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Rackspace Technology Inc.



Market open

 --Real time quotes

Sep 24, 2021, 1:39 p.m.





-0.15 -1.02%


Volume 328,988

Real time quotes


Previous close

$ 14.19

$ 14.05


-0.15 -1.02%

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52 week low

52 week high




Annual Financials for Rackspace Technology Inc.

Operating Activities

Fiscal year is January-December. All values USD millions. 2017201820192020 5-year trend
Net Income before Extraordinaries -(59.9M)(470.6M)(102.3M)(245.8M)
Depreciation, Depletion & Amortization -757.9M611M566.5M536.9M
Depreciation and Depletion -631.3M446.8M399M360.5M
Amortization of Intangible Assets -126.6M164.2M167.5M176.4M
Deferred Taxes & Investment Tax Credit -(306.9M)(24.6M)(40.7M)(73.6M)
Deferred Taxes -(306.9M)(24.6M)(40.7M)(73.6M)
Investment Tax Credit -----
Other Funds -42.3M336.2M8.5M184.3M
Funds from Operations -433.4M452M432M401.8M
Extraordinaries -----
Changes in Working Capital -(141.7M)(22.2M)(139.1M)(227.1M)
Receivables -(42.9M)(32.3M)(42.2M)(156M)
Accounts Payable -----
Other Assets/Liabilities -(98.8M)10.1M(96.9M)(71.1M)
Net Operating Cash Flow -291.7M429.8M292.9M174.7M

Investing Activities

2017201820192020 5-year trend
Capital Expenditures -(189.5M)(294.3M)(198M)(116.5M)
Capital Expenditures (Fixed Assets) -(189.5M)(294.3M)(198M)(116.5M)
Capital Expenditures (Other Assets) -----
Net Assets from Acquisitions -(1.09B)(65.3M)(316.1M)(9.5M)
Sale of Fixed Assets & Businesses -----
Purchase/Sale of Investments -18M8.8M109.5M900,000
Purchase of Investments -----
Sale/Maturity of Investments -18M8.8M109.5M900,000
Other Uses ----(3.3M)
Other Sources -32.5M2.5M18.1M-
Net Investing Cash Flow -(1.23B)(348.3M)(386.5M)(128.4M)

Financing Activities

2017201820192020 5-year trend
Cash Dividends Paid - Total -----
Common Dividends -----
Preferred Dividends -----
Change in Capital Stock -9.7M3.2M(2.2M)688.9M
Repurchase of Common & Preferred Stk. ---(2.2M)-
Sale of Common & Preferred Stock -9.7M3.2M-688.9M
Proceeds from Stock Options -9.7M3.2M-657.8M
Other Proceeds from Sale of Stock ----31.1M
Issuance/Reduction of Debt, Net -857.8M(56.9M)(74.4M)(714.9M)
Change in Current Debt ----(58M)
Change in Long-Term Debt -857.8M(56.9M)(74.4M)(656.9M)
Issuance of Long-Term Debt -948M-287.6M872.1M
Reduction in Long-Term Debt -(90.2M)(56.9M)(362M)(1.53B)
Other Funds ---(2.6M)(2.1M)
Other Uses ---(2.6M)(2.1M)
Other Sources -----
Net Financing Cash Flow -867.5M(53.7M)(79.2M)(28.1M)
Exchange Rate Effect -3.7M(4.5M)1.7M2.8M
Miscellaneous Funds -----
Net Change in Cash -(63.3M)23.3M(171.1M)21M
Free Cash Flow -102.2M135.5M94.9M58.2M
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