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RGP Resources Connection

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  • 8.540
  • -0.330-3.72%
Close Jan 8 16:00 ET
  • 8.540
  • 0.0000.00%
Post 20:01 ET
282.60MMarket Cap-4.59P/E (TTM)

Resources Connection Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Nov 23, 2024
(Q1)Aug 24, 2024
(FY)May 25, 2024
(Q4)May 25, 2024
(Q3)Feb 24, 2024
(Q2)Nov 25, 2023
(Q1)Aug 26, 2023
(FY)May 27, 2023
(Q4)May 27, 2023
(Q3)Feb 25, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
292.79%1.8M
86.04%-309K
-73.15%21.92M
-82.18%3.17M
-49.01%20.51M
-98.42%458K
58.19%-2.21M
65.11%81.64M
-33.66%17.76M
109.33%40.22M
Net income from continuing operations
-1,503.78%-68.72M
-283.09%-5.71M
-61.31%21.03M
-11.01%10.47M
-63.67%2.55M
-71.92%4.9M
-82.82%3.12M
-19.08%54.36M
-42.67%11.77M
-63.86%7.02M
Operating gains losses
-84.19%43K
-28,383.33%-3.39M
----
----
----
--272K
105.04%12K
124.89%220K
510.67%458K
--0
Depreciation and amortization
-4.69%2.03M
-7.58%2.03M
-1.51%8.43M
-9.90%1.95M
-0.09%2.16M
1.67%2.13M
2.43%2.19M
0.87%8.56M
-0.87%2.16M
-1.95%2.16M
Deferred tax
-924.95%-8.46M
187.95%438K
104.54%440K
52.54%-842K
116.10%754K
179.78%1.03M
74.55%-498K
12.23%-9.7M
-176.32%-1.77M
55.06%-4.68M
Other non cash items
-70.20%45K
0.00%44K
-1,417.39%-3.49M
-7,144.26%-4.3M
1,124.00%612K
243.18%151K
111.43%44K
-113.91%-230K
-94.52%61K
-27.54%50K
Change In working capital
37.96%-5.34M
109.47%929K
-171.39%-10.36M
-322.28%-5.61M
-54.71%13.66M
-215.55%-8.6M
61.68%-9.81M
158.87%14.52M
32.86%2.52M
405.45%30.16M
-Change in receivables
-184.27%-1.52M
-48.54%3.33M
-39.47%26.38M
-58.72%3.85M
-61.99%14.26M
137.45%1.81M
313.89%6.47M
202.06%43.58M
277.26%9.33M
554.88%37.51M
-Change in prepaid assets
19.95%-1.35M
69.22%-193K
-360.54%-766K
26.82%1.53M
103.98%18K
-103.74%-1.69M
-270.84%-627K
-67.90%294K
-21.46%1.21M
58.72%-452K
-Change in payables and accrued expense
92.46%-135K
93.40%-844K
-21.23%-24.23M
-100.00%-8.69M
-200.84%-964K
-120.00%-1.79M
49.97%-12.78M
-186.82%-19.98M
-633.66%-4.34M
-94.19%956K
-Change in other current assets
33.91%-1.85M
37.97%-1.88M
-142.49%-9.86M
34.59%-1.72M
-5.11%-2.33M
-172.49%-2.79M
-269.03%-3.03M
-934.86%-4.07M
-1,415.61%-2.62M
-1,149.72%-2.21M
-Change in other current liabilities
140.18%264K
217.79%518K
64.44%-1.89M
43.90%-589K
-259.52%-804K
33.37%-657K
104.32%163K
3.47%-5.31M
-121.07%-1.05M
112.30%504K
Cash from discontinued investing activities
Operating cash flow
292.79%1.8M
86.04%-309K
-73.15%21.92M
-82.18%3.17M
-49.01%20.51M
-98.42%458K
58.19%-2.21M
65.11%81.64M
-33.66%17.76M
109.33%40.22M
Investing cash flow
Cash flow from continuing investing activities
76.99%-1.74M
-1,893.43%-10.92M
-316.94%-8.55M
-105.09%-122K
-20.29%-332K
-1,574.50%-7.55M
-124.09%-548K
233.16%3.94M
500.50%2.4M
-200.00%-276K
Net PPE purchase and sale
-415.73%-1.74M
51.46%-266K
43.19%-1.14M
78.63%-122K
50.90%-136K
25.93%-337K
22.71%-548K
32.05%-2.01M
-66.96%-571K
14.51%-277K
Net business purchase and sale
--0
---22.97M
-224.49%-7.41M
--0
---196K
---7.22M
--0
--5.95M
--2.97M
--0
Net other investing changes
--0
--12.31M
----
----
----
----
----
--2K
---3K
-99.57%1K
Cash from discontinued investing activities
Investing cash flow
76.99%-1.74M
-1,893.43%-10.92M
