Riley Exploration Permian, Inc.

AMEX:REPX

26.57 (USD) • At close November 17, 2023
Overview | Financials

Numbers are in millions (except for per share data and ratios) USD.

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996
Operating Activities:
Net Income 111.591118.011-46.869-0.4360.4420.442-0.574-4.199-24.721-0.7882.9564.2444.68-1.745-2.0180.173.512.1411.088-1.994-3.443-3.155-2.263-1.542-2.672-3.1-4.177-1.76
Depreciation & Amortization 65.05517.708108.260.7160.7950.9360.9241.1392.6763.032.9123.4032.7032.6272.5712.161.6311.9111.6052.1762.3162.4141.850.3710.2660.50.0790.13
Deferred Income Tax 27.58928.37212.962-0.716-0.7950-0.242-1.1397.351-0.0121.9152.2260.118-1.089-0.169-7.001-2.100000000000
Stock Based Compensation 6.9783.9466.7930.0170.0230.0230.0140.0170.0120.0320.050.0520.1650.1110.17411.6180.00600000000000
Change In Working Capital 1.1391.524.281-0.087-0.054-0.079-0.074-0.8550.561.5280.257-1.0680.282-0.385-0.231-0.2030.2120.122-0.155-0.9140.060.1260.2320.066-0.353-0.30.329-1.23
Accounts Receivables -9.575-7.549-7.7460.0410.0960.096-0.118-0.0460.4320.5760.307-0.089-0.062-0.369-0.026-0.047000000000000
Inventory -0.54604.622-0.068-0.028-0.0280.203-0.2380.1980.450.031-0.579-0.2830.004-0.105-0.0150.09-0.054-0.155-0.061-0.018-0.1030.0920.008-0.159000
Accounts Payables 3.23.027.4450.063-0.058-0.058-0.095-0.482-0.0580.0580.1030.136-0.0750.8020.041-0.20200000000000-0.3
Other Working Capital 8.066.049-0.04-0.123-0.064-0.089-0.064-0.089-0.0120.444-0.184-0.5360.702-0.822-0.1410.0610.1220.176-0.001-0.8530.0780.230.140.058-0.19400-0.93
Other Non Cash Items 138.8520.7310.6530.7320.9261.90.1064.02514.6042.781-0.2040.1860.5434.5251.3610.3860.1870.179-0.4240.3621.3810.049-0.0410.2840.2050.62.2272.09
Operating Cash Flow 207.195170.28886.080.2261.3371.3370.154-1.0120.4826.5717.8869.0438.4914.0441.6887.133.4474.3542.114-0.370.314-0.566-0.221-0.821-2.555-2.3-1.541-0.77
Investing Activities:
Investments In Property Plant And Equipment -141.304-128.256-60.488-0.439-1.038-1.038-0.186-0.449-0.571-4.011-2.324-8.595-9.174-3.758-1.02-14.868-7.013-5.388-2.558-1.174-0.139-3.039-9.321-9.568-1.863-3.1-2.433-1.59
Acquisitions Net -324.68600.86000.0150000000000000000000000
Purchases Of Investments -3.5660000000000000-0.1840000000000000
Sales Maturities Of Investments 0000000000000000000000000000
Other Investing Activites -3.56603.8920.2062.6732.6580.0070.0480.030.0171.5011.022-1.20-0.27603.8670.9754.7250.2970.0760.149-0.0880.631-0.006-30.310.25
Investing Cash Flow -469.556-128.256-55.736-0.2331.6351.635-0.179-0.401-0.541-3.994-0.823-7.573-10.374-3.758-1.48-14.868-3.146-4.4132.167-0.877-0.063-2.89-9.409-8.937-1.869-6.1-2.123-1.34
Financing Activities:
Debt Repayment -294.594-9-46.5-0.053-0.142-0.042-2.854-2.376-4.234-10.305-13.606-20.133-0.188-0.532-0.142-0.2050000000000-0.0510
Common Stock Issued 00500002.6990000000000.0560.1582.4218.9190.253.987.8326.4263.9713.86.4030
Common Stock Repurchased -2.511-1.04-0.5140000000000000000-0.72300-0.50300000.37
Dividends Paid -27.706-25.066-19.777000000000000000-0.008-0.456-0.02-0.3650-0.258-0.08000
Other Financing Activities -2.509-1.9421.85400.1-2.9630.2893.8254.2987.7096.56618.6261.998-0.0350.1115.9611.50.01-6.701-6.538-0.352-0.3691.0914.7730.041.11.6181.88
Financing Cash Flow 264.379-37.048-14.937-0.053-0.042-0.0420.1341.4490.064-2.596-7.04-1.5071.81-0.567-0.0315.7561.5560.168-4.2871.202-0.1223.2478.41910.9413.9314.97.9692.25
Other Information:
Effect Of Forex Changes On Cash 037.04800000000000000000000000-0.100
Net Change In Cash 2.0184.98415.407-0.062.932.930.1090.0360.005-0.0190.023-0.037-0.073-0.2810.177-1.9821.8570.109-0.007-0.0450.129-0.209-1.2111.183-0.493-3.64.3050.14
Cash At End Of Period 15.31913.30117.0673.0553.1153.1150.1850.0760.040.0350.0540.0310.0680.1410.4220.2452.2270.370.2610.2680.3130.1840.3931.6040.4210.94.4510.15