RPXC

RPXC Company Financials

$16.4
*  
0.09
 negative 
0.55%
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*Delayed - data as of Apr. 16, 2014 
Exchange: NASDAQ
Industry: Miscellaneous
Community Rating:
 
 
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Quarterly Income Statement (values in 000's) Get Annual Data

Quarter: Trend 4th 3rd 2nd 1st
Quarter Ending: 12/31/2013 9/30/2013 6/30/2013 3/31/2013
Net Income
$6,994 $8,397 $10,697 $14,695
Cash Flows-Operating Activities
Depreciation
$33,379 $30,470 $26,198 $24,595
Net Income Adjustments
$2,502 $2,286 $2,817 $1,593
Changes in Operating Activities
Accounts Receivable
($18,592) $5,043 ($11,762) $45,753
Changes in Inventories
$0 $0 $0 $0
Other Operating Activities
($2,984) ($3,044) ($5,149) $1,801
Liabilities
$34,648 ($10,005) $381 $11,760
Net Cash Flow-Operating
$55,947 $33,147 $23,182 $100,197
Cash Flows-Investing Activities
Capital Expenditures
($807) ($1,199) ($453) ($421)
Investments
($44,575) $14,130 ($11,845) ($20,219)
Other Investing Activities
($44,350) ($14,932) ($50,100) ($19,437)
Net Cash Flows-Investing
($89,732) ($2,001) ($62,398) ($40,077)
Cash Flows-Financing Activities
Sale and Purchase of Stock
$977 $1,447 $1,708 $1,019
Net Borrowings
$0 $0 $0 $0
Other Financing Activities
$0 $0 $0 $0
Net Cash Flows-Financing
$1,326 $2,190 $2,749 $1,987
Effect of Exchange Rate
$0 $0 $0 $0
Net Cash Flow
($32,459) $33,336 ($36,467) $62,107

See also: Company Financials data entry page