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Rackspace Technology, Inc. (RXT) 10-Year Financial Performance & Capital Metrics

RXT • • Industrial / General
TechnologyInfrastructure SoftwareCloud Infrastructure & Data ManagementCloud Computing & Development Platforms
AboutRackspace Technology, Inc. operates as a multi cloud technology services company worldwide. It operates through Multicloud Services and Apps & Cross Platform segments. The company's Multicloud Services segment provides public and private cloud managed services, which allow customers to determine, manage, and optimize the right infrastructure, platforms, and services; and professional services related to designing and building multi cloud solutions and cloud-native applications. Its Apps & Cross Platform segment includes managed applications; managed security services in the areas of security threat assessment and prevention, threat detection and response, rapid remediation, governance, and risk and compliance assistance across multiple cloud platforms, as well as privacy and data protection services, including detailed access restrictions and reporting; data services; and professional services related to designing and implementing application, security, and data services. Rackspace Technology, Inc. was founded in 1998 and is headquartered in San Antonio, Texas.Show more
  • Revenue $2.74B -7.4%
  • EBITDA -$546M -19.6%
  • Net Income -$858M -2.4%
  • EPS (Diluted) -3.82 +1.8%
  • Gross Margin 19.49% -11.2%
  • EBITDA Margin -19.95% -29.2%
  • Operating Margin -33.21% -9.2%
  • Net Margin -31.35% -10.7%
  • ROE -
  • ROIC -26.41% -42.6%
  • Debt/Equity -
  • Interest Coverage -9.28 -128.6%
Technical Analysis

Key Insights

Based on financial data analysis

✓Strengths

No significant strengths identified

✗Weaknesses

  • ✗Weak Piotroski F-Score: 3/9
  • ✗Negative free cash flow
  • ✗Weak momentum: RS Rating 15 (bottom 15%)
  • ✗Trading more than 30% below 52-week high

* These insights are generated automatically based on available financial data. Please conduct your own research before making investment decisions.

Price & Volume

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Growth Metrics

Revenue CAGR

10Y-
5Y2.34%
3Y-3.11%
TTM-2.98%

Profit (Net Income) CAGR

10Y-
5Y-
3Y-
TTM67.82%

EPS CAGR

10Y-
5Y-
3Y-
TTM69.34%

ROCE

10Y Avg-9.33%
5Y Avg-13.68%
3Y Avg-22.93%
Latest-32.56%

Peer Comparison

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GDDYGoDaddy Inc.14.51B107.3516.647.5%17.01%9.03%8.69%5.63

Profit & Loss

Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Sales/Revenue+2.45B2.44B2.71B3.01B3.12B2.96B2.74B
Revenue Growth %--0.01%0.11%0.11%0.04%-0.05%-0.07%
Cost of Goods Sold+1.45B1.43B1.72B2.07B2.27B2.31B2.2B
COGS % of Revenue0.59%0.59%0.64%0.69%0.73%0.78%0.81%
Gross Profit+1.01B1.01B984.4M936.8M856.9M648.6M533.4M
Gross Margin %0.41%0.41%0.36%0.31%0.27%0.22%0.19%
Gross Profit Growth %-0%-0.03%-0.05%-0.09%-0.24%-0.18%
Operating Expenses+949.3M909.6M959.7M939.3M1.54B1.55B1.44B
OpEx % of Revenue0.39%0.37%0.35%0.31%0.49%0.52%0.53%
Selling, General & Admin949.3M911.7M959.7M906.8M855.3M660M707.6M
SG&A % of Revenue0.39%0.37%0.35%0.3%0.27%0.22%0.26%
Research & Development74.7M036.7M0043.7M0
R&D % of Revenue0.03%-0.01%--0.01%-
Other Operating Expenses12.7M-2.1M-36.7M32.5M680.6M844.3M734.9M
Operating Income+70.5M101.6M24.7M-2.5M-679M-899.4M-909.1M
Operating Margin %0.03%0.04%0.01%-0%-0.22%-0.3%-0.33%
Operating Income Growth %-0.44%-0.76%-1.1%-270.6%-0.32%-0.01%
EBITDA+681.5M668.1M561.6M488.2M-231.5M-456.5M-546.1M
EBITDA Margin %0.28%0.27%0.21%0.16%-0.07%-0.15%-0.2%
EBITDA Growth %--0.02%-0.16%-0.13%-1.47%-0.97%-0.2%
D&A (Non-Cash Add-back)611M566.5M536.9M490.7M447.5M442.9M363M
EBIT-219.4M207.6M-57.8M-44M-689.2M-592.8M-783.5M
Net Interest Income+-281.1M-329.9M-268.4M-205.1M-208.5M-221.6M-98M
Interest Income0000000
Interest Expense281.1M329.9M268.4M205.1M208.5M221.6M98M
Other Income/Expense-263.3M-223.9M-336.7M-246.6M-218.7M45M27.6M
Pretax Income+-500.5M-122.3M-312M-249.1M-897.7M-854.4M-881.5M
Pretax Margin %-0.2%-0.05%-0.12%-0.08%-0.29%-0.29%-0.32%
Income Tax+-29.9M-20M-66.2M-30.8M-92.9M-16.6M-23.3M
Effective Tax Rate %0.94%0.84%0.79%0.88%0.9%0.98%0.97%
Net Income+-470.6M-102.3M-245.8M-218.3M-804.8M-837.8M-858.2M
Net Margin %-0.19%-0.04%-0.09%-0.07%-0.26%-0.28%-0.31%
Net Income Growth %-0.78%-1.4%0.11%-2.69%-0.04%-0.02%
Net Income (Continuing)-470.6M-102.3M-245.8M-218.3M-804.8M-837.8M-858.2M
Discontinued Operations0000000
Minority Interest0000000
EPS (Diluted)+-28.70-6.24-1.37-1.05-3.81-3.89-3.82
EPS Growth %-0.78%0.78%0.23%-2.63%-0.02%0.02%
EPS (Basic)-28.70-6.24-1.37-1.05-3.81-3.89-3.82
Diluted Shares Outstanding16.4M16.4M179.6M208M211.2M215.3M224.8M
Basic Shares Outstanding16.4M16.4M179.6M208M211.2M215.3M224.8M
Dividend Payout Ratio-------

