ROP Financial Analysis

FY2025Q1FY2024Q4FY2024Q3FY2024Q2FY2024Q1FY2023Q4FY2023Q3FY2023Q2FY2023Q1FY2022Q4FY2022Q3FY2022Q2FY2022Q1FY2021Q4FY2021Q3FY2021Q2FY2021Q1FY2020Q4FY2020Q3FY2020Q2FY2020Q1
Net Cash Flow from Operating Activities
528.70M
-0.53%
722.20M
16.17%
755.40M
19.77%
384.10M
19.99%
531.50M
14.33%
621.70M
1002.30%
630.70M
187.73%
320.10M
-324.16%
464.90M
-1.88%
56.40M
-89.69%
219.20M
-34.41%
-142.80M
-133.56%
473.80M
-15.33%
546.90M
-4.75%
334.20M
142.35%
425.50M
-5.25%
559.60M
53.78%
574.20M
23.17%
137.90M
-65.91%
449.10M
49.30%
363.90M
Funds from Operations
674.80M
12.56%
612.30M
9.97%
585.60M
7.81%
395.80M
1.23%
599.50M
14.28%
556.80M
34.23%
543.20M
21.52%
391.00M
-292.99%
524.60M
5.49%
414.80M
-12.08%
447.00M
15.71%
-202.60M
-142.42%
497.30M
14.80%
471.80M
26.49%
386.30M
151.33%
477.60M
29.43%
433.20M
15.64%
373.00M
-9.90%
153.70M
-61.97%
369.00M
-3.83%
374.60M
Change in Working Capital
-146.10M
114.85%
109.90M
69.34%
169.80M
94.06%
-11.70M
-83.50%
-68.00M
13.90%
64.90M
-118.11%
87.50M
-138.41%
-70.90M
-218.56%
-59.70M
154.04%
-358.40M
-577.23%
-227.80M
337.24%
59.80M
-214.78%
-23.50M
-118.59%
75.10M
-62.67%
-52.10M
229.75%
-52.10M
-165.04%
126.40M
-1281.31%
201.20M
285.44%
-15.80M
-5366.67%
80.10M
-196.62%
-10.70M
Net Cash Flow from Investing Activities
-146.80M
-92.19%
59.70M
-150.77%
-1.64B
-16.22%
-8.80M
-62.55%
-1.88B
6909.70%
-117.60M
-89.80%
-1.96B
466.34%
-23.50M
-89.79%
-26.80M
-100.91%
-1.15B
1059.46%
-345.80M
2061.25%
-230.10M
599.39%
2.94B
27361.68%
-99.40M
-73.90%
-16.00M
-99.71%
-32.90M
-79.50%
10.70M
-162.94%
-380.90M
-142.90%
-5.52B
201.44%
-160.50M
-70.89%
-17.00M
Capital Expenditures - Net
21.90M
15.87%
38.40M
-7.47%
36.20M
62.33%
17.50M
-28.57%
18.90M
-4.06%
41.50M
125.54%
22.30M
-3.88%
24.50M
73.76%
19.70M
34.93%
18.40M
3.37%
23.20M
88.62%
14.10M
-12.96%
14.60M
-235.19%
17.80M
10.56%
12.30M
1.65%
16.20M
58.82%
-10.80M
-202.86%
16.10M
23.85%
12.10M
-29.24%
10.20M
-32.00%
10.50M
Acquisition & Disposal of Business Sold/(Acquired)
-124.90M
-93.28%
-148.80M
80.15%
-1.61B
-17.77%
400.00K
-103.64%
-1.86B
43125.58%
-82.60M
-92.72%
-1.95B
508.73%
-11.00M
-94.65%
-4.30M
-100.15%
-1.13B
1283.54%
-320.80M
8125.64%
-205.70M
1227.10%
2.95B
-2953100.00%
-82.00M
-77.53%
-3.90M
-99.93%
-15.50M
-89.69%
-100.00K
-98.46%
-364.90M
-140.50%
-5.50B
203.45%
-150.30M
-71.95%
-6.50M
