RPC Cash Flow Statement Analysis

Operating, investing, and financing activities in millions USD

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Cash flow statement showing operating, investing, and financing activities for RPC, Inc. (RES) - Annual data in millions USD
BreakdownFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020FY 2019FY 2018
Period EndingDec 2025Dec 2024Dec 2023Dec 2022Dec 2021Dec 2020Dec 2019Dec 2018
Operating Activities
Net Income32.0891.44195.11218.367.22-212.19-87.11175.40
Depreciation & Amortization161.19132.58108.1283.0272.5195.53246.17166.79
Deferred Income Tax0.006.908.6519.504.89-25.85-22.2321.40
Stock Based Compensation0.009.197.886.386.588.740.000.00
Change in Working Capital-12.25117.9265.93-120.73-28.3911.3264.0130.01
Change in Accounts Receivable0.0048.03104.57-157.89-91.0880.770.000.00
Change in Inventory0.002.96-12.34-18.413.9518.080.000.00
Change in Accounts Payable0.000.28-34.5837.9932.90-9.130.000.00
Change in Other Working Capital-12.25-9.860.130.65-1.45-19.540.000.00
Other Operating Activities20.316.460.130.655.46184.0914.40-9.65
Net Cash from Operating Activities201.33349.39394.76201.2947.7277.96209.14389.01
Investing Activities
Capital Expenditures-148.41-219.93-181.01-139.5567.65-65.07250.63-242.61
Acquisitions-133.910.00-78.800.000.000.000.000.00
Purchases of Investments0.00-2.380.000.000.000.000.000.00
Sales/Maturities of Investments0.002.380.000.000.000.000.000.00
Other Investing Activities8.62-201.550.000.000.000.000.0022.88
Net Cash from Investing Activities-273.70-201.55-241.71-123.72-47.63-42.66-235.79-219.73
Financing Activities
Debt Repayment-4.50-0.80-0.52-24.02-1.580.000.000.00
Common Stock Issued0.000.000.00-0.92-0.57-0.83-7.36-43.00
Common Stock Repurchased-2.87-9.94-21.09-0.92-0.57-0.830.000.00
Dividends Paid-35.12-34.43-34.56-8.650.000.0032.23-101.07
Other Financing Activities-1.140.00-0.52-24.02-1.580.000.000.00
Net Cash from Financing Activities-43.64-45.17-56.17-33.58-2.15-0.83-39.59-144.07
Summary
Net Change in Cash-116.00102.6796.8943.99-2.0634.47-66.2425.21
Cash at Beginning of Period325.98223.31126.4282.4384.5050.02116.2691.05
Cash at End of Period209.97325.98223.31126.4282.4384.50116.26116.26
Free Cash Flow52.92129.46213.7661.730.0912.89-26.65146.40
Supplemental Disclosures
Interest Paid0.000.170.170.170.170.160.000.00
Income Taxes Paid0.00-31.6862.2335.81-20.90-10.050.000.00