-316.94%-8.55M
-105.09%-122K
-20.29%-332K
-1,574.50%-7.55M
-124.09%-548K
233.16%3.94M
500.50%2.4M
-200.00%-276K
Financing cash flow
Cash flow from continuing financing activities
-0.14%-9.69M
-393.58%-7.69M
71.20%-20.71M
-1.91%-7.73M
93.26%-1.75M
-3.73%-9.68M
94.65%-1.56M
-437.84%-71.91M
-159.21%-7.59M
-262.04%-25.88M
Net issuance payments of debt
----
----
--0
--0
----
----
----
-619.58%-54M
--0
-300.00%-20M
Net common stock issuance
-0.04%-5M
---5M
47.36%-8M
36.06%-3M
--0
---5M
--0
22.66%-15.2M
---4.69M
73.76%-5.16M
Cash dividends paid
0.70%-4.69M
-0.30%-4.7M
-0.22%-18.83M
-0.51%-4.73M
0.34%-4.69M
0.02%-4.72M
-0.73%-4.68M
-0.99%-18.78M
-1.57%-4.71M
0.15%-4.71M
Proceeds from stock option exercised by employees
--0
-35.66%2.01M
-61.94%6.12M
--0
-25.99%2.95M
-93.96%45K
-67.22%3.12M
-12.11%16.07M
0.00%1.81M
-44.98%3.98M
Cash from discontinued financing activities
Financing cash flow
-0.14%-9.69M
-393.58%-7.69M
71.20%-20.71M
-1.91%-7.73M
93.26%-1.75M
-3.73%-9.68M
94.65%-1.56M
-437.84%-71.91M
-159.21%-7.59M
-262.04%-25.88M
Net cash flow
Beginning cash position
-20.40%89.63M
-6.76%108.89M
12.05%116.78M
9.56%113.84M
7.07%95.77M
55.14%112.6M
12.05%116.78M
40.10%104.22M
26.42%103.91M
26.64%89.45M
Current changes in cash
42.58%-9.63M
-338.02%-18.92M
-153.74%-7.34M
-137.31%-4.69M
31.05%18.43M
-187.47%-16.77M
86.56%-4.32M
-58.73%13.67M
-45.94%12.57M
17.46%14.07M
Effect of exchange rate changes
-3,296.23%-1.8M
-368.46%-349K
50.41%-548K
-181.47%-255K
-194.87%-370K
97.69%-53K
-73.47%130K
63.58%-1.11M
132.50%313K
193.08%390K
End cash Position
-18.35%78.2M
-20.40%89.63M
-6.76%108.89M
-6.76%108.89M
9.56%113.84M
7.07%95.77M
55.14%112.6M
11.79%116.78M
11.79%116.78M
26.42%103.91M
Free cash flow
-49.59%61K
79.18%-575K
-73.91%20.78M
-82.29%3.04M
-49.00%20.37M
-99.58%121K
54.00%-2.76M
71.30%79.62M
-34.96%17.19M
111.45%39.95M
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
(Q2)Nov 23, 2024(Q1)Aug 24, 2024(FY)May 25, 2024(Q4)May 25, 2024(Q3)Feb 24, 2024(Q2)Nov 25, 2023(Q1)Aug 26, 2023(FY)May 27, 2023(Q4)May 27, 2023(Q3)Feb 25, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 292.79%1.8M86.04%-309K-73.15%21.92M-82.18%3.17M-49.01%20.51M-98.42%458K58.19%-2.21M65.11%81.64M-33.66%17.76M109.33%40.22M
Net income from continuing operations -1,503.78%-68.72M-283.09%-5.71M-61.31%21.03M-11.01%10.47M-63.67%2.55M-71.92%4.9M-82.82%3.12M-19.08%54.36M-42.67%11.77M-63.86%7.02M
Operating gains losses -84.19%43K-28,383.33%-3.39M--------------272K105.04%12K124.89%220K510.67%458K--0
Depreciation and amortization -4.69%2.03M-7.58%2.03M-1.51%8.43M-9.90%1.95M-0.09%2.16M1.67%2.13M2.43%2.19M0.87%8.56M-0.87%2.16M-1.95%2.16M
Deferred tax -924.95%-8.46M187.95%438K104.54%440K52.54%-842K116.10%754K179.78%1.03M74.55%-498K12.23%-9.7M-176.32%-1.77M55.06%-4.68M
Other non cash items -70.20%45K0.00%44K-1,417.39%-3.49M-7,144.26%-4.3M1,124.00%612K243.18%151K111.43%44K-113.91%-230K-94.52%61K-27.54%50K
Change In working capital 37.96%-5.34M109.47%929K-171.39%-10.36M-322.28%-5.61M-54.71%13.66M-215.55%-8.6M61.68%-9.81M158.87%14.52M32.86%2.52M405.45%30.16M
-Change in receivables -184.27%-1.52M-48.54%3.33M-39.47%26.38M-58.72%3.85M-61.99%14.26M137.45%1.81M313.89%6.47M202.06%43.58M277.26%9.33M554.88%37.51M
