RANGE RESOURCES CORPRRC

Market cap
$8.5B
P/E ratio
Dec 31,
2012
Dec 31,
2013
Dec 31,
2014
Dec 31,
2015
Dec 31,
2016
Dec 31,
2017
Dec 31,
2018
Dec 31,
2019
Dec 31,
2020
Dec 31,
2021
Dec 31,
2022
Dec 31,
2023
Dec 31,
2024
Cash and cash equivalents0000001102140212304
Accounts Receivable, after Allowance for Credit Loss, Current167180189124242349491273253472481275302
Contingent consideration receivable---------30258-
Derivative assets1384363282135988137236134184
Prepaid assets-----------1813
Other current assets-------18---1618
Total current assets328248570439282429602428290737540870721
Derivative assets16940700511739411023
Natural gas and oil properties, successful efforts method8,1129,03310,5688,99612,38613,21613,08510,2149,75110,17610,65611,22511,878
Accumulated depletion and depreciation2,0162,2742,5902,6353,1303,6504,0624,1734,0644,4214,7655,1085,457
Natural gas and oil properties, successful efforts method, net6,0966,7587,9786,3619,2569,5679,0236,0415,6875,7555,8906,1186,422
Other property and equipment--1281101131141121028075757373
Accumulated depreciation and amortization7686909196100102977671727170
Other property and equipment, net42333819171510543222
Operating lease right-of-use assets-------6264418424120
Other assets11512112173737768757686688980
Total assets6,7297,2998,7476,90011,28211,7299,7086,6126,1376,6616,6267,2047,348
Accounts payable235258397117229344227155132178207110133
Asset retirement obligations251515765275521
Accrued liabilities139162188188266318476356348421443302289
Deferred compensation liabilities----------894422
Accrued interest36444030354442395576393737
Derivative liabilities426-11654441327163151010
Operating lease liabilities------------87
Divestiture contract obligation---------9391878787
Long-Term Debt, Current Maturities--------45218--608
Total current liabilities4554967553527037557555677071,1521,0215831,274
Senior notes---7382,8492,8522,8562,6602,3302,7081,8321,7741,090
Deferred tax liabilities--------135118334561541
Derivative liabilities30-024103110815010
Deferred compensation liabilities1882481791051191016864811371007365
Operating lease liabilities-------414325211636
Asset retirement obligations and other liabilities---25531128631925991102113120137
Divestiture contract obligation---------392325304311257
Total liabilities4,3714,8855,2894,1405,8745,9555,6494,2654,4994,5753,7503,4383,411
Commitments and contingencies-------------
Preferred Stock, Value, Issued-------------
Common Stock, Value, Issued2222222333333
Common stock held in treasury, at cost, 26,766,065 shares at December 31, 2024 and 24,716,065 shares at December 31, 2023543211073030430449514
Additional paid-in capital--2,4002,4435,5245,5785,6285,6605,6845,7205,7655,8805,928
Accumulated other comprehensive income846----1-1-1-0-0011
Retained deficit3614511,058318-117196-1,570-3,307-4,019-3,607-2,462-1,669-1,481
Total stockholders' equity2,3572,4143,4572,7605,4085,7744,0592,3471,6382,0862,8763,7663,937
Total liabilities and stockholders' equity6,7297,2998,7476,90011,28211,7299,7086,6126,1376,6616,6267,2047,348