
  • Fundamental triggers to monitor: Whether revenue growth persists after the latest 24% sequential increase; whether operating losses and FCF improve after their deterioration in June; and whether cash remains strong without further substantial share-count growth.

Финансовые данные

Из SEC EDGAR · Период отчета 2026-06-30 · Форма источника 10-Q

Отчет о прибылях и убытках · Последние 4 периода

 
2026-06-30
10-Q
2026-03-31
10-Q
2025-12-31
10-K
2025-09-30
10-Q
Выручка$80.05M$64.67M$130.02M$39.87M
Операционная прибыль-$337.24M-$271.51M-$633.72M-$168.81M
Чистая прибыль-$1.87B$805.36M-$510.38M-$1.05B
Прибыль на акцию (разводненная)$-5.08$2.07$-1.82$-3.58
Операционная маржа-421.29%-419.85%-487.41%-423.45%
Чистая маржа-2333.22%1245.38%-392.55%-2646.25%

Баланс · Последние 4 периода

 
2026-06-30
10-Q
2026-03-31
10-Q
2025-12-31
10-Q
2025-09-30
10-Q
Всего активов$6.78B$6.69B$6.57B$4.32B
Всего обязательств$3.44B$1.70B$2.76B$2.03B
Капитал акционеров$3.33B$4.98B$3.80B$2.27B
Денежные средства и эквиваленты$1.24B$493.54M$1.03B$346.03M
Коэффициент текущей ликвидности10.6614.0515.508.73

Отчет о движении денежных средств · Последние 4 периода

 
2026-06-30
10-Q
2026-03-31
10-Q
2025-12-31
10-K
2025-09-30
10-Q
Денежные потоки от операционной деятельности-$254.78M-$151.02M-$283.19M-$208.68M
Денежные потоки от инвестиционной деятельности$442.12M-$391.85M-$2.10B-$873.63M
Денежные потоки от финансовой деятельности$18.92M$6.90M$3.36B$1.38B
Капитальные расходы$18.58M$8.37M$16.42M$7.63M
Свободный денежный поток-$273.36M-$159.39M-$299.60M-$216.31M

Отчет о прибылях и убытках

Выручка
$144.72M
Валовая прибыль
—
Операционная прибыль
-$608.75M
Чистая прибыль
-$1.06B
Прибыль на акцию (базовая)
$-2.92
Прибыль на акцию (разводненная)
$-2.92

Баланс

Всего активов
$6.78B
Всего обязательств
$3.44B
Капитал акционеров
$3.33B
Денежные средства и эквиваленты
$1.24B
Долгосрочные обязательства
—
Выпущенные акции
381.00M

Отчет о движении денежных средств

Денежные потоки от операционной деятельности
-$254.78M
Денежные потоки от инвестиционной деятельности
$442.12M
Денежные потоки от финансовой деятельности
$18.92M
Капитальные расходы
$18.58M
Свободный денежный поток
-$273.36M

Ключевые коэффициенты

Валовая маржа
—
Операционная маржа
-420.65%
Чистая маржа
-734.10%
Коэффициент текущей ликвидности
10.66
Коэффициент задолженности (долг/капитал)
—
Свободный денежный поток
-$273.36M

Торговля инсайдеров

3 заявлений инсайдеров (2026-08-15 по 2026-09-14) — непосредственно из форм SEC 4/5

Покупка
$0.00 · 2
Продажа
$89.6K · 1
Чистая сумма
-$89.6K
Обработанные заявления
3
Дата сделкиИнсайдерДействиеКоличество акцийЦенаСумма
2026-09-10Raymond John wSell2,407$37.21$89.6K
2026-08-24Baxter Timothy EBuy5,540$0.00$0.00
2026-08-24Ball Eric R.Buy5,540$0.00$0.00

Ключевые показатели

$16.08BКапитализация
84,64 $52-недельный максимум
25,89 $52-недельный минимум
28 111 678Средний объем за 30 дней

1 132 сотрудники366.64M акции в обращениилистинг с 2021-01-04

Следующий отчет ~5 мая 2026 г.

О IonQ

IonQ Inc продает доступ к нескольким квантовым компьютерам различной емкости кубитов и занимается исследованиями и разработкой технологий для квантовых компьютеров с возрастающими вычислительными возможностями. В настоящее время компания предоставляет доступ к своим квантовым компьютерам через облачные платформы, а также избранным клиентам через собственный облачный сервис. Такой облачный подход обеспечивает широкую доступность квантовых вычислений как услуги (QCaaS). Компания получает доход от соглашений о предоставлении квантовых вычислений как услуги, консалтинговых услуг, связанных с совместной разработкой алгоритмов на квантовых вычислительных системах компании, и контрактов, связанных с проектированием, разработкой и строительством специализированных квантовых вычислительных систем вместе с сопутствующими услугами.

Недавние ИИ-анализы SimianX

  • intelligence—уверенность 70%

    Macro-driven risk-off pressure with rising-rate expectations and AI slowdown concerns is expected to create selling pressure on IONQ over the next several sessions.

  • indicatorМедвежий

    Daily price is below all major EMAs/SMAs, MACD and RSI remain bearish, but a bullish engulfing candle on light volume offers a weak counter-signal.

  • intelligence—уверенность 75%

    Mildly bearish IONQ into next open driven by macro risk-off and rate concerns with no offsetting company-specific catalyst.

  • indicatorМедвежий

    1D bearish structure with oversold RSI, price below all key EMAs/SMAs, and MACD bearish.

  • intelligence—уверенность 65%

    Mildly bearish to neutral near-term read for IONQ: a single modest bullish product headline is outweighed by hawkish-rate macro flow pressuring high-duration growth names.

  • indicatorМедвежий

    Price below all key EMAs/SMAs and MACD bearish; RSI near oversold but volume weak; gap-up did not reverse structure.

Последние новости

Связанные акциив Системная Интеграция

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IonQ (IONQ) Сетап пробоя? Мульти-модельный ИИ: Падение!