Reliability Incorporated

OTC:RLBY

0.066 (USD) • At close November 16, 2023
Overview | Financials

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989198819861985
Operating Activities:
Net Income -0.74-0.7397.893-0.7890.195-0.033-0.029-0.03-0.03-0.04-0.021-0.027-0.024-0.032-0.024-0.236-1.9930.222-3.484-4.913-6.539-5.089-4.3471.051-1.34.28.14.84.12.62.4-3-4.2-3.70.11.1-1.1-0.6
Depreciation & Amortization 0.0180.0320.0720.0790.0250.0250.022000000000000.4240.8220.8261.0572.2592.2452.51.91.61.41.21.11.31.82.42.62.72.42.12.2
Deferred Income Tax 000.6880-0.344-0.166000000000000-0.053-0.019-0.0480.091-0.353-0.0960.30.30.2-0.1-0.2-0.20-0.1-0.100000
Stock Based Compensation 00000000000000000000000000000000000000
Change In Working Capital 4.022-0.488-0.62-1.1160.1470.008-0.0020.0020.004-0.0230.0240.00100.003-0.0380.022-0.1030.0590.144-0.5322.865-3.8782.392-1.45-2.84.2-11.6-40.20.7-2.71.900000
Accounts Receivables 4.5531.343-2.030.159-0.548-1.133-0.3870000000000000.421-0.184.376-3.826000000000000000
Inventory 001.146-0.9580.3330000000000000.0170.0830.019-0.066-0.0850.2620.221-0.52.8-1.2-0.3-20.13.3-2.1-0.200000
Accounts Payables -0.149-0.5070.27-0.1510.258.291-2.2851.924.364-23.04624.2081.4750-0.038-0.038-0.011000-0.0740.307-0.6080.513000000000000000
Other Working Capital -0.382-1.324-0.006-0.1660.112-8.2832.283-1.918-4.3623.023-24.184-1.47400.04100.03300.0420.061-0.8982.804-7.5615.443-1.671-2.31.40.21.9-20.1-2.6-0.62.100000
Other Non Cash Items -0.284-0.232-4.84-0.244-0.0250.010.0090.00700-0.010-0.024000.1271.711-1.8250.4580.8841.132.2280.5720.6960.10.40.10.2-0.10.20.82.30.11.1-2.8-3.5-1-1.6
Operating Cash Flow 3.016-1.4272.505-2.070.001-0.015-0.022-0.021-0.026-0.063-0.007-0.026-0.024-0.029-0.062-0.087-0.385-1.544-2.511-3.758-1.766-5.5910.5232.446-0.4119.28.91.23.95.2-1.51-1.12.83.511.6
Investing Activities:
Investments In Property Plant And Equipment -0.009-0.009-0.007-0.05-0.04100000000000-0.0010-0.002-0.006-0.267-0.637-1.596-1.65-0.8-1.9-3-1.8-8.3-0.8-0.5-1.4-0.700000
Acquisitions Net 00000.0020.0030000000000-0.78700-0.075-0.51400000000000000000
Purchases Of Investments 00000000000000000000.6250-0.109-0.109-0.061-0.90000000000000
Sales Maturities Of Investments 000000000000000000.20800.0020.05900000000000000000
Other Investing Activites 00000.0020.0030000000000.09804.4080.082-0.6250.8250.1210.0020.0370.60.500.10.10.1000.100000
Investing Cash Flow -0.009-0.009-0.007-0.05-0.0390.0030000000000.098-0.7884.6160.08-0.0790.103-0.625-1.703-1.674-1.1-1.4-3-1.7-8.2-0.7-0.5-1.4-0.600000
Financing Activities:
Debt Repayment -2.412-1.673-2.09-3.362-0.794-0.082-1.167-0.0400-0.014000000000000000000000000000
Common Stock Issued 0000000000.050.10.0190.0210.010.040000000.0090.0090.2160.10.5100000000000
Common Stock Repurchased 0000000000-0.100000000000-0.814-0.2800-8.300000000000
Dividends Paid 00000000000000000000000000000000000000
Other Financing Activities 0.0343.312-0.4545.2771.0780.01500.0400.050.0210.0030.005000-0.053-2.5561.55610-0.814-0.280-0.8-1.6-0.2-0.22.6-0.1-2.420.100000
Financing Cash Flow -2.4121.639-2.5441.9150.2840.0151.1670.0400.10.0070.0220.0260.010.040-0.053-2.5561.55610-0.805-0.805-0.064-0.7-1.1-7.5-0.22.6-0.1-2.420.100000
Other Information:
Effect Of Forex Changes On Cash 00000000000000000000.03100.031-0.0160.0220.1-9.6-6.2-7.27-3.20.22.9000000
Net Change In Cash 0.5950.203-0.046-0.2050.2460-0.0220.019-0.0260.037-0-0.0040.002-0.019-0.0220.011-1.2260.516-0.875-2.837-1.663-6.185-2.0010.73-2.1-1.1-7.5-0.22.6-0.12.520.5-1.12.83.511.6
Cash At End Of Period 0.8220.2270.0240.070.2750.0080.0080.030.0120.038000.0040.0020.0210.0430.0321.2580.7421.6174.4546.11712.30214.30313.6611.48.62.82.93.21.4-1.12.83.511.6