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NASDAQ:RXT

Rackspace Technology, Inc.

  • Stock

USD

Last Close

2.29

30/08 20:00

Market Cap

613.35M

Beta: 1.35

Volume Today

729.23K

Avg: 1.64M

PE Ratio

−0.30

PFCF: 1.24

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Mar '19
Jun '19
Sep '19
Dec '19
Mar '20
Jun '20
Sep '20
Dec '20
Mar '21
Jun '21
Sep '21
Dec '21
Mar '22
Jun '22
Sep '22
Dec '22
Mar '23
Jun '23
Sep '23
Dec '23
Mar '24
Jun '24
net income
-57.50M
-
62.50M
208.70%
-60.50M
196.80%
-46.80M
22.64%
-48.20M
2.99%
-32.60M
32.37%
-101.20M
210.43%
-63.80M
36.96%
-64M
0.31%
-36.60M
42.81%
-34.80M
4.92%
-82.90M
138.22%
-38.50M
53.56%
-40.60M
5.45%
-511.70M
1,160.34%
-214M
58.18%
-612M
185.98%
-27.20M
95.56%
-226.60M
733.09%
28M
112.36%
-640.60M
2,387.86%
25M
103.90%
depreciation and amortization
153.30M
-
140.80M
8.15%
130.60M
7.24%
141.80M
8.58%
138.40M
2.40%
135.50M
2.10%
131.90M
2.66%
131.10M
0.61%
124.40M
5.11%
127.90M
2.81%
120.30M
5.94%
118.10M
1.83%
115.90M
1.86%
112.50M
2.93%
112M
0.44%
107.20M
4.29%
109.80M
2.43%
125.10M
13.93%
105.50M
15.67%
102.50M
2.84%
90.60M
11.61%
92.60M
2.21%
deferred income tax
-11.10M
-
10.60M
195.50%
-9.80M
192.45%
-30.40M
210.20%
-5.80M
80.92%
-13.40M
131.03%
-21M
56.72%
-33.40M
59.05%
-11.10M
66.77%
-12M
8.11%
-12.10M
0.83%
-6.30M
47.93%
900K
114.29%
-20.90M
2,422.22%
-26.70M
27.75%
-62.10M
132.58%
-17.30M
72.14%
300K
101.73%
-21.90M
7,400%
-3M
86.30%
-24.40M
713.33%
-26.80M
9.84%
stock based compensation
5.90M
-
6.40M
8.47%
10.50M
64.06%
7.40M
29.52%
7.50M
1.35%
9.10M
21.33%
40.20M
341.76%
17.70M
55.97%
17.20M
2.82%
20.40M
18.60%
19.10M
6.37%
18.70M
2.09%
17M
9.09%
23.10M
35.88%
19.40M
16.02%
10M
48.45%
15.20M
52%
19.50M
28.29%
17.20M
11.79%
13.50M
21.51%
12.80M
5.19%
19.50M
52.34%
change in working capital
-92.70M
-
-21.80M
76.48%
-28.50M
30.73%
3.90M
113.68%
-74.30M
2,005.13%
-31.50M
57.60%
-57.80M
83.49%
-121.50M
110.21%
11.10M
109.14%
3.40M
69.37%
4.70M
38.24%
-49.20M
1,146.81%
-37.30M
24.19%
-100K
99.73%
600K
700%
-30.10M
5,116.67%
-34.90M
15.95%
5.50M
115.76%
226.50M
4,018.18%
28M
87.64%
-12.70M
-
accounts receivables
-18.40M
-
-8.80M
52.17%
-34.70M
294.32%
19.70M
156.77%
-34.10M
273.10%
-13M
61.88%
-45.60M
250.77%
-63.30M
38.82%
-2.60M
95.89%
-6.30M
142.31%
-35.70M
466.67%
-24.90M
30.25%
-19.80M
20.48%
-14.50M
26.77%
-16.50M
13.79%
-31.60M
91.52%
50.50M
259.81%
24.20M
52.08%
194.10M
702.07%
6.30M
96.75%
31.60M
401.59%
-21.20M
167.09%
inventory
15.10M
-
-50.30M
433.11%
-36.10M
28.23%
61.10M
269.25%
-1.70M
102.78%
-29.10M
1,611.76%
-26.30M
9.62%
-58.90M
123.95%
8.60M
114.60%
-29M
437.21%
-8.60M
70.34%
14.10M
-
-35.60M
352.48%
accounts payables
-56.80M
-
19.40M
134.15%
32.90M
69.59%
-28.20M
185.71%
-32.30M
14.54%
500K
101.55%
21.40M
4,180%
3M
85.98%
-7.80M
360%
26.90M
444.87%
68M
152.79%
1M
98.53%
-19M
2,000%
20.30M
206.84%
45.30M
123.15%
35.80M
20.97%
-100.30M
380.17%
-900K
99.10%
35.60M
4,055.56%
21.40M
