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METCBRamaco Resources, Inc.
$9.35$798M
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HomeStocksMETCBQuarterly Cash Flow

Ramaco Resources, Inc. (METCB) Quarterly Cash Flow Statement

120+ quarters historyFree accessUpdated daily

Ramaco Resources, Inc. (METCB) quarterly cash flow statement — complete operating, investing & financing history

METCB Cash Flow Statement

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ1'26Q4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23
Cash from Operations-34.93M-18.37M-2.38M-4.26M26.04M15.68M37.38M34.41M25.19M41.56M69.9M28.22M
Operating CF Margin %-28.72%-14.35%-1.97%-2.79%19.34%9.18%22.33%22.16%14.59%20.5%37.39%20.53%
Operating CF Growth %-234.15%-217.13%-106.37%-112.38%3.38%-62.27%-46.52%21.97%17.91%42.96%41.21%-11.64%
Net Income-18.32M-14.71M-13.31M-13.97M-9.46M3.86M-239K5.54M2.03M30.04M19.46M7.56M
Depreciation & Amortization17.12M12.81M17.49M17.44M17.94M17.11M18.16M16.23M15.57M14.76M14.79M13.9M
Stock-Based Compensation04.72M0000000000
Deferred Taxes-5.84M-2.08M-3.3M-1.67M-4.67M1.45M-167K2.32M-1.93M8.67M3.43M4.47M
Other Non-Cash Items5.06M5.3M4.66M5.11M3.71M4.48M4.19M4.82M4.89M-1.87M434K1.84M
Working Capital Changes-32.95M-24.43M-7.92M-11.17M18.51M-11.22M15.43M5.5M4.62M-10.03M31.78M449K
Change in Receivables-11.98M-10.74M12.33M-3.82M21.46M-10.68M6.71M33.93M-6.67M-33.23M-4.66M12.13M
Change in Inventory-18.39M-5.58M-22.26M-3.19M-12.77M9.69M-655K-11.12M-4.12M13.08M17.18M-16.45M
Change in Payables12.9M-6.39M-11.14M-2.32M9.81M-7.41M7.97M-11.69M6.3M5.3M6.22M-872K
Cash from Investing-16.69M-27.52M-18.85M-14.1M-22.26M-12.73M-18.12M-21.32M-18.66M-14.45M-13.93M-21.47M
Capital Expenditures-17.5M-15.17M-20M-15.15M-20.31M-10.92M-17.79M-21.41M-18.73M-17.98M-16.91M-24.47M
CapEx % of Revenue14.39%11.85%16.53%9.9%15.09%6.39%10.62%13.78%10.85%8.87%9.04%17.8%
Acquisitions00000260K000-608K00
Investments------------
Other Investing805K-12.36M1.16M1.05M-1.94M-2.07M-334K87K65K4.14M2.98M3M
Cash from Financing-33.52M292.4M186.94M3.02M6.67M7.19M-23.97M-16.03M-17.98M-28.12M-46.92M-9.48M
Debt Issued (Net)-1.79M330.01M-988K6.82M13.77M9.56M-8.12M-6.04M-5.99M-16.99M-38.99M2.71M
Equity Issued (Net)-11.93M0188.89M000534K00000
Dividends Paid000-1.86M-2.48M-128K-7.97M-8.18M-8.32M-7.77M-6.94M-5.55M
Share Repurchases-11.93M00000000000
Other Financing-19.8M-37.61M-956K-1.94M-4.62M-2.24M-8.41M-1.8M-3.67M-3.35M-991K-6.63M
Net Change in Cash-85.14M246.51M165.72M-15.34M10.46M10.14M-4.71M-2.93M-11.46M-1.06M9.04M-2.73M
Free Cash Flow-52.43M-46.22M-22.38M-19.41M5.73M4.76M19.6M13.01M6.46M23.58M52.99M3.75M
FCF Margin %-43.11%-36.1%-18.5%-12.69%4.25%2.79%11.71%8.38%3.74%11.63%28.34%2.73%
FCF Growth %-1015.58%-1070.92%-214.23%-249.19%-11.33%-79.81%-63.02%247.28%395.7%1022.17%344.51%275.62%
FCF per Share-1.05-0.93-0.45-0.390.120.090.380.250.130.451.030.09
FCF Conversion (FCF/Net Income)1.91x1.25x0.18x0.30x-2.75x4.06x-156.41x6.21x12.40x1.38x3.59x3.73x
Interest Paid000000000000
Taxes Paid000000000000