US Stock MarketDetailed Quotes

RADCQ Rite Aid

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  • 0.020
  • +0.010+100.00%
15min DelayClose Jul 5 16:00 ET
1.13MMarket Cap0.00P/E (TTM)

Rite Aid Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Sep 2, 2023
(Q1)Jun 3, 2023
(FY)Mar 4, 2023
(Q4)Mar 4, 2023
(Q3)Nov 26, 2022
(Q2)Aug 27, 2022
(Q1)May 28, 2022
(FY)Feb 26, 2022
(Q4)Feb 26, 2022
(Q3)Nov 27, 2021
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-121.17%-440.62M
-47.69%-372.54M
-113.83%-52.44M
-22.26%266.41M
4,465.01%132.61M
-874.50%-199.22M
-1,917.92%-252.24M
260.60%379.27M
-4.54%342.71M
-101.36%-3.04M
Net income from continuing operations
-207.90%-1.02B
-178.35%-306.72M
-39.27%-749.94M
37.98%-241.31M
-86.21%-67.14M
-230.30%-331.29M
-743.92%-110.19M
-558.70%-538.48M
-2,003.61%-389.06M
-259.22%-36.06M
Operating gains losses
65.74%-24.09M
71.94%-8.19M
-1,801.69%-148.73M
-926.00%-46.12M
47.53%-3.1M
-562.07%-70.31M
-373.81%-29.2M
111.72%8.74M
110.77%5.58M
66.24%-5.9M
Depreciation and amortization
0.68%69.03M
-5.96%65.9M
-6.46%276.58M
-6.23%68.45M
-4.76%69.5M
-7.17%68.56M
-7.63%70.07M
-9.61%295.69M
-5.90%73M
-12.44%72.97M
Deferred tax
----
----
214.82%7.7M
130.74%1.57M
--0
----
----
36.90%-6.71M
51.97%-5.11M
-237.16%-1.6M
Other non cash items
468.67%318.26M
-58.69%27.5M
41.51%264.41M
-7.86%104.09M
-38.75%37.79M
660.41%55.97M
1,276.00%66.57M
415.01%186.85M
437.97%112.97M
403.04%61.69M
Change In working capital
68.63%-56.39M
-19.88%-307.61M
-159.41%-100.48M
-13.83%249.98M
191.06%85.92M
-855.53%-179.79M
-408.97%-256.59M
538.95%169.12M
-25.90%290.1M
-162.67%-94.36M
-Change in receivables
46.71%-57.14M
-136.30%-246.84M
180.31%151.61M
-33.38%301.24M
133.50%62.04M
-69.19%-107.22M
30.12%-104.46M
129.65%54.09M
38.97%452.17M
-243.83%-185.22M
-Change in inventory
17.24%-50.96M
-261.21%-57.17M
105.31%5.16M
631.31%52.93M
143.54%29.63M
-98.55%-61.58M
-232.80%-15.83M
-154.78%-97.11M
-105.06%-9.96M
-183.50%-68.05M
-Change in payables and accrued expense
-158.22%-54.86M
114.94%20.56M
-169.36%-96.57M
-74.11%2.54M
-246.31%-55.76M
130.97%94.23M
-372.27%-137.57M
493.61%139.23M
126.59%9.79M
7,909.84%38.11M
-Change in other current assets
-107.25%-24.08M
-8,713.45%-64.69M
8.12%36.48M
3,856.24%45.41M
-80.18%1.94M
-167.54%-11.62M
-90.59%751K
-58.34%33.74M
-121.17%-1.21M
329.78%9.76M
-Change in other current liabilities
300.48%153.77M
235.26%51.39M
-261.94%-111.02M
20.07%-120.56M
-40.04%70.91M
-215.21%-76.7M
-55.65%15.33M
234.57%68.56M
-55.80%-150.83M
106.20%118.26M
-Change in other working capital
-36.80%-23.12M
26.70%-10.86M
-193.22%-86.13M
-220.37%-31.58M
-216.84%-22.84M
-164.08%-16.9M
-150.67%-14.81M
-4.75%-29.38M
-261.76%-9.86M
