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Rackspace Technology Inc

RXT

1.220USD

+0.040+3.39%
Close 08/04, 16:00ETQuotes delayed by 15 min
289.51MMarket Cap
LossP/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
FY2019Q1
Operating cash flows (indirect method)
Cash flow from continuing operating activities
113.95%12.60M
-24.79%54.30M
-80.58%51.80M
-36.24%24.10M
-4652.63%-90.30M
162.55%72.20M
277.37%266.80M
-55.00%37.80M
-102.95%-1.90M
-53.86%27.50M
-30.89%70.70M
-20.53%84.00M
-37.50%64.50M
472.50%59.60M
201.77%102.30M
42.84%105.70M
316.13%103.20M
---16.00M
--33.90M
--74.00M
7.36%24.80M
--23.10M
Net income from continuing operations
88.84%-71.50M
-300.00%-56.00M
17.65%-186.60M
191.91%25.00M
-4.67%-640.60M
113.08%28.00M
55.72%-226.60M
33.00%-27.20M
-1489.61%-612.00M
-158.14%-214.00M
-1370.40%-511.70M
-10.93%-40.60M
39.84%-38.50M
-29.94%-82.90M
65.61%-34.80M
-12.27%-36.60M
-32.78%-64.00M
---63.80M
---101.20M
---32.60M
16.17%-48.20M
---57.50M
Operating gains losses
-88.94%73.90M
-19.34%73.40M
-29.42%214.70M
-24.05%74.20M
4.74%668.00M
-70.46%91.00M
-45.73%304.20M
-0.51%97.70M
527.76%637.80M
97.50%308.10M
434.32%560.50M
-8.91%98.20M
-6.36%101.60M
40.41%156.00M
-10.72%104.90M
-7.31%107.80M
-10.55%108.50M
--111.10M
--117.50M
--116.30M
-9.21%121.30M
--133.60M
Deferred tax
94.67%-1.30M
480.00%11.40M
121.92%4.80M
-9033.33%-26.80M
-41.04%-24.40M
95.17%-3.00M
17.98%-21.90M
101.44%300.00K
-2022.22%-17.30M
-885.71%-62.10M
-120.66%-26.70M
-74.17%-20.90M
108.11%900.00K
81.14%-6.30M
42.38%-12.10M
10.45%-12.00M
-91.38%-11.10M
---33.40M
---21.00M
---13.40M
47.75%-5.80M
---11.10M
Other non-cash items
128.72%19.30M
123.33%20.30M
109.59%3.70M
9.82%-55.10M
-1471.43%-67.20M
-465.55%-87.00M
-262.18%-38.60M
-413.33%-61.10M
-69.57%4.90M
20.20%23.80M
27.96%23.80M
13.37%19.50M
-69.33%16.10M
-73.02%19.80M
-66.84%18.60M
-43.61%17.20M
123.40%52.50M
--73.40M
--56.10M
--30.50M
-10.31%23.50M
--26.20M
Change in working capital
48.71%-19.90M
-137.50%-10.50M
-100.09%-200.00K
-330.91%-12.70M
-11.17%-38.80M
165.57%28.00M
37650.00%226.50M
5600.00%5.50M
6.43%-34.90M
13.21%-42.70M
-87.23%600.00K
-102.94%-100.00K
-436.04%-37.30M
59.51%-49.20M
108.13%4.70M
110.79%3.40M
114.94%11.10M
---121.50M
---57.80M
---31.50M
19.85%-74.30M
---92.70M
-Change in receivables
-4.43%30.20M
-42.86%3.60M
-96.65%6.50M
-187.60%-21.20M
-37.43%31.60M
119.94%6.30M
1276.36%194.10M
266.90%24.20M
355.05%50.50M
-26.91%-31.60M
53.78%-16.50M
-130.16%-14.50M
-661.54%-19.80M
60.66%-24.90M
21.71%-35.70M
51.54%-6.30M
92.38%-2.60M
---63.30M
---45.60M
---13.00M
-85.33%-34.10M
---18.40M
-Change in prepaid expenses
10.20%-13.20M
740.00%12.60M
-1475.00%-6.30M
-24.40%18.90M
-880.00%-14.70M
115.79%1.50M
96.04%-400.00K
390.20%25.00M
-120.27%-1.50M
10.38%-9.50M
-217.44%-10.10M
138.64%5.10M
-70.04%7.40M
76.07%-10.60M
151.81%8.60M
-386.96%-13.20M
1552.94%24.70M
---44.30M
---16.60M
--4.60M
-111.26%-1.70M
--15.10M
-Change in payables and accrued expense
65.61%-17.30M
-143.93%-9.40M
-36.24%22.70M
1744.44%14.80M
49.85%-50.30M
-7.76%21.40M
-21.41%35.60M
-104.43%-900.00K
-427.89%-100.30M
2220.00%23.20M
-33.38%45.30M
-24.54%20.30M
-143.59%-19.00M
-66.67%1.00M
217.76%68.00M
5280.00%26.90M
75.85%-7.80M
--3.00M
--21.40M
