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
Net income13116634-714-521333-1,746-1,716-7124121,183871266
Deferred income tax (benefit) expense1434397-339-281-251-30-506-25-18216228-24
Depletion, depreciation and amortization4454925791,1715676896581,644473365353350358
Abandonment and impairment of unproved properties125524748302705151,23519729468
Derivative fair value (income) loss41-62384416-261213-51227188-650-1,18982157
Cash settlements on derivative financial instruments--43-532-347-13132-188-3235201,190-254-432
Divestiture Contract Obligation--------500207010037
Allowance for bad debt100212---200,000-250,000-50,000
Other Operating Activities, Cash Flow Statement23242529753678855
Deferred and stock-based compensation---4-2075313025491101086854
Gain on the sale of assets49-286-407-724-11-30111701,000409,00000
(Gain) loss on early extinguishment of debt-11-12-25-22---514-0-6900
Accounts receivable49215-6521103142-214-252513-22320
Other current assets-------------4
Accounts payable14-14-1-26-2746-4-60-333917-77-0
Accrued liabilities and other----40-6513138-156-47-29-165-266-119
Net cash provided from operating activities647744----9916822697931,865978945
Additions to natural gas properties1,4991,1591,2001,0314661,149961687406393457572570
Additions to field service assets-------131112
Acreage purchases-------602724313456
Proceeds from disposal of assets--181891194723257852460110
Purchases of marketable securities held by the deferred compensation plan60363129378846191731444542
Proceeds from Sale and Maturity of Marketable Securities58312829408949222231415046
Net cash used in investing activities-1,529-983-----69539-184-418-490-602-624
Borrowings on credit facility1,7731,6842,1072,2712,2742,0412,0702,3112,0761,434972185-
Repayments on credit facility1,2211,9231,8842,8991,4871,7122,3382,7771,8512,136953204-
Issuance of senior notes-------------
Repayment of senior notes-----------6179
Dividends paid------2020--397777
Treasury stock purchases-------723-4001965
Debt issuance costs1312914608414916--
Taxes paid for shares withheld----473339253925
Change in cash overdrafts-163-371817-6-260169-24-1
Proceeds From Sale Of Common Stock Held By Deferred Compensation Plan---813410667,000696,0006227520
Net cash used in financing activities882240-----295-721-85-161-1,589-164-228
Increase (decrease) in cash and cash equivalents-------0-0214-21421293