39.89%
-50.30M
335.05%
14.80M
129.42%
other working capital
-32.60M
-
17.90M
154.91%
9.40M
47.49%
-48.70M
618.09%
-6.20M
87.27%
10.10M
262.90%
-7.30M
172.28%
-2.30M
68.49%
12.90M
660.87%
11.80M
8.53%
-19M
261.02%
-25.30M
33.16%
1.50M
105.93%
-5.90M
493.33%
-28.20M
377.97%
-34.30M
21.63%
14.90M
143.44%
-31.90M
314.09%
32.40M
201.57%
300K
99.07%
-6.30M
-
other non cash items
25.20M
-
-109.20M
533.33%
37M
133.88%
25.30M
31.62%
7.20M
71.54%
6.90M
4.17%
41.80M
505.80%
53.90M
28.95%
25.60M
52.50%
2.60M
89.84%
5.10M
96.15%
61.20M
1,100%
6.50M
89.38%
10M
53.85%
477.10M
4,671%
229.10M
51.98%
537.30M
134.53%
-85.40M
115.89%
166.10M
294.50%
-96.80M
158.28%
-90.30M
6.71%
137.60M
252.38%
net cash provided by operating activities
23.10M
-
89.30M
286.58%
79.30M
11.20%
101.20M
27.62%
24.80M
75.49%
74M
198.39%
33.90M
54.19%
-16M
147.20%
103.20M
745%
105.70M
2.42%
102.30M
3.22%
59.60M
41.74%
64.50M
8.22%
84M
30.23%
70.70M
15.83%
40.10M
43.28%
-1.90M
104.74%
37.80M
2,089.47%
266.80M
605.82%
72.20M
72.94%
-90.30M
225.07%
24.10M
126.69%
investments in property plant and equipment
-61M
-
-52.90M
13.28%
-39.80M
24.76%
-44.30M
11.31%
-34.40M
22.35%
-32M
6.98%
-31.20M
2.50%
-18.90M
39.42%
-36.90M
95.24%
-29.10M
21.14%
-21.20M
27.15%
-21.20M
0%
-19.20M
9.43%
-27.20M
41.67%
-19M
30.15%
-15M
21.05%
-12.10M
19.33%
-23.40M
93.39%
-27.50M
17.52%
-33.90M
23.27%
-28.10M
17.11%
-38.60M
37.37%
acquisitions net
16.80M
-
-316.10M
-
-8.60M
-
-9.50M
-
-7.70M
18.95%
-7.70M
-
15.40M
300%
purchases of investments
-109.50M
-
8.60M
-
sales maturities of investments
109.50M
-
900K
-
other investing activites
400K
-
3.40M
750%
800K
76.47%
106.20M
13,175%
2M
98.12%
1.60M
20%
1.80M
12.50%
-8.70M
583.33%
32.60M
474.71%
1.70M
94.79%
700K
58.82%
4.40M
528.57%
1M
77.27%
2.50M
150%
-6.20M
348%
-14.80M
138.71%
400K
102.70%
200K
50%
100K
50%
200K
100%
17M
8,400%
200K
98.82%
net cash used for investing activites
-43.80M
-
-49.50M
13.01%
-39M
21.21%
-254.20M
551.79%
-32.40M
87.25%
-30.40M
6.17%
-29.40M
3.29%
-36.20M
23.13%
-4.30M
88.12%
-27.40M
537.21%
-20.50M
25.18%
-16.80M
18.05%
-25.90M
54.17%
-24.70M
4.63%
-32.90M
33.20%
-14.40M
56.23%
-11.70M
18.75%
-23.20M
98.29%
-27.40M
18.10%
-33.70M
22.99%
-11.10M
67.06%
-38.40M
245.95%
debt repayment
-41.30M
-
-55.30M
33.90%
-22.30M
59.67%
-243.10M
990.13%
-264.60M
8.84%
-21.90M
91.72%
-582.90M
2,561.64%
-659.60M
13.16%
-2.83B
329.41%
-78M
97.25%
-38M
51.28%
-36M
5.26%
-32.90M
8.61%
-33.80M
2.74%
-37.60M
11.24%
-34.90M
7.18%
-34M
2.58%
-76.10M
123.82%
-92.70M
21.81%
-117.40M
26.65%
-21.40M
81.77%
-73.90M
245.33%
common stock issued
658.60M
-
-1.30M
100.20%
657.80M
-
1M
-
800K
-
500K
-
400K
-
common stock repurchased
-1.30M
-
-100K
92.31%
-1.40M
-
-100K
92.86%
-4.10M
-
-26.90M
556.10%
-4.10M
84.76%
35.10M
956.10%
-1M
-
dividends paid
-11.30M
-
-569.80M
4,942.48%
-1M
-
other financing activites
-3.40M
-
287.60M
-
315.20M
9.60%
14.60M
95.37%
22.20M
52.05%
1.13B
5,000%
2.83B
149.77%