--500.00K
43.13%-32.30M
---56.80M
-Change in other current liabilities
-1030.00%-9.30M
460.47%15.50M
-170.13%-5.40M
69.26%-8.70M
-94.76%1.00M
31.75%-4.30M
140.74%7.70M
-607.50%-28.30M
151.32%19.10M
-187.50%-6.30M
-800.00%-18.90M
-180.00%-4.00M
-33.91%7.60M
-57.89%7.20M
-216.67%-2.10M
141.67%5.00M
283.33%11.50M
--17.10M
--1.80M
---12.00M
225.00%3.00M
---2.40M
Cash from non-recurring investing activities
Cash from operating activities
113.95%12.60M
-24.79%54.30M
-80.58%51.80M
-36.24%24.10M
-4652.63%-90.30M
162.55%72.20M
277.37%266.80M
-55.00%37.80M
-102.95%-1.90M
-53.86%27.50M
-30.89%70.70M
-20.53%84.00M
-37.50%64.50M
472.50%59.60M
201.77%102.30M
42.84%105.70M
316.13%103.20M
---16.00M
--33.90M
--74.00M
7.36%24.80M
--23.10M
Investing cash flow
Net cash from continuing investing activities
-25.89%8.30M
-41.30%19.90M
-10.91%24.50M
64.96%38.60M
-7.44%11.20M
126.00%33.90M
44.74%27.50M
-13.97%23.40M
-36.98%12.10M
-29.25%15.00M
-10.38%19.00M
-6.53%27.20M
242.86%19.20M
12.17%21.20M
-32.05%21.20M
-9.06%29.10M
-83.72%5.60M
--18.90M
--31.20M
--32.00M
-22.17%34.40M
--44.20M
Capital expenditures
-70.46%8.30M
-41.30%19.90M
-10.91%24.50M
64.96%38.60M
132.23%28.10M
126.00%33.90M
44.74%27.50M
-13.97%23.40M
-36.98%12.10M
-29.25%15.00M
-10.38%19.00M
-6.53%27.20M
-47.97%19.20M
12.17%21.20M
-32.05%21.20M
-9.06%29.10M
7.27%36.90M
--18.90M
--31.20M
--32.00M
-43.61%34.40M
--61.00M
Net cash flow from disposal of fixed assets
-25.89%8.30M
-41.30%19.90M
-10.91%24.50M
64.96%38.60M
-7.44%11.20M
126.00%33.90M
44.74%27.50M
-13.97%23.40M
-36.98%12.10M
-29.25%15.00M
-10.38%19.00M
-6.53%27.20M
242.86%19.20M
12.17%21.20M
-32.05%21.20M
-9.06%29.10M
-83.72%5.60M
--18.90M
--31.20M
--32.00M
-22.17%34.40M
--44.20M
Net cash flow from business transactions
----
----
----
----
----
--0.00
--0.00
--0.00
100.00%0.00
--0.00
--0.00
--0.00
---7.70M
----
----
----
----
---9.50M
----
----
----
----
Net cash flow from investment products
----
----
----
----
----
--0.00
100.00%0.00
----
----
--0.00
---15.00M
----
----
----
----
----
----
--900.00K
----
----
----
----
Net cash flow from other investing activities
-600.00%-500.00K
1000.00%2.20M
5000.00%5.10M
0.00%200.00K
-75.00%100.00K
-66.67%200.00K
-90.91%100.00K
-92.00%200.00K
-60.00%400.00K
-86.36%600.00K
57.14%1.10M
47.06%2.50M
-23.08%1.00M
150.57%4.40M
-61.11%700.00K
6.25%1.70M
-35.00%1.30M
---8.70M
--1.80M
--1.60M
400.00%2.00M
--400.00K
Cash from non-current investing activities
Net cash flow from investing activities
20.72%-8.80M
47.48%-17.70M
29.20%-19.40M
-65.52%-38.40M
5.13%-11.10M
-134.03%-33.70M
16.72%-27.40M
6.07%-23.20M
54.83%-11.70M
14.29%-14.40M
-60.49%-32.90M
9.85%-24.70M
-502.33%-25.90M
53.59%-16.80M
30.27%-20.50M
9.87%-27.40M
86.73%-4.30M
---36.20M
---29.40M
---30.40M
26.03%-32.40M
---43.80M
Financing cash flow
Cash flow from continuous financing activities
-110.95%-20.60M
62.11%-46.00M
44.11%-67.40M
-163.73%-77.80M
555.69%188.20M
-217.80%-121.40M
-171.62%-120.60M
53.62%-29.50M
-1.23%-41.30M
-24.84%-38.20M
-27.59%-44.40M
-2.09%-63.60M
-806.67%-40.80M
68.97%-30.60M
-140.85%-34.80M
-753.42%-62.30M
-108.89%-4.50M
---98.60M
--85.20M
---7.30M
222.52%50.60M
---41.30M
Net cash flow from debt Issuance/repayment
-107.48%-16.30M
