Range Resources Corporation

NYSE:RRC

34.09 (USD) • At close November 12, 2024
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) USD.

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 211.9740.207214.4220.4580.5460.5450.4480.3140.4710.4480.3480.2520.0922.8480.7670.7534.0182.3824.7518.3820.6311.3343.382.48512.9119.78.634.922.31.21.30.9
Kortetermijnbeleggingen 101.641000000000000000000000002.10000000000
Liquide middelen en kortetermijnbeleggingen 211.9740.207214.4220.4580.5460.5450.4480.3140.4710.4480.3480.2520.0922.8480.7670.7534.0182.3824.7518.3820.6311.3343.382.48515119.78.634.922.31.21.30.9
Nettovorderingen 282.669505.55501.275252.642272.9490.723348.833241.718123.842188.941179.667167.495127.18105.983123.622162.201166.484130.349128.53281.94242.14532.93232.29554.02134.137.529.218.114.99.47.83.63.22.31.2
Voorraad 359.4890-35.2380022.96421.34626.57333.21717.85412.45122.31514.0721.43321.29219.92711.38714.71412.5939.1683.3293.0844.8955.584.13.42.80.81.11.60.90.40.40.10.2
Overige vlottende activa 15.99232.90550.46813.40817.508514.232370.627268.605157.53363.049192.466190.062173.921131.45153.735221.4353.018172.8920.4250.5340.1160.00437.165019.75587.70.100.1-0.100.10.1
Totaal vlottende activa 870.124538.662730.927266.508290.954607.027429.507282.088446.292570.292248.301327.614315.263261.714175.28404.311261.814320.337207.977136.33666.09237.35477.73562.08672.9106.949.735.219.115.910.86.24.83.82.4
Niet-vlottende activa:
Materiële vaste activa, netto 6,143.1985,976.9085,798.9825,754.5516,108.4639,032.9619,581.4039,273.216,380.768,015.1546,791.2216,137.7515,210.2444,996.794,990.6544,938.9383,564.9342,723.8191,780.4261,439.641745.688582.478551.537593.096595.3662.1629.2229.4176.711361.722.118.29.24.5
Goodwill 0000001,641.1971,654.292000000000000000000000000000
Immateriële activa 0000001,641.1971,654.292000000000000000000000000000
Goodwill en immateriële activa 0-682.624-836.526-748.771001,641.1971,654.29200-180.448000-150.7560-140.629000000000000000000
Langetermijnbeleggingen 9.751.3950.10128.5810.30613.9429.87310.80517.81810.3129.034132.449138.13155.105146.809147.126113.722000000000000000000
Belastingvorderingen 0631.234786.425720.19100-9.873-10.8050051.4140008.054026.907061.67726.3119.87115.7850000000000000
Overige niet-vlottende activa 180.863109.992130.598115.877202.6854.22476.73472.65555.161151.034259.564130.921181.83384.977225.8472.168189.76143.518-31.095-6.881-1.5622.86753.1933.98384.2152.685.317.918.912.93.801.30.80
Totaal niet-vlottende activa 6,333.7616,086.95,929.585,870.4286,321.4499,101.12711,299.33411,000.1576,453.7398,176.4887,050.7856,401.1215,530.2075,236.8725,220.6015,158.2323,754.6942,867.3371,811.0081,459.07763.999621.13604.727627.079679.5814.7714.5247.3195.6125.965.522.119.5104.5
Totaal activa 7,203.8856,625.5626,660.5076,136.9366,612.4039,708.15411,728.84111,282.2456,900.0318,746.787,299.0866,728.7355,845.475,498.5865,395.8815,562.5434,016.5083,187.6742,018.9851,595.406830.091658.484682.462689.165752.4921.6764.2282.5214.7141.876.328.324.313.86.9
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 110.134206.738178.413132.421155.341227.344343.871229.19117.346396.942258.431234.651311.369312.475214.548250.64212.514172.081119.90778.72332.10527.04427.20226.7323.928.232.314.49.18.44.93.82.100
Kortlopende schulden 11.58467.493218.01745.35627.856000000000-214.54800000.00570000.014555.20.400.10.70.40.40.80.10
Belastingschulden 00000000000000000000000000000000000
Uitgestelde opbrengsten -11.584-67.493334.071376.368-27.85600000000014.488000030.607-55.300000000000000
