RPC (RES) stock price, revenue, and financials

RPC market cap is $843.5 m, and annual revenue was $598.3 m in FY 2020

$843.5 M

RES Mkt cap, 23-Sept-2021

$188.8 M

RPC Revenue Q2, 2021
RPC Gross profit (Q2, 2021)43 M
RPC Gross profit margin (Q2, 2021), %22.8%
RPC Net income (Q2, 2021)-726 K
RPC EBIT (Q2, 2021)-1.2 M
RPC Cash, 30-Jun-2021121 M
RPC EV747.9 M
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RPC Revenue

RPC revenue was $598.3 m in FY, 2020 which is a 51.1% year over year decrease from the previous period.

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RPC Revenue Breakdown

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RPC revenue breakdown by business segment: 7.0% from Support Services and 93.0% from Technical Services

RPC revenue breakdown by geographic segment: 6.0% from International and 94.0% from United States

RPC Income Statement

Annual

USDFY, 2018FY, 2019FY, 2020

Revenue

1.7b1.2b598.3m

Revenue growth, %

(29%)(51%)

Cost of goods sold

1.2b919.6m480.7m

Gross profit

538.0m302.8m117.6m

Gross profit Margin, %

31%25%20%

General and administrative expense

168.2m168.1m123.7m

Operating expense total

327.9m417.1m427.2m

Depreciation and amortization

163.1m170.4m95.5m

EBIT

210.0m(114.3m)(309.6m)

EBIT margin, %

12%(9%)(52%)

Interest expense

489.0k334.0k373.0k

Interest income

2.4m1.9m496.0k

Pre tax profit

221.3m(113.1m)(309.4m)

Income tax expense

45.9m(26.0m)(97.2m)

Net Income

175.4m(87.1m)(212.2m)

EPS

0.80.4(1.0)

RPC Balance Sheet

Annual

USDFY, 2018FY, 2019FY, 2020

Cash

116.3m50.0m84.5m

Accounts Receivable

323.5m242.6m161.8m

Prepaid Expenses

9.8m10.5m9.1m

Inventories

130.1m100.9m82.9m

Current Assets

618.9m436.9m428.4m

PP&E

518.0m516.7m264.4m

Goodwill

32.2m32.2m32.2m

Total Assets

1.2b1.1b790.5m

Accounts Payable

103.4m53.1m41.1m

Short-term debt

10.6m9.2m

Current Liabilities

143.2m101.4m79.6m

Long-term debt

28.4m21.1m

Total Debt

39.0m30.3m

Total Liabilities

249.2m222.9m158.9m

Common Stock

21.5m21.4m21.5m

Retained Earnings

947.7m832.1m627.8m

Total Equity

950.4m830.3m631.6m

Debt to Equity Ratio

0 x0 x

Debt to Assets Ratio

0 x0 x

Financial Leverage

1.3 x1.3 x1.3 x

RPC Cash Flow

Annual

USDFY, 2018FY, 2019FY, 2020

Net Income

175.4m(87.1m)(212.2m)

Depreciation and Amortization

166.8m172.6m95.3m

Accounts Receivable

54.0m81.1m80.8m

Inventories

(15.7m)21.0m18.1m

Accounts Payable

(7.8m)(42.2m)(9.1m)

Cash From Operating Activities

389.0m209.1m78.0m

Purchases of PP&E

(242.6m)(250.6m)(65.1m)

Cash From Investing Activities

(219.7m)(235.8m)(42.7m)

Dividends Paid

(101.1m)(32.2m)

Cash From Financing Activities

(144.1m)(39.6m)(826.0k)

Net Change in Cash

25.2m(66.2m)34.5m

RPC Ratios

USDFY, 2018

Revenue/Employee

478.1k

Financial Leverage

1.3 x

P/E Ratio

12.0

RPC Employee Rating

331 votes
Culture & Values
2.5
Work/Life Balance
2.8
Senior Management
2.3
Salary & Benefits
2.5
Career Opportunities
2.4
Source