-5.60%-7.21M
Cash from discontinued investing activities
0
0
Operating cash flow
-121.17%-440.62M
-47.69%-372.54M
-113.83%-52.44M
-22.26%266.41M
4,465.01%132.61M
-874.50%-199.22M
-1,917.92%-252.24M
1,549.73%379.27M
-4.54%342.71M
-101.36%-3.04M
Investing cash flow
Cash flow from continuing investing activities
-556.88%-18.16M
27.92%-39.35M
21.86%-104.76M
37.88%-14.18M
-93.03%-39.97M
111.09%3.98M
0.20%-54.59M
-22.63%-134.07M
64.24%-22.83M
-255.77%-20.71M
Net PPE purchase and sale
-1,053.00%-35.52M
50.95%-35.89M
-3.92%-141.94M
19.47%-25.27M
-187.83%-40.41M
92.19%-3.08M
-41.52%-73.18M
-691.88%-136.59M
-248.53%-31.38M
-186.42%-14.04M
Net intangibles purchase and sale
-15.99%-3.61M
5.19%-11.61M
-21.70%-32.4M
-219.75%-7.46M
2.33%-9.58M
65.63%-3.11M
-125.31%-12.25M
10.66%-26.62M
-112.76%-2.33M
-60.01%-9.81M
Net business purchase and sale
----
----
--0
----
----
----
----
--0
----
----
Net other investing changes
106.30%20.97M
-73.55%8.16M
138.77%69.58M
70.44%18.55M
218.82%10.03M
-19.74%10.16M
1,159.76%30.84M
21.71%29.14M
361.62%10.89M
-0.98%3.15M
Cash from discontinued investing activities
Investing cash flow
-556.88%-18.16M
27.92%-39.35M
21.86%-104.76M
37.88%-14.18M
-93.03%-39.97M
111.09%3.98M
0.20%-54.59M
-792.33%-134.07M
64.24%-22.83M
-255.77%-20.71M
Financing cash flow
Cash flow from continuing financing activities
123.76%416.18M
20.76%390.26M
174.96%274.63M
54.50%-198.13M
-212.10%-36.4M
386.86%186M
20,284.95%323.16M
-461.56%-366.38M
-135.26%-435.45M
111.68%32.47M
Net issuance payments of debt
85.57%436.03M
37.57%398.99M
178.28%263.06M
49.13%-224.87M
-175.68%-37.06M
113.70%234.97M
647.82%290.02M
-3,798.78%-336.04M
-210.93%-442.02M
115.79%48.97M
Net common stock issuance
----
----
--0
----
----
----
----
--0
----
----
Net other financing activities
59.47%-19.85M
-126.35%-8.73M
138.13%11.57M
307.25%26.74M
104.00%660K
31.75%-48.97M
-35.45%33.14M
46.46%-30.34M
115.28%6.57M
-151.19%-16.5M
Cash from discontinued financing activities
0
0
Financing cash flow
123.76%416.18M
20.76%390.26M
174.96%274.63M
54.50%-198.13M
-212.10%-36.4M
386.86%186M
20,284.95%323.16M
-461.56%-366.38M
-135.26%-435.45M
111.68%32.47M
Net cash flow
Beginning cash position
141.75%135.53M
295.64%157.15M
-75.31%39.72M
-33.64%103.05M
-68.06%46.81M
-52.68%56.06M
-75.31%39.72M
-26.25%160.9M
205.61%155.29M
58.05%146.56M
Current changes in cash
-360.45%-42.6M
-232.35%-21.62M
196.90%117.43M
146.81%54.1M
544.65%56.25M
-132.94%-9.25M
138.52%16.34M
-111.57%-121.18M
-204.98%-115.57M
120.81%8.73M
End cash Position
98.53%92.93M
141.75%135.53M
295.64%157.15M
295.64%157.15M
-33.64%103.05M
-68.06%46.81M
-52.68%56.06M
-75.31%39.72M
-75.31%39.72M
205.61%155.29M
Free cash flow
-93.00%-485.21M