-Change in prepaid assets 19.95%-1.35M69.22%-193K-360.54%-766K26.82%1.53M103.98%18K-103.74%-1.69M-270.84%-627K-67.90%294K-21.46%1.21M58.72%-452K
-Change in payables and accrued expense 92.46%-135K93.40%-844K-21.23%-24.23M-100.00%-8.69M-200.84%-964K-120.00%-1.79M49.97%-12.78M-186.82%-19.98M-633.66%-4.34M-94.19%956K
-Change in other current assets 33.91%-1.85M37.97%-1.88M-142.49%-9.86M34.59%-1.72M-5.11%-2.33M-172.49%-2.79M-269.03%-3.03M-934.86%-4.07M-1,415.61%-2.62M-1,149.72%-2.21M
-Change in other current liabilities 140.18%264K217.79%518K64.44%-1.89M43.90%-589K-259.52%-804K33.37%-657K104.32%163K3.47%-5.31M-121.07%-1.05M112.30%504K
Cash from discontinued investing activities
Operating cash flow 292.79%1.8M86.04%-309K-73.15%21.92M-82.18%3.17M-49.01%20.51M-98.42%458K58.19%-2.21M65.11%81.64M-33.66%17.76M109.33%40.22M
Investing cash flow
Cash flow from continuing investing activities 76.99%-1.74M-1,893.43%-10.92M-316.94%-8.55M-105.09%-122K-20.29%-332K-1,574.50%-7.55M-124.09%-548K233.16%3.94M500.50%2.4M-200.00%-276K
Net PPE purchase and sale -415.73%-1.74M51.46%-266K43.19%-1.14M78.63%-122K50.90%-136K25.93%-337K22.71%-548K32.05%-2.01M-66.96%-571K14.51%-277K
Net business purchase and sale --0---22.97M-224.49%-7.41M--0---196K---7.22M--0--5.95M--2.97M--0
Net other investing changes --0--12.31M----------------------2K---3K-99.57%1K
Cash from discontinued investing activities
Investing cash flow 76.99%-1.74M-1,893.43%-10.92M-316.94%-8.55M-105.09%-122K-20.29%-332K-1,574.50%-7.55M-124.09%-548K233.16%3.94M500.50%2.4M-200.00%-276K
Financing cash flow
Cash flow from continuing financing activities -0.14%-9.69M-393.58%-7.69M71.20%-20.71M-1.91%-7.73M93.26%-1.75M-3.73%-9.68M94.65%-1.56M-437.84%-71.91M-159.21%-7.59M-262.04%-25.88M
Net issuance payments of debt ----------0--0-------------619.58%-54M--0-300.00%-20M
Net common stock issuance -0.04%-5M---5M47.36%-8M36.06%-3M--0---5M--022.66%-15.2M---4.69M73.76%-5.16M
Cash dividends paid 0.70%-4.69M-0.30%-4.7M-0.22%-18.83M-0.51%-4.73M0.34%-4.69M0.02%-4.72M-0.73%-4.68M-0.99%-18.78M-1.57%-4.71M0.15%-4.71M
Proceeds from stock option exercised by employees --0-35.66%2.01M-61.94%6.12M--0-25.99%2.95M-93.96%45K-67.22%3.12M-12.11%16.07M0.00%1.81M-44.98%3.98M
Cash from discontinued financing activities
Financing cash flow -0.14%-9.69M-393.58%-7.69M71.20%-20.71M-1.91%-7.73M93.26%-1.75M-3.73%-9.68M94.65%-1.56M-437.84%-71.91M-159.21%-7.59M-262.04%-25.88M
Net cash flow
Beginning cash position -20.40%89.63M-6.76%108.89M12.05%116.78M9.56%113.84M7.07%95.77M55.14%112.6M12.05%116.78M40.10%104.22M26.42%103.91M26.64%89.45M
Current changes in cash 42.58%-9.63M-338.02%-18.92M-153.74%-7.34M-137.31%-4.69M31.05%18.43M-187.47%-16.77M86.56%-4.32M-58.73%13.67M-45.94%12.57M17.46%14.07M
Effect of exchange rate changes -3,296.23%-1.8M-368.46%-349K50.41%-548K-181.47%-255K-194.87%-370K97.69%-53K-73.47%130K63.58%-1.11M132.50%313K193.08%390K
End cash Position -18.35%78.2M-20.40%89.63M-6.76%108.89M-6.76%108.89M9.56%113.84M7.07%95.77M55.14%112.6M11.79%116.78M11.79%116.78M26.42%103.91M
Free cash flow -49.59%61K79.18%-575K-73.91%20.78M-82.29%3.04M-49.00%20.37M-99.58%121K54.00%-2.76M71.30%79.62M-34.96%17.19M111.45%39.95M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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