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RXT Rackspace Technology

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  • 1.780
  • -0.110-5.82%
Close Mar 25 16:00 ET
422.41MMarket Cap-0.47P/E (TTM)

Rackspace Technology Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-89.36%39.9M
-24.79%54.3M
-80.58%51.8M
-36.24%24.1M
-4,652.63%-90.3M
52.03%374.9M
163.50%72.2M
277.37%266.8M
-55.00%37.8M
-102.95%-1.9M
Net income from continuing operations
-2.43%-858.2M
-300.00%-56M
17.65%-186.6M
191.91%25M
-4.67%-640.6M
-4.10%-837.8M
113.08%28M
55.72%-226.6M
33.00%-27.2M
-1,489.61%-612M
Operating gains losses
42.48%-147.3M
45.44%-147.1M
-101.67%-100K
--0
-102.27%-100K
-1,469.52%-256.1M
-6,227.27%-269.6M
25.00%6M
-35.42%3.1M
-6.38%4.4M
Depreciation and amortization
-18.04%363M
-12.59%89.6M
-14.50%90.2M
-25.98%92.6M
-17.49%90.6M
-1.03%442.9M
-4.30%102.5M
-5.80%105.5M
11.20%125.1M
-5.26%109.8M
Deferred tax
16.47%-35M
480.00%11.4M
121.92%4.8M
-9,033.33%-26.8M
-41.04%-24.4M
61.49%-41.9M
95.17%-3M
17.98%-21.9M
101.44%300K
-2,022.22%-17.3M
Other non cash items
-623.29%-38.2M
-13.33%143.1M
74.12%-14M
13.79%-80M
-700.92%-87.3M
-34.23%7.3M
6,779.17%165.1M
-1,140.38%-54.1M
-6,286.67%-92.8M
-645.00%-10.9M
Change In working capital
-127.63%-62.2M
-137.50%-10.5M
-100.09%-200K
-330.91%-12.7M
-11.17%-38.8M
383.14%225.1M
165.57%28M
37,650.00%226.5M
5,600.00%5.5M
6.43%-34.9M
-Change in receivables
-92.55%20.5M
-42.86%3.6M
-96.65%6.5M
-187.60%-21.2M
-37.43%31.6M
433.86%275.1M
119.94%6.3M
1,276.36%194.1M
266.90%24.2M
355.05%50.5M
-Change in prepaid assets
-57.32%10.5M
740.00%12.6M
-1,475.00%-6.3M
-24.40%18.9M
-880.00%-14.7M
446.48%24.6M
115.79%1.5M
96.04%-400K
390.20%25M
-120.27%-1.5M
-Change in payables and accrued expense
49.77%-22.2M
-143.93%-9.4M
-36.24%22.7M
1,744.44%14.8M
49.85%-50.3M
-163.32%-44.2M
-7.76%21.4M
-21.41%35.6M
-104.43%-900K
-427.89%-100.3M
-Change in other current liabilities
-26.22%-82.8M
-16.47%-19.8M
-7.87%-19.2M
-113.76%-23.3M
-3.02%-20.5M
-0.15%-65.6M
-11.84%-17M
2.20%-17.8M
24.31%-10.9M
-12.43%-19.9M
-Change in other working capital
-66.48%11.8M
-84.18%2.5M
-126.00%-3.9M
94.04%-1.9M
-58.40%15.1M
517.54%35.2M
264.58%15.8M
14,900.00%15M
-1,038.24%-31.9M
207.63%36.3M
Cash from discontinued investing activities
Operating cash flow
-89.36%39.9M
-24.79%54.3M
-80.58%51.8M
-36.24%24.1M
-4,652.63%-90.3M
51.97%374.9M
162.55%72.2M
277.37%266.8M
-55.00%37.8M
-102.95%-1.9M
Investing cash flow
Cash flow from continuing investing activities
9.79%-86.6M
47.48%-17.7M
29.20%-19.4M
-65.52%-38.4M
5.13%-11.1M
1.94%-96M
-134.03%-33.7M
16.72%-27.4M
6.07%-23.2M
54.83%-11.7M
Net PPE purchase and sale
-14.65%-111.1M
-8.55%-36.8M
10.91%-24.5M
-64.96%-38.6M
7.44%-11.2M
-20.52%-96.9M
-126.00%-33.9M
-44.74%-27.5M
13.97%-23.4M
36.98%-12.1M
Net business purchase and sale
--16.9M
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--0
----
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Net investment purchase and sale
--0
----
----
----
----
--0
----
----
----
----
Net other investing changes
744.44%7.6M
1,000.00%2.2M
5,000.00%5.1M
0.00%200K
-75.00%100K
-82.69%900K
-66.67%200K
-90.91%100K
-92.00%200K
-60.00%400K
Cash from discontinued investing activities
Investing cash flow
9.79%-86.6M
47.48%-17.7M
29.20%-19.4M
-65.52%-38.4M
