Rego Payment Architectures, Inc.

OTC:RPMT

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

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

2023202220212020201920182017201620152014201320122011201020092008
Operating Activities:
Net Income -0.017-16.344-11.051-14.573-3.191-5.971-4.344-4.821-7.661-9.655-15.976-12.04-2.725-1.489-2.236-0.984
Depreciation & Amortization 00.0380.0310.0290.0290.030.0410.0440.1140.10.0570.0250.0050.0010.0010.001
Deferred Income Tax -13.143-3.99-5.351-1.199-0.5592.7010.25700.143000.0030000
Stock Based Compensation 0.0143.995.3511.1990.5590.1940.0750.4720.3421.4721.6341.2350000
Change In Working Capital -0.0056.1470.599-0.311.1621.5411.030.8851.351-1.6190.8110.9650.2870.0040.0180.128
Accounts Receivables 00000.002-0.002000.001-0.007-0.0010.002-0.003000
Inventory 0000-0.7790.393000.519-0.3670-6.4680000
Accounts Payables 0.9290.8460.6920.2640.7790.951.08900.819-1.3201.119000.0630
Other Working Capital -0.0055.301-0.093-0.5741.160.2-0.0590.8850.0120.0740.8126.3120.290.004-0.0450
Other Non Cash Items 0.0013.8985.36812.6630.760.20.2441.8410.093-3.6711.6473.3780.2770.5851.3290.385
Operating Cash Flow -0.007-6.261-5.053-2.19-1.24-1.305-2.696-2.05-5.619-14.845-13.462-6.433-2.156-0.899-0.889-0.47
Investing Activities:
Investments In Property Plant And Equipment -0.011-0.011-0.082-0.0030-0.002-0.0090-0.041-0.356-0.448-0.4-0.082-0.0070-0.006
Acquisitions Net 0000000000000000
Purchases Of Investments 0000000000000000
Sales Maturities Of Investments 0000000000000000
Other Investing Activites -0-0.011-0.082-0.0030-0.002-0.0090-0.034-0.192-0.406-0.2970000
Investing Cash Flow -0-0.011-0.082-0.0030-0.002-0.0090-0.041-0.356-0.448-0.4-0.082-0.0070-0.006
Financing Activities:
Debt Repayment 00.24.722.0371.6591.0612.661.362.9401-0.1750.350.07500
Common Stock Issued 7.4590.4562.6190.18800.250.0750013.4146.07114.1970.51.9250.60.504
Common Stock Repurchased 0-0.2-1.8860.9000003.4530000-0.0650
Dividends Paid -2.136-1.287-0.733-1.087-1.087-1.07-1.0730-1.081-0.718000000
Other Financing Activities 9.59512.8122.1031.0871.0871.571.0730.7262.10715.6697.293-0.00400.4360.2050.1
Financing Cash Flow 0.00711.7255.4152.0371.6591.3112.662.0863.96614.9518.29314.0180.852.4360.8050.604
Other Information:
Effect Of Forex Changes On Cash 000000000.0590.15-0.00200000.476
Net Change In Cash 05.4530.28-0.1570.4190.004-0.0450.036-1.636-0.1-5.6197.185-1.3881.53-0.0840.604
Cash At End Of Period 0.0066.0060.5530.2730.430.0110.0070.0530.0171.6521.7527.3710.1861.5740.0450.128