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Reynolds Consumer Products Inc

REYN

21.955USD

-0.085-0.39%
Market hours ETQuotes delayed by 15 min
4.62BMarket Cap
13.78P/E TTM
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
FY2019Q4
FY2018Q4
Operating cash flows (indirect method)
Cash flow from continuing operating activities
-43.43%56.00M
-17.65%182.00M
-42.59%124.00M
-29.41%84.00M
12.50%99.00M
118.81%221.00M
1170.59%216.00M
45.12%119.00M
363.16%88.00M
-46.28%101.00M
-83.65%17.00M
811.11%82.00M
111.11%19.00M
9.30%188.00M
-27.78%104.00M
-96.51%9.00M
103.53%9.00M
-29.80%172.00M
--144.00M
--258.00M
---255.00M
33.88%245.00M
--183.00M
Net income from continuing operations
-36.73%31.00M
-11.68%121.00M
10.26%86.00M
45.45%96.00M
188.24%49.00M
29.25%137.00M
62.50%78.00M
26.92%66.00M
-67.31%17.00M
1.92%106.00M
-27.27%48.00M
-35.00%52.00M
-29.73%52.00M
-7.14%104.00M
-41.59%66.00M
-28.57%80.00M
184.62%74.00M
24.44%112.00M
--113.00M
--112.00M
--26.00M
7.14%90.00M
--84.00M
Operating gains losses
0.00%32.00M
3.13%33.00M
6.45%33.00M
0.00%31.00M
6.67%32.00M
6.67%32.00M
3.33%31.00M
6.90%31.00M
7.14%30.00M
7.14%30.00M
7.14%30.00M
7.41%29.00M
7.69%28.00M
3.70%28.00M
16.67%28.00M
12.50%27.00M
8.33%26.00M
-3.57%27.00M
--24.00M
--24.00M
--24.00M
33.33%28.00M
--21.00M
Deferred tax
-700.00%-8.00M
50.00%-1.00M
-100.00%-10.00M
-90.91%1.00M
88.89%-1.00M
-200.00%-2.00M
-350.00%-5.00M
1000.00%11.00M
-125.00%-9.00M
-85.71%2.00M
-83.33%2.00M
-50.00%1.00M
33.33%-4.00M
27.27%14.00M
-20.00%12.00M
-84.62%2.00M
-121.43%-6.00M
10.00%11.00M
--15.00M
--13.00M
--28.00M
150.00%10.00M
--4.00M
Other non-cash items
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--1.00M
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---1.00M
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50.00%-1.00M
---2.00M
Change in working capital
-133.33%-5.00M
-52.00%24.00M
-91.67%9.00M
-712.50%-49.00M
-68.09%15.00M
231.58%50.00M
271.43%108.00M
500.00%8.00M
179.66%47.00M
-186.36%-38.00M
-1475.00%-63.00M
98.02%-2.00M
32.18%-59.00M
100.00%44.00M
55.56%-4.00M
-191.82%-101.00M
74.26%-87.00M
-81.36%22.00M
---9.00M
--110.00M
---338.00M
68.57%118.00M
--70.00M
-Change in receivables
41.18%24.00M
100.00%0.00
-15.38%33.00M
-11.76%-38.00M
142.86%17.00M
91.38%-5.00M
205.41%39.00M
-150.00%-34.00M
275.00%7.00M
-1833.33%-58.00M
-436.36%-37.00M
241.67%68.00M
-136.36%-4.00M
25.00%-3.00M
320.00%11.00M
-271.43%-48.00M
103.73%11.00M
-114.29%-4.00M
---5.00M
--28.00M
---295.00M
-46.15%28.00M
--52.00M
-Change in inventory
-46.67%-66.00M
11.54%58.00M
-205.26%-40.00M
-122.06%-15.00M
-212.50%-45.00M
-29.73%52.00M
161.29%38.00M
178.16%68.00M
162.50%40.00M
131.25%74.00M
-82.35%-62.00M
-16.00%-87.00M
27.27%-64.00M
288.24%32.00M
-112.50%-34.00M
-253.06%-75.00M
-450.00%-88.00M
-129.31%-17.00M
---16.00M
--49.00M
---16.00M
-13.43%58.00M
--67.00M
-Change in other current assets
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--2.00M
----
-Change in other current liabilities
