RAMP Financial Analysis
Quarterly
FY2025Q3 | FY2025Q2 | FY2025Q1 | FY2024Q4 | FY2024Q3 | FY2024Q2 | FY2024Q1 | FY2023Q4 | FY2023Q3 | FY2023Q2 | FY2023Q1 | FY2022Q4 | FY2022Q3 | FY2022Q2 | FY2022Q1 | FY2021Q4 | FY2021Q3 | FY2021Q2 | FY2021Q1 | FY2020Q4 | FY2020Q3 | FY2020Q2 | FY2020Q1 | |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Net Cash Flow from Operating Activities | 45.12M 172.51% | 55.60M 55.45% | -9.33M -136.31% | 27.64M -9.85% | 16.56M 4.98% | 35.76M 67.32% | 25.69M -177.00% | 30.67M -47.98% | 15.77M -38.09% | 21.38M 96.08% | -33.37M 93.54% | 58.94M -429.54% | 25.47M 73.40% | 10.90M 74.44% | -17.24M -26.98% | -17.89M 8030.45% | 14.69M -7.05% | 6.25M -121.73% | -23.61M 53.25% | -220.00K | 15.80M | -28.75M | -15.41M |
Funds from Operations | 40.70M 19.46% | 35.97M 31.85% | 25.60M 61.18% | 23.33M 4.60% | 34.07M 128.66% | 27.28M 85.23% | 15.88M 304.41% | 22.31M 809.01% | 14.90M -7.96% | 14.73M -22.91% | 3.93M -68.71% | 2.45M -86.92% | 16.19M -19.02% | 19.11M 115.96% | 12.55M 261.57% | 18.76M 9.04% | 19.99M 144.95% | 8.85M -191.04% | 3.47M -125.56% | 17.20M | 8.16M | -9.72M | -13.58M |
Change in Working Capital | 4.42M -125.25% | 19.63M 131.36% | -34.93M -455.94% | 4.31M -48.44% | -17.51M -2108.03% | 8.48M 27.62% | 9.81M -126.31% | 8.36M -85.20% | 872.00K -90.61% | 6.65M -181.01% | -37.30M 25.19% | 56.49M -254.15% | 9.29M -275.27% | -8.21M 215.82% | -29.79M 10.00% | -36.65M 110.32% | -5.30M -169.31% | -2.60M -86.35% | -27.08M 1380.75% | -17.42M | 7.64M | -19.03M | -1.83M |
Net Cash Flow from Investing Activities | -1.24M -43.96% | 22.75M 3321.65% | -593.00K 7.23% | -171.58M 605.92% | -2.21M 225.63% | 665.00K -129.26% | -553.00K -68.24% | -24.31M 129.06% | -679.00K -78.38% | -2.27M 159.47% | -1.74M -107.84% | -10.61M -83.19% | -3.14M -83.32% | -876.00K -80.25% | 22.21M -1581.32% | -63.14M 5896.20% | -18.82M 578.69% | -4.44M -95.69% | -1.50M -84.00% | -1.05M | -2.77M | -103.01M | -9.37M |
Capital Expenditures - Net | 282.00K -87.25% | 241.00K 20.50% | 226.00K 326.42% | 1.79M 1638.83% | 2.21M 1135.20% | 200.00K -92.52% | 53.00K -96.96% | 103.00K -94.52% | 179.00K -86.40% | 2.67M 205.14% | 1.74M 307.73% | 1.88M 400.00% | 1.32M 94.10% | 876.00K 195.95% | 427.00K -48.68% | 376.00K -64.29% | 678.00K -75.55% | 296.00K -86.06% | 832.00K -82.98% | 1.05M | 2.77M | 2.12M | 4.89M |
Acquisition & Disposal of Business Sold/(Acquired) | -1.95M | 0.00 | 0.00 | -170.28M | 0.00 | 0.00 | 0.00 | 0.00 -100.00% | 0.00 -100.00% | 0.00 | 0.00 -100.00% | -8.73M -85.01% | -2.01M -86.45% | 0.00 -100.00% | -8.37M | -58.26M | -14.82M | -2.93M -97.09% | 0.00 -100.00% | 0.00 | 0.00 | -100.89M | -4.48M |
