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Financial Statements — RXT

Balance Sheet

(in billions USD)
MetricQ2 2026Q1 2026Q3 2025Q2 2025Q1 2025Q3 2024Q2 2024Q1 2024Q3 2023Q2 2023Q1 2023Q3 2022Q2 2022Q1 2022Q3 2021Q2 2021Q1 2021
Cash & Equivalents0.110.090.100.100.130.160.190.280.280.160.170.250.260.270.260.210.20
Accounts Receivable0.280.270.270.250.270.310.320.300.350.540.570.590.580.580.530.500.49
Total Current Assets0.560.540.540.550.580.650.700.790.850.910.971.031.011.010.950.890.85
Property, Plant & Equipment0.570.590.590.590.590.620.610.620.610.640.650.710.760.790.860.890.87
Goodwill0.740.740.740.740.740.740.880.881.451.621.612.272.692.712.762.772.76
Intangible Assets0.500.530.590.630.670.740.780.820.900.940.981.061.131.171.261.301.35
Total Non-current Assets*2.192.232.302.352.382.502.702.733.443.753.794.655.195.305.445.535.57
Total Assets2.752.772.852.892.973.153.393.524.284.664.755.696.216.316.396.416.42
Accounts Payable0.390.410.420.390.390.410.400.410.420.400.380.410.390.390.370.320.32
Total Current Liabilities0.740.790.770.720.730.770.770.750.820.780.790.830.820.820.850.790.76
Long-term Debt2.792.712.772.802.792.812.872.993.063.203.293.323.333.333.343.343.40
Total Non-current Liabilities*3.293.203.273.303.303.333.383.553.643.863.944.054.094.154.174.244.28
Total Liabilities4.033.984.034.014.044.104.154.304.464.634.734.874.914.975.025.035.04
Retained Earnings(3.97)(3.90)(3.88)(3.81)(3.75)(3.63)(3.44)(3.46)(2.85)(2.63)(2.60)(1.77)(1.26)(1.22)(1.10)(1.06)(1.03)
Total Stockholder Equity(1.28)(1.22)(1.19)(1.12)(1.07)(0.95)(0.76)(0.79)(0.18)0.030.020.821.301.341.371.381.38

* Derived from reported values

Income Statement

(in millions USD) (except per-share rows)
MetricQ2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022Q3 2022Q2 2022Q1 2022Q4 2021Q3 2021
Total Revenue670.10678.10682.80671.20666.30665.40685.60675.80684.90690.80719.70732.40746.30758.70787.00787.60772.20775.50777.30762.50
Cost of Revenue555.30559.00562.40541.30537.10538.50553.90538.30553.50558.00565.60580.40593.20589.10587.20580.50548.20549.50543.00530.80
Gross Profit114.80119.10120.40129.90129.20126.90131.70137.50131.40132.80154.10152.00153.10169.60199.80207.10224.00226.00234.30231.70
Selling, General & Admin148.00136.90123.70163.80154.30165.30160.50169.50185.20192.40165.50177.30216.90207.50210.30219.90220.00205.10208.60234.60
Total Operating Expenses148.00136.90123.70163.80154.30165.30160.50311.20185.20785.60169.30391.40216.90750.60427.00683.80220.00205.10261.00234.60
Operating Income(33.20)(17.80)(3.30)(33.90)(25.10)(38.40)(28.80)(173.70)(53.80)(652.80)(15.20)(239.40)(63.80)(581.00)(227.20)(476.70)4.0020.90(26.70)(2.90)
Interest Expense------------------43.7050.9056.5057.3056.9055.6052.3050.5050.1050.5051.50
Pretax Income(65.70)8.20(29.60)(59.00)(49.90)(63.30)(56.70)(174.60)(4.90)(645.30)37.50(243.10)(25.90)(622.90)(277.10)(535.10)(52.60)(32.90)(76.50)(54.30)
Tax Provision1.80(0.10)3.108.104.608.20(0.70)12.00(29.90)(4.70)9.50(16.50)1.30(10.90)(63.10)(23.40)(12.00)5.606.40(19.50)
Net Income(67.50)8.30(32.70)(67.10)(54.50)(71.50)(56.00)(186.60)25.00(640.60)28.00(226.60)(27.20)(612.00)(214.00)(511.70)(40.60)(38.50)(82.90)(34.80)
Basic EPS(0.27)0.03(0.13)(0.28)(0.23)(0.31)(0.20)(0.82)0.11(2.91)0.16(1.05)(0.13)(2.87)(1.01)(2.43)(0.19)(0.18)(0.40)(0.17)
Diluted EPS(0.27)0.03(0.13)(0.28)(0.23)(0.31)(0.20)(0.82)0.11(2.91)0.16(1.05)(0.13)(2.87)(1.01)(2.43)(0.19)(0.18)(0.40)(0.17)

Cash Flow Statement

(in millions USD)
MetricQ2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022Q3 2022Q2 2022Q1 2022Q4 2021Q3 2021
Operating Cash Flow(31.50)5.1059.7070.708.4012.6054.3051.8024.10(90.30)72.20266.8037.80(1.90)27.5070.7084.0064.5059.60102.30
Capital Expenditures16.8014.503.7028.0020.808.3019.9024.5038.6028.1033.9027.5023.4012.1015.0019.0027.2019.2021.2021.20
Free Cash Flow*(48.30)(9.40)56.0042.70(12.40)4.3034.4027.30(14.50)(118.40)38.30239.3014.40(14.00)12.5051.7056.8045.3038.4081.10
Investing Cash Flow(19.70)(11.50)(3.00)(25.50)(21.10)(8.80)(17.70)(19.40)(38.40)(11.10)(33.70)(27.40)(23.20)(11.70)(14.40)(32.90)(24.70)(25.90)(16.80)(20.50)
Financing Cash Flow68.30(4.10)(50.00)(48.90)(15.10)(20.60)(46.00)(67.40)(77.80)188.20(121.40)(120.60)(29.50)(41.30)(38.20)(44.40)(63.60)(40.80)(30.60)(34.80)

* Derived from reported values