Net Cash Flow from Financing Activities
-207.80M
-115.54%
-832.20M
38.06%
886.30M
394.86%
-321.50M
1279.83%
1.34B
-2646.48%
-602.80M
1057.01%
179.10M
-121.06%
-23.30M
-45.43%
-52.50M
-89.68%
-52.10M
-88.82%
-850.30M
109.12%
-42.70M
-89.03%
-508.80M
-6.68%
-465.90M
133.53%
-406.60M
-110.69%
-389.40M
-168.12%
-545.20M
1308.79%
-199.50M
-79.54%
3.80B
165.05%
571.60M
215.10%
-38.70M
Dividends Paid
88.60M
10.06%
80.80M
11.14%
80.50M
10.73%
80.10M
10.48%
80.50M
11.34%
72.70M
9.98%
72.70M
10.99%
72.50M
10.86%
72.30M
10.72%
66.10M
11.09%
65.50M
10.83%
65.40M
10.85%
65.30M
11.05%
59.50M
9.98%
59.10M
10.67%
59.00M
10.28%
58.80M
10.73%
54.10M
12.24%
53.40M
11.48%
53.50M
11.69%
53.10M
Stock - Total - Issuance/(Retirement) - Net
49.90M
81.45%
4.50M
-77.27%
16.40M
-60.67%
58.70M
18.83%
27.50M
38.89%
19.80M
42.45%
41.70M
117.19%
49.40M
115.72%
19.80M
-25.28%
13.90M
275.68%
19.20M
-13.90%
22.90M
-48.31%
26.50M
191.21%
3.70M
-175.51%
22.30M
-19.20%
44.30M
18.77%
9.10M
-38.93%
-4.90M
113.04%
27.60M
272.97%
37.30M
200.81%
14.90M
Debt - LT & ST - Issuance/(Retirement)
-125.00M
-108.99%
-800.00M
45.45%
975.00M
364.29%
-300.00M
1.39B
-550.00M
210.00M
-126.25%
0.00
0.00
-100.00%
0.00
-100.00%
-800.00M
116.22%
0.00
-100.00%
-470.00M
-5.05%
-410.00M
192.86%
-370.00M
-109.59%
-375.00M
-162.50%
-495.00M
-140.00M
-84.86%
3.86B
159.93%
600.00M
160.87%
0.00
Net Change in Cash
184.60M
-1261.01%
-81.40M
-4.46%
18.10M
-101.56%
53.10M
-81.12%
-15.90M
-104.09%
-85.20M
-92.27%
-1.16B
18.15%
281.20M
-178.46%
388.80M
-86.53%
-1.10B
110070.00%
-984.60M
-6797.96%
-358.40M
-5370.59%
2.89B
12613.66%
-1,000K
-116.13%
14.70M
-100.94%
6.80M
-99.22%
22.70M
-92.18%
6.20M
-98.40%
-1.57B
-71404.55%
871.00M
-1314.78%
290.10M
Free Cash Flow
506.80M
-1.13%
683.80M
17.86%
719.20M
18.21%
366.60M
24.02%
512.60M
15.14%
580.20M
1426.84%
608.40M
210.41%
295.60M
-288.40%
445.20M
-3.05%
38.00M
-92.82%
196.00M
-39.11%
-156.90M
-138.33%
459.20M
-15.48%
529.10M
-5.20%
321.90M
155.88%
409.30M
-6.74%
543.30M
53.74%
558.10M
23.15%
125.80M
-67.53%
438.90M
53.57%
353.40M

ROP FAQs

What is ROP's PE Ratio in 2025/5/2?

ROP's PE ratio in May 2, 2025 is 40.81. This indicates the price investors are willing to pay for $1 of earnings.

What is ROP's PS Ratio in 2025/5/2?

What is ROP's Dividend Yield in 2025/Q1?

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