Investments - Associated Co & JVs - Sold/(Purchased) | -1,000K | 0.00 | -400.00K | 0.00 | 0.00 -100.00% | 0.00 | 0.00 | 0.00 | -500.00K | 0.00 | 0.00 | 0.00 -100.00% | 0.00 -100.00% | 0.00 -100.00% | 0.00 -100.00% | -4.50M | -1.13M | -1.21M | -667.00K | 0.00 | 0.00 | 0.00 | 0.00 |
Net Cash Flow from Financing Activities | -9.36M 5.15% | -50.60M 220.32% | -16.47M -11.11% | -15.90M 7327.57% | -8.90M -81.84% | -15.80M -61.23% | -18.52M -66.95% | -214.00K -97.80% | -49.01M 896.87% | -40.74M 168.34% | -56.05M 50.84% | -9.72M 1938.57% | -4.92M -430.38% | -15.18M 909.57% | -37.16M -13.59% | -477.00K -99.28% | 1.49M -106.32% | -1.50M -98.15% | -43.00M 38.13% | -66.14M | -23.55M | -81.16M | -31.13M |
Stock - Total - Issuance/(Retirement) - Net | -7.79M -6.70% | -49.71M 228.76% | -9.62M -34.26% | -15.18M -379500.00% | -8.35M -82.68% | -15.12M -62.23% | -14.63M -73.62% | 4.00K -100.04% | -48.24M 1388.03% | -40.04M 185.91% | -55.46M 115.01% | -9.31M -15368.85% | -3.24M -163.38% | -14.00M -677.68% | -25.80M -37.35% | 61.00K -100.10% | 5.12M -126.36% | 2.42M -103.06% | -41.18M 116.27% | -59.67M | -19.40M | -79.34M | -19.04M |
Debt - LT & ST - Issuance/(Retirement) | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 |
Net Change in Cash | 35.79M 428.08% | 28.56M 33.50% | -26.46M -518.29% | -159.48M -1558.79% | 6.78M -121.12% | 21.40M -194.46% | 6.33M -106.88% | 10.93M -71.58% | -32.09M -284.73% | -22.65M 316.86% | -91.91M 187.82% | 38.47M -147.08% | 17.37M -925.13% | -5.43M -782.66% | -31.93M -52.98% | -81.71M 65.45% | -2.11M -79.45% | 796.00K -100.37% | -67.92M 21.29% | -49.39M | -10.24M | -213.22M | -56.00M |
Free Cash Flow | 44.84M 212.55% | 55.36M 55.65% | -9.55M -137.26% | 25.85M -15.41% | 14.35M -7.99% | 35.56M 90.16% | 25.64M -173.03% | 30.56M -46.44% | 15.59M -35.46% | 18.70M 86.55% | -35.11M 98.72% | 57.06M -412.46% | 24.16M 72.40% | 10.03M 68.40% | -17.67M -27.72% | -18.26M 1021.12% | 14.01M 7.53% | 5.95M -118.96% | -24.44M 20.44% | -1.63M | 13.03M | -31.39M | -20.30M |
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What is RAMP's PE Ratio in 2025/4/4?
RAMP's PE ratio in April 4, 2025 is -666.03. This indicates the price investors are willing to pay for $1 of earnings.
What is RAMP's PS Ratio in 2025/4/4?
RAMP's PS ratio in April 4, 2025 is 2.28. This indicates how much investors are willing to pay for each dollar of the company's sales.
What is RAMP's Dividend Yield in 2025/Q3?
RAMP's Dividend Yield in 2025/Q3 is 0.00%. This represents the return on investment from dividends relative to the stock price.
What is RAMP's Gross Margin in 2025/Q3?
RAMP's Gross Margin in 2025/Q3 is 71.86. Gross Margin is typically calculated as (Revenue - Cost of Goods Sold) / Revenue and is a key indicator of a company's financial health and efficiency in managing production costs.
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