-125.00%-9.00M
50.00%6.00M
75.00%-1.00M
96.77%-1.00M
-121.05%-4.00M
100.00%4.00M
-100.00%-4.00M
-720.00%-31.00M
533.33%19.00M
-33.33%2.00M
---2.00M
350.00%5.00M
175.00%3.00M
160.00%3.00M
100.00%0.00
---2.00M
80.00%-4.00M
70.59%-5.00M
---3.00M
--0.00
---20.00M
87.94%-17.00M
---141.00M
Cash from non-recurring investing activities
Cash from operating activities
-43.43%56.00M
-17.65%182.00M
-42.59%124.00M
-29.41%84.00M
12.50%99.00M
118.81%221.00M
1170.59%216.00M
45.12%119.00M
363.16%88.00M
-46.28%101.00M
-83.65%17.00M
811.11%82.00M
111.11%19.00M
9.30%188.00M
-27.78%104.00M
-96.51%9.00M
103.53%9.00M
-29.80%172.00M
--144.00M
--258.00M
---255.00M
33.88%245.00M
--183.00M
Investing cash flow
Net cash from continuing investing activities
34.48%39.00M
51.85%41.00M
19.23%31.00M
-34.48%19.00M
31.82%29.00M
-35.71%27.00M
-13.33%26.00M
3.57%29.00M
-21.43%22.00M
5.00%42.00M
7.14%30.00M
-44.00%28.00M
21.74%28.00M
-31.03%40.00M
-15.15%28.00M
72.41%50.00M
0.00%23.00M
65.71%58.00M
--33.00M
--29.00M
--23.00M
9.38%35.00M
--32.00M
Capital expenditures
34.48%39.00M
51.85%41.00M
19.23%31.00M
-34.48%19.00M
31.82%29.00M
-35.71%27.00M
-13.33%26.00M
3.57%29.00M
-21.43%22.00M
5.00%42.00M
7.14%30.00M
-44.00%28.00M
21.74%28.00M
-31.03%40.00M
-15.15%28.00M
72.41%50.00M
0.00%23.00M
65.71%58.00M
--33.00M
--29.00M
--23.00M
9.38%35.00M
--32.00M
Net cash flow from disposal of fixed assets
34.48%39.00M
51.85%41.00M
19.23%31.00M
-34.48%19.00M
31.82%29.00M
-35.71%27.00M
-13.33%26.00M
3.57%29.00M
-21.43%22.00M
5.00%42.00M
7.14%30.00M
-44.00%28.00M
21.74%28.00M
-31.03%40.00M
-15.15%28.00M
72.41%50.00M
0.00%23.00M
65.71%58.00M
--33.00M
--29.00M
--23.00M
9.38%35.00M
--32.00M
Net cash flow from business transactions
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---6.00M
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Net cash flow from other investing activities
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--0.00
--0.00
--0.00
--0.00
100.00%0.00
---287.00M
Cash from non-current investing activities
Net cash flow from investing activities
-34.48%-39.00M
-24.24%-41.00M
-19.23%-31.00M
34.48%-19.00M
-31.82%-29.00M
21.43%-33.00M
13.33%-26.00M
-3.57%-29.00M
21.43%-22.00M
-5.00%-42.00M
-7.14%-30.00M
44.00%-28.00M
-21.74%-28.00M
31.03%-40.00M
15.15%-28.00M
-72.41%-50.00M
0.00%-23.00M
-65.71%-58.00M
---33.00M
---29.00M
---23.00M
89.03%-35.00M
---319.00M
Financing cash flow
Cash flow from continuous financing activities
-92.00%-96.00M
49.75%-99.00M
34.23%-98.00M
-73.68%-99.00M
7.41%-50.00M
-264.81%-197.00M
-170.91%-149.00M
-5.56%-57.00M
0.00%-54.00M
0.00%-54.00M
0.00%-55.00M
0.00%-54.00M
64.94%-54.00M
64.71%-54.00M
63.82%-55.00M
-45.95%-54.00M
-140.96%-154.00M
-24.39%-153.00M
---152.00M
---37.00M
--376.00M
-180.39%-123.00M
--153.00M
Net cash flow from debt Issuance/repayment
---50.00M
66.44%-50.00M
50.50%-50.00M
-733.33%-50.00M
100.00%0.00
-2383.33%-149.00M
-1342.86%-101.00M
0.00%-6.00M
0.00%-6.00M
0.00%-6.00M
0.00%-7.00M
0.00%-6.00M
94.34%-6.00M
94.34%-6.00M