5.13%-11.1M
1.94%-96M
-134.03%-33.7M
16.72%-27.4M
6.07%-23.2M
54.83%-11.7M
Financing cash flow
Cash flow from continuing financing activities
99.04%-3M
62.11%-46M
44.11%-67.4M
-163.73%-77.8M
555.69%188.2M
-67.27%-312.8M
-217.80%-121.4M
-171.62%-120.6M
53.62%-29.5M
-1.23%-41.3M
Net issuance payments of debt
120.29%55.1M
65.84%-37.4M
37.56%-90.6M
-325.88%-38.4M
751.47%221.5M
-201.11%-271.6M
-50.21%-109.5M
-2,401.72%-145.1M
398.25%17M
-486.21%-34M
Net common stock issuance
-330.00%-4.3M
--0
10.00%-900K
--0
---3.4M
96.77%-1M
--0
---1M
--0
--0
Proceeds from stock option exercised by employees
-30.77%900K
0.00%500K
--0
----
----
-64.86%1.3M
-50.00%500K
--0
----
----
Net other financing activities
-31.81%-54.7M
26.61%-9.1M
-5.49%24.1M
15.86%-39.8M
-309.59%-29.9M
40.29%-41.5M
-136.80%-12.4M
166.06%25.5M
-42.47%-47.3M
76.75%-7.3M
Cash from discontinued financing activities
Financing cash flow
99.04%-3M
62.11%-46M
44.11%-67.4M
-163.73%-77.8M
555.69%188.2M
-67.27%-312.8M
-217.80%-121.4M
-171.62%-120.6M
53.62%-29.5M
-1.23%-41.3M
Net cash flow
Beginning cash position
-13.70%199.7M
-42.96%160.1M
18.47%193.1M
60.94%285.5M
-13.70%199.7M
-15.98%231.4M
11.34%280.7M
-38.21%163M
-34.68%177.4M
-15.98%231.4M
Current changes in cash
-46.61%-49.7M
88.66%-9.4M
-129.46%-35M
-518.12%-92.1M
258.11%86.8M
11.26%-33.9M
-230.28%-82.9M
1,900.00%118.8M
-246.51%-14.9M
-2,395.45%-54.9M
Effect of exchange rate changes
-236.36%-3M
-294.74%-3.7M
281.82%2M
-160.00%-300K
-211.11%-1M
137.93%2.2M
-56.82%1.9M
78.43%-1.1M
114.29%500K
156.25%900K
End cash Position
-26.39%147M
-26.39%147M
-42.96%160.1M
18.47%193.1M
60.94%285.5M
-13.70%199.7M
-13.70%199.7M
11.34%280.7M
-38.21%163M
-34.68%177.4M
Free cash flow
-125.61%-71.2M
-10.18%34.4M
-88.59%27.3M
-200.69%-14.5M
-745.71%-118.4M
67.17%278M
206.40%38.3M
362.86%239.3M
-74.65%14.4M
-130.91%-14M
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
--
--
--
--
--
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -89.36%39.9M-24.79%54.3M-80.58%51.8M-36.24%24.1M-4,652.63%-90.3M52.03%374.9M163.50%72.2M277.37%266.8M-55.00%37.8M-102.95%-1.9M
Net income from continuing operations -2.43%-858.2M-300.00%-56M17.65%-186.6M191.91%25M-4.67%-640.6M-4.10%-837.8M113.08%28M55.72%-226.6M33.00%-27.2M-1,489.61%-612M
Operating gains losses 42.48%-147.3M45.44%-147.1M-101.67%-100K--0-102.27%-100K-1,469.52%-256.1M-6,227.27%-269.6M25.00%6M-35.42%3.1M-6.38%4.4M
Depreciation and amortization -18.04%363M-12.59%89.6M-14.50%90.2M-25.98%92.6M-17.49%90.6M-1.03%442.9M-4.30%102.5M-5.80%105.5M11.20%125.1M-5.26%109.8M
Deferred tax 16.47%-35M480.00%11.4M121.92%4.8M-9,033.33%-26.8M-41.04%-24.4M61.49%-41.9M95.17%-3M17.98%-21.9M101.44%300K-2,022.22%-17.3M
Other non cash items -623.29%-38.2M-13.33%143.1M74.12%-14M13.79%-80M-700.92%-87.3M-34.23%7.3M6,779.17%165.1M-1,140.38%-54.1M-6,286.67%-92.8M-645.00%-10.9M
Change In working capital -127.63%-62.2M-137.50%-10.5M-100.09%-200K-330.91%-12.7M-11.17%-38.8M383.14%225.1M165.57%28M37,650.00%226.5M5,600.00%5.5M6.43%-34.9M
-Change in receivables -92.55%20.5M-42.86%3.6M-96.65%6.5M-187.60%-21.2M-37.43%31.6M433.86%275.1M119.94%6.3M1,276.36%194.1M266.90%24.2M355.05%50.5M
-Change in prepaid assets -57.32%10.5M740.00%12.6M-1,475.00%-6.3M-24.40%18.9M-880.00%-14.7M446.48%24.6M115.79%1.5M96.04%-400K390.20%25M-120.27%-1.5M