Overige kortlopende verplichtingen 362.818755.27675.474-13.121240.35300.12367.731244.273117.028-38.62-21.301-14.159-110.806-194.38885.068-147.766-119.595-111.80681.946-10.89628.05413.118-6.525-7.6150.84.8-10.1-6.5-3.6-2.6-0.8-1.9-0.331.5
Totaal kortlopende verplichtingen 583.0861,168.752984.388673.445551.032754.811755.473702.653351.72755.264495.561455.143511.932430.562314.104353.514305.433232.356321.76177.162106.96467.20647.87945.85953.6116.454.922.314.714.99.46.14.73.11.5
Langlopende verplichtingen:
Langetermijnschulden 1,790.2931,862.8632,732.6313,083.4073,214.0053,836.8614,108.8063,773.5172,651.3033,0733,140.5162,878.1851,974.9671,960.5361,790.4111,790.6681,150.6581,048.782616.148620.561358.18283.201302.491365.459453.9552366.7116.88361.930.712.711.74.24.3
Uitgestelde opbrengsten niet-vlottend 00414.904215.78000000247.56200053.23400000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 561.288333.571117.642135.267160.196666.668693.356943.343777.947997.494771.98698.302710.49672.041776.965783.391590.786468.643174.817117.71310.84304.49600025.625.917.716.440000
Overige niet-vlottende verplichtingen 503.667384.37325.279391.502339.682390.383396.934454.364359.403463.593229.015339.713255.661211.68682.578177.137241.609181.732209.337113.6380.038101.96889.74000000.10.1-0.1-0.1-0.10.10.1
Totaal niet-vlottende verplichtingen 2,855.2482,580.8043,590.4563,825.9563,713.8834,893.9125,199.0965,171.2243,788.6534,534.0874,389.0733,916.22,941.1182,844.2632,703.1882,751.1961,983.0531,699.1571,000.302851.904449.061385.169396.727365.459453.9552392.3142.7100.878.434.612.611.64.34.4
Totaal passiva 3,438.3343,749.5564,574.8444,499.4014,264.9155,648.7235,954.5695,873.8774,140.3735,289.3514,884.6344,371.3433,453.053,274.8253,017.2923,104.712,288.4861,931.5131,322.0621,029.066556.025452.375444.606411.318507.5668.4447.2165115.593.34418.716.37.45.9
Eigen vermogen:
Preferente aandelen 0000000000000.373000.49300.4794.762050000.221.21.21.21.21.40.20.20000
Gewone aandelen 2.6583,305.1982,115.821,668.1462.5142.4952.4812.4711.6931.6871.6341.6261.6131.6012,380.1321.5561.4971.3891.2180.8120.5640.550.5260.4920.40000000000
Ingehouden winsten -1,668.778-2,462.401-3,607.0551,668.1462,355.5124,060.485,776.2035,409.5772,761.9031,058.3552,411.8532,278.243373.969341.699606.529692.059371.8160.31313.8-89.597-124.011-158.059-183.825-178.223-214.6-203.4-22.45.3-4-7.5-9.8-10.9-11.2-11.3-11.3
Overige gereserveerde algehele resultaten 0.6470.467-0.15-0.479-0.788-0.658-1.332-3,225.739-2,725.589-2,680.6256.23683.909156.62767.476.42177.507-26.82536.521-151.762-44.558-52.149-27.46440.494-0.907-383.6-273.7-161.4-53.1-33.4-20.4-13.1-12.6-10.5-9.2-6.3
Overige totale aandeelhoudersvermogen 5,431.0242,032.7423,577.048-1,698.278-9.75-2.886-3.083,222.0592,721.6515,078.012-5.271-6.3861,859.8381,812.991-614.4931,686.2181,381.551,057.459828.905699.683399.662391.082378.426363.625723.8609.1379.6164.1135.270.9553329.726.918.6
Totaal eigen vermogen van aandeelhouders 3,765.5512,876.0062,085.6631,637.5352,347.4884,059.4315,774.2725,408.3682,759.6583,457.4292,414.4522,357.3922,392.422,223.7612,378.5892,457.8331,728.0221,256.161696.923566.34274.066206.109235.621185.207127.2133.2197117.599.243.232.39.586.41
Totaal eigen vermogen 3,765.5512,876.0062,085.6631,637.5352,347.4884,059.4315,774.2725,408.3682,759.6583,457.4292,414.4522,357.3922,392.422,223.7612,378.5892,457.8331,728.0221,256.161696.923566.34274.066206.109237.856277.847244.9253.2317117.599.248.532.39.686.41
Totaal passiva en aandeelhoudersvermogen 7,203.8856,625.5626,660.5076,136.9366,612.4039,708.15411,728.84111,282.2456,900.0318,746.787,299.0866,728.7355,845.475,498.5865,395.8815,562.5434,016.5083,187.6742,018.9851,595.406830.091658.484682.462689.165752.4921.6764.2282.5214.7141.876.328.324.313.86.9