RKET

SIX:RKET

Rocket Internet

  • Stock

Last Close

14.40

25/09 06:16

Market Cap

1.81B

Beta: 0.39

Volume Today

1.00K

Avg: -

Dividend Yield

15.90%

Payout:0.41%

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
net income
174.19M
-
14.25M
91.82%
-196.41M
1,478.67%
-746.97M
280.32%
-9.79M
98.69%
202.60M
2,169.46%
288.60M
42.45%
393.40M
36.31%
1.07B
172.72%
depreciation and amortization
1.53M
-
1.88M
22.45%
7.27M
287.58%
4.39M
39.68%
1.21M
72.32%
1M
17.63%
6M
500%
5.30M
11.67%
5.90M
11.32%
deferred income tax
3.32M
-
666.38M
19,995.99%
-57.65M
108.65%
-217.80M
277.79%
-268.30M
23.19%
-248.70M
7.31%
-889.80M
257.78%
stock based compensation
57.95M
-
14.72M
74.59%
20.83M
41.46%
1.20M
94.24%
6.70M
458.33%
3.30M
50.75%
900K
72.73%
change in working capital
45.01M
-
1.33M
97.04%
12.40M
830.23%
-18.30M
247.56%
-110.43M
503.56%
-169M
53.03%
-242.50M
43.49%
-374.60M
54.47%
-113M
69.83%
accounts receivables
inventory
2.83M
-
-16.59M
686.66%
10.47M
163.14%
11K
99.89%
492K
4,372.73%
accounts payables
other working capital
42.18M
-
17.92M
57.52%
1.93M
89.24%
-18.31M
1,049.59%
-110.92M
505.88%
-242.50M
-
other non cash items
-259.63M
-
-107.85M
58.46%
9.92M
109.20%
-5.95M
159.98%
7.60M
227.74%
38.60M
407.69%
-12.50M
132.38%
-32.30M
158.40%
-28.30M
12.38%
net cash provided by operating activities
-38.90M
-
-90.40M
132.36%
-105.54M
16.76%
-85.72M
18.78%
-148.23M
72.92%
-143.40M
3.26%
-222M
54.81%
-253.60M
14.23%
48.60M
119.16%
investments in property plant and equipment
-2.44M
-
-5.63M
130.94%
-11.58M
105.72%
-6.49M
43.95%
-629K
90.31%
-600K
4.61%
-21.70M
3,516.67%
-200K
99.08%
-24M
11,900%
acquisitions net
-781K
-
39K
104.99%
-1.29B
3,305,923.08%
152.17M
111.80%
486.37M
219.63%
1.30B
167.31%
660.10M
49.23%
-58.90M
108.92%
-382.30M
549.07%
purchases of investments
-31.61M
-
-386.62M
1,123.22%
-75.17M
80.56%
-325.38M
332.86%
-50.68M
84.43%
-615.20M
1,113.96%
-1.21B
96.41%
-1.85B
53.45%
-626.80M
66.19%
sales maturities of investments
207.19M
-
265.50M
28.14%
27.48M
89.65%
56.03M
103.90%
119.13M
112.61%
16.40M
86.23%
1.07B
6,429.88%
1.43B
33.81%
331.10M
76.89%
other investing activites
107K
-
630K
488.79%
701K
11.27%
38K
94.58%
15K
60.53%
-4.30M
28,766.67%
100K
102.33%
-5.50M
5,600%
-1.20M
78.18%
net cash used for investing activites
172.48M
-
-126.09M
173.10%
-1.35B
968.97%
-123.64M
90.83%
554.20M
548.23%
696.40M
25.66%
501.10M
28.04%
-485.70M
196.93%
-703.20M
44.78%
debt repayment
-1.78M
-
-835K
53.14%
-4.33M
418.92%
-165.26M
3,714.05%
-52.83M
68.03%
-326.10M
517.23%
-200K
99.94%
-141.70M
70,750%
-1.60M
98.87%
common stock issued
159.86M
-
2.07B
1,195.16%
588.50M
71.58%
-21.13M
-
common stock repurchased
22.65M
-
-24.80M
209.47%
-317.50M
-
-324.20M
2.11%
-517.50M
59.62%
dividends paid
-80.57M
-
-286.77M
255.90%
-4.30M
-
other financing activites
16.67M
-
106.33M
537.75%
581.04M
446.47%
3.05M
99.48%
11.87M
289.82%
76.40M
543.42%
-16.40M
121.47%
149.60M
1,012.20%
566.70M
278.81%
net cash used provided by financing activities
116.82M
-
1.86B
1,495.85%
1.17B
37.50%
-162.22M
113.92%
-62.09M
61.72%
-567.20M
813.48%
-340.80M
39.92%
-509.60M
49.53%
560.80M
210.05%
effect of forex changes on cash
1K
-
-31.74M
3,174,300%
3.33M
110.48%
4.64M
39.40%
-28.97M
724.56%
17.70M
161.10%
6.70M
62.15%
-20.70M
408.96%
-1.90M
90.82%
net change in cash
250.40M
-
1.62B
545.41%
-284.85M
117.63%
-366.94M
28.82%
314.91M
185.82%
3.40M
98.92%
-54.90M
1,714.71%
-1.27B
2,212.75%
-95.70M
92.46%
cash at beginning of period
187.02M
-
437.42M
133.89%
2.05B
369.44%
1.77B
13.87%
1.40B
20.75%
1.72B
22.47%
1.72B
0.20%
1.67B
3.19%
395.40M
76.25%
cash at end of period
437.42M
-
2.05B
369.46%
1.77B
13.88%
1.40B
20.75%
1.72B
22.47%
1.72B
0.20%
1.67B
3.19%
395.40M
76.25%
299.70M
24.20%
operating cash flow
-38.90M
-
-90.40M
132.36%
-105.54M
16.76%
-85.72M
18.78%
-148.23M
72.92%
-143.40M
3.26%
-222M
54.81%
-253.60M
14.23%
48.60M
119.16%
capital expenditure
-2.44M
-
-5.63M
130.94%
-11.58M
105.72%
-6.49M
43.95%
-629K
90.31%
-600K
4.61%
-21.70M
3,516.67%
-200K
99.08%
-24M
11,900%
free cash flow
-41.34M
-
-96.02M
132.27%
-117.12M
21.97%
-92.21M
21.27%
-148.86M
61.43%
-144M
3.26%
-243.70M
69.24%
-253.80M
4.14%
24.60M
109.69%

All numbers in (except ratios and percentages)