-24.40%-420.04M
-289.28%-300.12M
-25.77%216.23M
238.51%72.71M
-751.85%-251.4M
-565.67%-337.66M
178.51%158.56M
0.38%291.29M
-134.46%-52.49M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
--
--
--
(Q2)Sep 2, 2023(Q1)Jun 3, 2023(FY)Mar 4, 2023(Q4)Mar 4, 2023(Q3)Nov 26, 2022(Q2)Aug 27, 2022(Q1)May 28, 2022(FY)Feb 26, 2022(Q4)Feb 26, 2022(Q3)Nov 27, 2021
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -121.17%-440.62M-47.69%-372.54M-113.83%-52.44M-22.26%266.41M4,465.01%132.61M-874.50%-199.22M-1,917.92%-252.24M260.60%379.27M-4.54%342.71M-101.36%-3.04M
Net income from continuing operations -207.90%-1.02B-178.35%-306.72M-39.27%-749.94M37.98%-241.31M-86.21%-67.14M-230.30%-331.29M-743.92%-110.19M-558.70%-538.48M-2,003.61%-389.06M-259.22%-36.06M
Operating gains losses 65.74%-24.09M71.94%-8.19M-1,801.69%-148.73M-926.00%-46.12M47.53%-3.1M-562.07%-70.31M-373.81%-29.2M111.72%8.74M110.77%5.58M66.24%-5.9M
Depreciation and amortization 0.68%69.03M-5.96%65.9M-6.46%276.58M-6.23%68.45M-4.76%69.5M-7.17%68.56M-7.63%70.07M-9.61%295.69M-5.90%73M-12.44%72.97M
Deferred tax --------214.82%7.7M130.74%1.57M--0--------36.90%-6.71M51.97%-5.11M-237.16%-1.6M
Other non cash items 468.67%318.26M-58.69%27.5M41.51%264.41M-7.86%104.09M-38.75%37.79M660.41%55.97M1,276.00%66.57M415.01%186.85M437.97%112.97M403.04%61.69M
Change In working capital 68.63%-56.39M-19.88%-307.61M-159.41%-100.48M-13.83%249.98M191.06%85.92M-855.53%-179.79M-408.97%-256.59M538.95%169.12M-25.90%290.1M-162.67%-94.36M
-Change in receivables 46.71%-57.14M-136.30%-246.84M180.31%151.61M-33.38%301.24M133.50%62.04M-69.19%-107.22M30.12%-104.46M129.65%54.09M38.97%452.17M-243.83%-185.22M
-Change in inventory 17.24%-50.96M-261.21%-57.17M105.31%5.16M631.31%52.93M143.54%29.63M-98.55%-61.58M-232.80%-15.83M-154.78%-97.11M-105.06%-9.96M-183.50%-68.05M
-Change in payables and accrued expense -158.22%-54.86M114.94%20.56M-169.36%-96.57M-74.11%2.54M-246.31%-55.76M130.97%94.23M-372.27%-137.57M493.61%139.23M126.59%9.79M7,909.84%38.11M
-Change in other current assets -107.25%-24.08M-8,713.45%-64.69M8.12%36.48M3,856.24%45.41M-80.18%1.94M-167.54%-11.62M-90.59%751K-58.34%33.74M-121.17%-1.21M329.78%9.76M
-Change in other current liabilities 300.48%153.77M235.26%51.39M-261.94%-111.02M20.07%-120.56M-40.04%70.91M-215.21%-76.7M-55.65%15.33M234.57%68.56M-55.80%-150.83M106.20%118.26M
-Change in other working capital -36.80%-23.12M26.70%-10.86M-193.22%-86.13M-220.37%-31.58M-216.84%-22.84M-164.08%-16.9M-150.67%-14.81M-4.75%-29.38M-261.76%-9.86M-5.60%-7.21M
Cash from discontinued investing activities 00
Operating cash flow -121.17%-440.62M-47.69%-372.54M-113.83%-52.44M-22.26%266.41M4,465.01%132.61M-874.50%-199.22M-1,917.92%-252.24M1,549.73%379.27M-4.54%342.71M-101.36%-3.04M