-Change in payables and accrued expense 49.77%-22.2M-143.93%-9.4M-36.24%22.7M1,744.44%14.8M49.85%-50.3M-163.32%-44.2M-7.76%21.4M-21.41%35.6M-104.43%-900K-427.89%-100.3M
-Change in other current liabilities -26.22%-82.8M-16.47%-19.8M-7.87%-19.2M-113.76%-23.3M-3.02%-20.5M-0.15%-65.6M-11.84%-17M2.20%-17.8M24.31%-10.9M-12.43%-19.9M
-Change in other working capital -66.48%11.8M-84.18%2.5M-126.00%-3.9M94.04%-1.9M-58.40%15.1M517.54%35.2M264.58%15.8M14,900.00%15M-1,038.24%-31.9M207.63%36.3M
Cash from discontinued investing activities
Operating cash flow -89.36%39.9M-24.79%54.3M-80.58%51.8M-36.24%24.1M-4,652.63%-90.3M51.97%374.9M162.55%72.2M277.37%266.8M-55.00%37.8M-102.95%-1.9M
Investing cash flow
Cash flow from continuing investing activities 9.79%-86.6M47.48%-17.7M29.20%-19.4M-65.52%-38.4M5.13%-11.1M1.94%-96M-134.03%-33.7M16.72%-27.4M6.07%-23.2M54.83%-11.7M
Net PPE purchase and sale -14.65%-111.1M-8.55%-36.8M10.91%-24.5M-64.96%-38.6M7.44%-11.2M-20.52%-96.9M-126.00%-33.9M-44.74%-27.5M13.97%-23.4M36.98%-12.1M
Net business purchase and sale --16.9M------------------0----------------
Net investment purchase and sale --0------------------0----------------
Net other investing changes 744.44%7.6M1,000.00%2.2M5,000.00%5.1M0.00%200K-75.00%100K-82.69%900K-66.67%200K-90.91%100K-92.00%200K-60.00%400K
Cash from discontinued investing activities
Investing cash flow 9.79%-86.6M47.48%-17.7M29.20%-19.4M-65.52%-38.4M5.13%-11.1M1.94%-96M-134.03%-33.7M16.72%-27.4M6.07%-23.2M54.83%-11.7M
Financing cash flow
Cash flow from continuing financing activities 99.04%-3M62.11%-46M44.11%-67.4M-163.73%-77.8M555.69%188.2M-67.27%-312.8M-217.80%-121.4M-171.62%-120.6M53.62%-29.5M-1.23%-41.3M
Net issuance payments of debt 120.29%55.1M65.84%-37.4M37.56%-90.6M-325.88%-38.4M751.47%221.5M-201.11%-271.6M-50.21%-109.5M-2,401.72%-145.1M398.25%17M-486.21%-34M
Net common stock issuance -330.00%-4.3M--010.00%-900K--0---3.4M96.77%-1M--0---1M--0--0
Proceeds from stock option exercised by employees -30.77%900K0.00%500K--0---------64.86%1.3M-50.00%500K--0--------
Net other financing activities -31.81%-54.7M26.61%-9.1M-5.49%24.1M15.86%-39.8M-309.59%-29.9M40.29%-41.5M-136.80%-12.4M166.06%25.5M-42.47%-47.3M76.75%-7.3M
Cash from discontinued financing activities
Financing cash flow 99.04%-3M62.11%-46M44.11%-67.4M-163.73%-77.8M555.69%188.2M-67.27%-312.8M-217.80%-121.4M-171.62%-120.6M53.62%-29.5M-1.23%-41.3M
Net cash flow
Beginning cash position -13.70%199.7M-42.96%160.1M18.47%193.1M60.94%285.5M-13.70%199.7M-15.98%231.4M11.34%280.7M-38.21%163M-34.68%177.4M-15.98%231.4M
Current changes in cash -46.61%-49.7M88.66%-9.4M-129.46%-35M-518.12%-92.1M258.11%86.8M11.26%-33.9M-230.28%-82.9M1,900.00%118.8M-246.51%-14.9M-2,395.45%-54.9M
Effect of exchange rate changes -236.36%-3M-294.74%-3.7M281.82%2M-160.00%-300K-211.11%-1M137.93%2.2M-56.82%1.9M78.43%-1.1M114.29%500K156.25%900K
End cash Position -26.39%147M-26.39%147M-42.96%160.1M18.47%193.1M60.94%285.5M-13.70%199.7M-13.70%199.7M11.34%280.7M-38.21%163M-34.68%177.4M
Free cash flow -125.61%-71.2M-10.18%34.4M-88.59%27.3M-200.69%-14.5M-745.71%-118.4M67.17%278M206.40%38.3M362.86%239.3M-74.65%14.4M-130.91%-14M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion------------------

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