64.05%-42.20M
45.48%-62.10M
-183.14%-73.90M
690.79%218.00M
-236.39%-117.40M
-202.93%-113.90M
22.78%-26.10M
-12.16%-36.90M
3.06%-34.90M
1.05%-37.60M
56.67%-33.80M
-639.34%-32.90M
67.15%-36.00M
93.48%-38.00M
-1030.43%-78.00M
-88.11%6.10M
---109.60M
---582.90M
---6.90M
224.21%51.30M
---41.30M
Net cash flow from common stock issuance/repurchase
----
----
----
----
----
--0.00
--0.00
100.00%0.00
100.00%0.00
--0.00
--0.00
---26.90M
---4.10M
100.00%0.00
-100.00%0.00
----
----
---1.30M
--658.60M
--500.00K
----
----
Proceeds from stock option exercised by employees
----
0.00%500.00K
--0.00
-50.00%400.00K
----
-50.00%500.00K
--0.00
-63.64%800.00K
-100.00%0.00
-89.69%1.00M
-100.00%0.00
-90.09%2.20M
-97.70%500.00K
-51.01%9.70M
-33.63%7.50M
--22.20M
--21.70M
--19.80M
--11.30M
----
----
----
Net cash flow from other financing activities
85.57%-4.30M
4.44%-4.30M
20.90%-5.30M
-2.38%-4.30M
-577.27%-29.80M
-4.65%-4.50M
1.47%-6.70M
17.65%-4.20M
-2.33%-4.40M
0.00%-4.30M
-58.14%-6.80M
21.54%-5.10M
86.69%-4.30M
42.67%-4.30M
-138.89%-4.30M
-622.22%-6.50M
-4514.29%-32.30M
---7.50M
---1.80M
---900.00K
---700.00K
--0.00
Net cash from non-recurrent financing activities
Net cash from financing activities
-110.95%-20.60M
62.11%-46.00M
44.11%-67.40M
-163.73%-77.80M
555.69%188.20M
-217.80%-121.40M
-171.62%-120.60M
53.62%-29.50M
-1.23%-41.30M
-24.84%-38.20M
-27.59%-44.40M
-2.09%-63.60M
-806.67%-40.80M
68.97%-30.60M
-140.85%-34.80M
-753.42%-62.30M
-108.89%-4.50M
---98.60M
--85.20M
---7.30M
222.52%50.60M
---41.30M
Net cash flow
Beginning cash balance
-26.39%147.00M
-42.96%160.10M
18.47%193.10M
60.94%285.50M
-13.70%199.70M
11.34%280.70M
-38.21%163.00M
-34.68%177.40M
-15.98%231.40M
-4.29%252.10M
20.95%263.80M
34.59%271.60M
154.76%275.40M
2.69%263.40M
32.42%218.10M
57.04%201.80M
24.11%108.10M
--256.50M
--164.70M
--128.50M
-66.27%87.10M
--258.20M
Current period cash flow changes
-118.53%-15.90M
83.83%-13.10M
-128.04%-33.00M
-541.67%-92.40M
258.89%85.80M
-291.30%-81.00M
1105.98%117.70M
-84.62%-14.40M
-1321.05%-54.00M
-272.50%-20.70M
-125.83%-11.70M
-147.85%-7.80M
-104.06%-3.80M
108.09%12.00M
-50.65%45.30M
-54.97%16.30M
126.33%93.70M
---148.40M
--91.80M
--36.20M
169.70%41.40M
---59.40M
Effect of exchange rate changes
190.00%900.00K
-294.74%-3.70M
281.82%2.00M
-160.00%-300.00K
-211.11%-1.00M
-56.82%1.90M
78.43%-1.10M
114.29%500.00K
156.25%900.00K
2300.00%4.40M
-200.00%-5.10M
-1266.67%-3.50M
-128.57%-1.60M
-108.33%-200.00K
-180.95%-1.70M
400.00%300.00K
56.25%-700.00K
--2.40M
--2.10M
---100.00K
-161.54%-1.60M
--2.60M
Ending cash balance
-54.08%131.10M
-26.39%147.00M
-42.96%160.10M
18.47%193.10M
60.94%285.50M
-13.70%199.70M
11.34%280.70M
-38.21%163.00M
-34.68%177.40M
-15.98%231.40M
-4.29%252.10M
20.95%263.80M
34.59%271.60M
154.76%275.40M
2.69%263.40M
32.42%218.10M
57.04%201.80M
--108.10M
--256.50M
--164.70M
-35.36%128.50M
--198.80M
Free cash flow
103.63%4.30M
-10.18%34.40M
-88.59%27.30M
-200.69%-14.50M
-745.71%-118.40M
206.40%38.30M
362.86%239.30M
-74.65%14.40M
-130.91%-14.00M
-67.45%12.50M
-36.25%51.70M
-25.85%56.80M
-31.67%45.30M
210.03%38.40M
2903.70%81.10M
82.38%76.60M
790.63%66.30M
---34.90M
--2.70M
--42.00M
74.67%-9.60M
---37.90M
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