15.70M
99.44%
3.20M
79.62%
-652.40M
20,487.50%
-3.80M
99.42%
-2.90M
23.68%
-2.70M
6.90%
-38.40M
1,322.22%
-7.30M
80.99%
45.80M
727.40%
-26.90M
158.73%
-4.50M
83.27%
209.60M
4,757.78%
-4.30M
102.05%
net cash used provided by financing activities
-41.30M
-
-58.70M
42.13%
-23.60M
59.80%
44.40M
288.14%
50.60M
13.96%
-7.30M
114.43%
85.20M
1,267.12%
-98.60M
215.73%
-4.50M
95.44%
-62.30M
1,284.44%
-34.80M
44.14%
-30.60M
12.07%
-40.80M
33.33%
-63.60M
55.88%
-44.40M
30.19%
-38.20M
13.96%
-41.30M
8.12%
-29.50M
28.57%
-120.60M
308.81%
-121.40M
0.66%
188.20M
255.02%
-77.80M
141.34%
effect of forex changes on cash
2.60M
-
-1.20M
146.15%
-1.70M
41.67%
2M
217.65%
-1.60M
180%
-100K
93.75%
2.10M
2,200%
2.40M
14.29%
-700K
129.17%
300K
142.86%
-1.70M
666.67%
-200K
88.24%
-1.60M
700%
-3.50M
118.75%
-5.10M
45.71%
4.40M
186.27%
900K
79.55%
500K
44.44%
-1.10M
320%
1.90M
272.73%
-1M
152.63%
net change in cash
-59.40M
-
-20.10M
66.16%
15M
174.63%
-106.60M
810.67%
41.40M
138.84%
36.20M
12.56%
91.80M
153.59%
-148.40M
261.66%
93.70M
163.14%
16.30M
82.60%
45.30M
177.91%
12M
73.51%
-3.80M
131.67%
-7.80M
105.26%
-11.70M
50%
-8.10M
30.77%
-54M
566.67%
-14.40M
73.33%
117.70M
917.36%
-81M
168.82%
85.80M
205.93%
-92.40M
207.69%
cash at beginning of period
258.20M
-
198.80M
23.01%
178.70M
10.11%
193.70M
8.39%
87.10M
55.03%
128.50M
47.53%
164.70M
28.17%
256.50M
55.74%
108.10M
57.86%
201.80M
86.68%
218.10M
8.08%
263.40M
20.77%
275.40M
4.56%
271.60M
1.38%
263.80M
2.87%
252.10M
4.44%
231.40M
8.21%
177.40M
23.34%
163M
8.12%
277.80M
70.43%
196.80M
29.16%
282.60M
43.60%
cash at end of period
198.80M
-
178.70M
10.11%
193.70M
8.39%
87.10M
55.03%
128.50M
47.53%
164.70M
28.17%
256.50M
55.74%
108.10M
57.86%
201.80M
86.68%
218.10M
8.08%
263.40M
20.77%
275.40M
4.56%
271.60M
1.38%
263.80M
2.87%
252.10M
4.44%
244M
3.21%
177.40M
27.30%
163M
8.12%
280.70M
72.21%
196.80M
29.89%
282.60M
43.60%
190.20M
32.70%
operating cash flow
23.10M
-
89.30M
286.58%
79.30M
11.20%
101.20M
27.62%
24.80M
75.49%
74M
198.39%
33.90M
54.19%
-16M
147.20%
103.20M
745%
105.70M
2.42%
102.30M
3.22%
59.60M
41.74%
64.50M
8.22%
84M
30.23%
70.70M
15.83%
40.10M
43.28%
-1.90M
104.74%
37.80M
2,089.47%
266.80M
605.82%
72.20M
72.94%
-90.30M
225.07%
24.10M
126.69%
capital expenditure
-61M
-
-52.90M
13.28%
-39.80M
24.76%
-44.30M
11.31%
-34.40M
22.35%
-32M
6.98%
-31.20M
2.50%
-18.90M
39.42%
-36.90M
95.24%
-29.10M
21.14%
-21.20M
27.15%
-21.20M
0%
-19.20M
9.43%
-27.20M
41.67%
-19M
30.15%
-15M
21.05%
-12.10M
19.33%
-23.40M
93.39%
-27.50M
17.52%
-33.90M
23.27%
-28.10M
17.11%
-38.60M
37.37%
free cash flow
-37.90M
-
36.40M
196.04%
39.50M
8.52%
56.90M
44.05%
-9.60M
116.87%
42M
537.50%
2.70M
93.57%
-34.90M
1,392.59%
66.30M
289.97%
76.60M
15.54%
81.10M
5.87%
38.40M
52.65%
45.30M
17.97%
56.80M
25.39%
51.70M
8.98%
25.10M
51.45%
-14M
155.78%
14.40M
202.86%
239.30M
1,561.81%
38.30M
83.99%
-118.40M
409.14%
-14.50M
87.75%

All numbers in USD (except ratios and percentages)