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Rackspace Technology Inc
RXT
1.480
USD
+0.040
+2.78%
收盘 09/18, 16:00(美东)
报价延迟15分钟
1.400
USD
+1.400
盘后交易 09/19, 20:00 (美东)
353.72M
总市值
亏损
市盈率 TTM
Rackspace Technology Inc
1.480
+0.040
+2.78%
概览
公司
财务
分析
财报
利润表
资产负债表
现金流量表
概览
公司
财务
分析
财报
利润表
资产负债表
现金流量表
单季报
单季报+年报
单季报
年报
YOY
隐藏空白行
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
FY2019Q1
经营活动现金流量(间接法)
持续经营活动现金净额
-65.15%
8.40M
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
持续经营净收入
-318.00%
-54.50M
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
持续经营损益
22.51%
90.90M
-86.45%
90.50M
-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
递延税费
70.90%
-7.80M
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
其他非现金项目
108.53%
4.70M
104.02%
2.70M
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
营运资金变化
-172.44%
-34.60M
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
-应收款项(增)减
162.74%
13.30M
-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
-预付费用(增)减
-173.54%
-13.90M
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
-应付款项及应计费用(减)增
-249.32%
-22.10M
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
-其他流动负债变化
25.29%
-6.50M
-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
非持续经营活动现金净额
经营活动现金净额
-65.15%
8.40M
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
投资活动现金流量
持续投资活动现金净额
-46.11%
20.80M
-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
资本性支出
-46.11%
20.80M
-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
固定资产交易的净现金流
-46.11%
20.80M
-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
业务交易的净现金流
--
--
--
--
--
--
--
--
--
--
--
--
--
0.00
--
0.00
--
0.00
100.00%
0.00
--
0.00
--
0.00
--
0.00
--
-7.70M
--
--
--
--
--
--
--
--
--
-9.50M
--
--
--
--
--
--
--
--
投资产品交易的净现金流
--
--
--
--
--
--
--
--
--
--
--
--
--
0.00
100.00%
0.00
--
--
--
--
--
0.00
--
-15.00M
--
--
--
--
--
--
--
--
--
--
--
--
--
900.00K
--
--
--
--
--
--
--
--
其他投资活动的净现金流
-250.00%
-300.00K
-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
非持续投资活动现金净额
投资活动现金净额
45.05%
-21.10M
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
融资活动现金流量
持续融资活动现金净额
80.59%
-15.10M
-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
债务发行/偿还的净现金流
86.20%
-10.20M
-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
普通股发行/偿还的净现金流
--
--
--
--
--
--
--
--
--
--
--
--
--
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
--
--
--
--
职工行使股票期权收到的现金
-25.00%
300.00K
--
--
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
--
--
--
--
--
--
其他融资活动的净现金流额
-20.93%
-5.20M
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
非持续融资活动现金净额
融资活动现金净额
80.59%
-15.10M
-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
现金净流量
期初现金流
-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
24.11%
108.10M
--
256.50M
--
164.70M
--
128.50M
-66.27%
87.10M
--
258.20M
当期现金流变化
72.51%
-25.40M
-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
利率变动影响
900.00%
2.40M
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
期末现金流
-45.26%
105.70M
-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
自由现金流
14.48%
-12.40M
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
货币单位
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
审计意见
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