93.40%-7.00M
0.00%-6.00M
-104.30%-106.00M
-2020.00%-106.00M
---106.00M
---6.00M
--2.46B
0.00%-5.00M
---5.00M
Net cash flow from common stock issuance/repurchase
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--0.00
-100.00%0.00
--0.00
--0.00
--0.00
--1.41B
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Cash dividend payments
0.00%48.00M
0.00%48.00M
0.00%48.00M
0.00%48.00M
0.00%48.00M
0.00%48.00M
0.00%48.00M
0.00%48.00M
0.00%48.00M
0.00%48.00M
0.00%48.00M
0.00%48.00M
0.00%48.00M
2.13%48.00M
4.35%48.00M
54.84%48.00M
--48.00M
--47.00M
--46.00M
--31.00M
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Net cash flow from other financing activities
200.00%2.00M
---1.00M
--0.00
66.67%-1.00M
---2.00M
--0.00
--0.00
---3.00M
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--0.00
100.00%0.00
100.00%0.00
--0.00
--0.00
---3.50B
-174.68%-118.00M
--158.00M
Net cash from non-recurrent financing activities
Net cash from financing activities
-92.00%-96.00M
49.75%-99.00M
34.23%-98.00M
-73.68%-99.00M
7.41%-50.00M
-264.81%-197.00M
-170.91%-149.00M
-5.56%-57.00M
0.00%-54.00M
0.00%-54.00M
0.00%-55.00M
0.00%-54.00M
64.94%-54.00M
64.71%-54.00M
63.82%-55.00M
-45.95%-54.00M
-140.96%-154.00M
-24.39%-153.00M
---152.00M
---37.00M
--376.00M
-180.39%-123.00M
--153.00M
Net cash flow
Beginning cash balance
19.13%137.00M
-22.58%96.00M
21.69%101.00M
--135.00M
202.63%115.00M
275.76%124.00M
-17.82%83.00M
-100.00%0.00
-76.83%38.00M
-52.86%33.00M
106.12%101.00M
-29.86%101.00M
-47.44%164.00M
-80.06%70.00M
-87.50%49.00M
-28.00%144.00M
205.88%312.00M
2240.00%351.00M
--392.00M
--200.00M
--102.00M
150.00%15.00M
--6.00M
Current period cash flow changes
-495.00%-79.00M
555.56%41.00M
-112.20%-5.00M
-203.03%-34.00M
66.67%20.00M
-280.00%-9.00M
160.29%41.00M
--33.00M
119.05%12.00M
-94.68%5.00M
-423.81%-68.00M
100.00%0.00
62.50%-63.00M
341.03%94.00M
151.22%21.00M
-149.48%-95.00M
-271.43%-168.00M
-144.83%-39.00M
---41.00M
--192.00M
--98.00M
411.76%87.00M
--17.00M
Effect of exchange rate changes
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---1.00M
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Ending cash balance
-57.04%58.00M
19.13%137.00M
-22.58%96.00M
206.06%101.00M
170.00%135.00M
202.63%115.00M
275.76%124.00M
-67.33%33.00M
-50.50%50.00M
-76.83%38.00M
-52.86%33.00M
106.12%101.00M
-29.86%101.00M
-47.44%164.00M
-80.06%70.00M
-87.50%49.00M
-28.00%144.00M
205.88%312.00M
--351.00M
--392.00M
--200.00M
343.48%102.00M
--23.00M
Free cash flow
-75.71%17.00M
-27.32%141.00M
-51.05%93.00M
-27.78%65.00M
6.06%70.00M
228.81%194.00M
1561.54%190.00M
66.67%90.00M
833.33%66.00M
-60.14%59.00M
-117.11%-13.00M
231.71%54.00M
35.71%-9.00M
29.82%148.00M
-31.53%76.00M
-117.90%-41.00M
94.96%-14.00M
-45.71%114.00M
--111.00M
--229.00M
---278.00M
39.07%210.00M
--151.00M
Currency unit
USD
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USD
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USD
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