Investing cash flow
Cash flow from continuing investing activities -556.88%-18.16M27.92%-39.35M21.86%-104.76M37.88%-14.18M-93.03%-39.97M111.09%3.98M0.20%-54.59M-22.63%-134.07M64.24%-22.83M-255.77%-20.71M
Net PPE purchase and sale -1,053.00%-35.52M50.95%-35.89M-3.92%-141.94M19.47%-25.27M-187.83%-40.41M92.19%-3.08M-41.52%-73.18M-691.88%-136.59M-248.53%-31.38M-186.42%-14.04M
Net intangibles purchase and sale -15.99%-3.61M5.19%-11.61M-21.70%-32.4M-219.75%-7.46M2.33%-9.58M65.63%-3.11M-125.31%-12.25M10.66%-26.62M-112.76%-2.33M-60.01%-9.81M
Net business purchase and sale ----------0------------------0--------
Net other investing changes 106.30%20.97M-73.55%8.16M138.77%69.58M70.44%18.55M218.82%10.03M-19.74%10.16M1,159.76%30.84M21.71%29.14M361.62%10.89M-0.98%3.15M
Cash from discontinued investing activities
Investing cash flow -556.88%-18.16M27.92%-39.35M21.86%-104.76M37.88%-14.18M-93.03%-39.97M111.09%3.98M0.20%-54.59M-792.33%-134.07M64.24%-22.83M-255.77%-20.71M
Financing cash flow
Cash flow from continuing financing activities 123.76%416.18M20.76%390.26M174.96%274.63M54.50%-198.13M-212.10%-36.4M386.86%186M20,284.95%323.16M-461.56%-366.38M-135.26%-435.45M111.68%32.47M
Net issuance payments of debt 85.57%436.03M37.57%398.99M178.28%263.06M49.13%-224.87M-175.68%-37.06M113.70%234.97M647.82%290.02M-3,798.78%-336.04M-210.93%-442.02M115.79%48.97M
Net common stock issuance ----------0------------------0--------
Net other financing activities 59.47%-19.85M-126.35%-8.73M138.13%11.57M307.25%26.74M104.00%660K31.75%-48.97M-35.45%33.14M46.46%-30.34M115.28%6.57M-151.19%-16.5M
Cash from discontinued financing activities 00
Financing cash flow 123.76%416.18M20.76%390.26M174.96%274.63M54.50%-198.13M-212.10%-36.4M386.86%186M20,284.95%323.16M-461.56%-366.38M-135.26%-435.45M111.68%32.47M
Net cash flow
Beginning cash position 141.75%135.53M295.64%157.15M-75.31%39.72M-33.64%103.05M-68.06%46.81M-52.68%56.06M-75.31%39.72M-26.25%160.9M205.61%155.29M58.05%146.56M
Current changes in cash -360.45%-42.6M-232.35%-21.62M196.90%117.43M146.81%54.1M544.65%56.25M-132.94%-9.25M138.52%16.34M-111.57%-121.18M-204.98%-115.57M120.81%8.73M
End cash Position 98.53%92.93M141.75%135.53M295.64%157.15M295.64%157.15M-33.64%103.05M-68.06%46.81M-52.68%56.06M-75.31%39.72M-75.31%39.72M205.61%155.29M
Free cash flow -93.00%-485.21M-24.40%-420.04M-289.28%-300.12M-25.77%216.23M238.51%72.71M-751.85%-251.4M-565.67%-337.66M178.51%158.56M0.38%291.29M-134.46%-52.49M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------------

Analysis

Analyst Rating

No Data

Price Target

No Data

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