Balance Sheet

Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Total Current Assets+614.3M543.7M758.5M989.5M1.07B738.1M618.8M
Cash & Short-Term Investments254.3M83.8M104.7M272.8M228.4M196.8M144M
Cash Only254.3M83.8M104.7M272.8M228.4M196.8M144M
Short-Term Investments0000000
Accounts Receivable260.5M350.3M483M554.3M622.2M339.7M298.8M
Days Sales Outstanding38.7652.4465.1267.2372.7441.9339.85
Inventory55M000000
Days Inventory Outstanding13.89------
Other Current Assets44.5M33.4M47M52.4M125.3M114.2M91.1M
Total Non-Current Assets+5.5B5.73B5.62B5.34B4.38B3.36B2.44B
Property, Plant & Equipment927M1.04B1.06B988.5M766.3M735.1M735.6M
Fixed Asset Turnover2.65x2.35x2.56x3.04x4.07x4.02x3.72x
Goodwill2.47B2.75B2.76B2.71B2.16B1.45B735.7M
Intangible Assets1.93B1.82B1.65B1.47B1.24B1.02B844.7M
Long-Term Investments22.6M000000
Other Non-Current Assets164.5M129.4M156.2M177.4M226.1M151.6M119.3M
Total Assets+6.11B6.27B6.38B6.33B5.46B4.1B3.05B
Asset Turnover0.40x0.39x0.42x0.48x0.57x0.72x0.90x
Asset Growth %-0.03%0.02%-0.01%-0.14%-0.25%-0.25%
Total Current Liabilities+565.5M671.9M742.2M837.4M856.5M799.5M766.6M
Accounts Payable233.5M260.4M285.4M369.5M447.3M432.7M389.6M
Days Payables Outstanding58.9566.6160.4765.0772.0768.4164.53
Short-Term Debt34M29M43.4M23M23M23M29.2M
Deferred Revenue (Current)1000K1000K1000K1000K1000K1000K1000K
Other Current Liabilities68.3M178.7M158.5M145.7M130.6M108.7M130.8M
Current Ratio1.09x0.81x1.02x1.18x1.25x0.92x0.81x
Quick Ratio0.99x0.81x1.02x1.18x1.25x0.92x0.81x
Cash Conversion Cycle-6.3------
Total Non-Current Liabilities+4.64B4.7B4.25B4.16B3.97B3.45B3.29B
Long-Term Debt3.93B3.84B3.32B3.31B3.3B2.84B2.76B
Capital Lease Obligations294.3M344.9M476.3M459.9M395.3M382.6M370.9M
Deferred Tax Liabilities362.4M326.9M236.7M205.8M126.7M79.2M30.2M
Other Non-Current Liabilities50.8M185.6M219.6M187.3M153.3M149.8M134.2M
Total Liabilities5.2B5.37B4.99B5B4.83B4.25B4.06B
Total Debt+4.3B4.32B3.99B3.97B3.85B3.38B3.28B
Net Debt4.04B4.24B3.89B3.69B3.62B3.18B3.14B
Debt / Equity4.74x4.81x2.88x2.99x6.12x--
Debt / EBITDA6.31x6.47x7.11x8.13x---
Net Debt / EBITDA5.93x6.34x6.92x7.57x---
Interest Coverage0.25x0.31x0.09x-0.01x-3.26x-4.06x-9.28x
Total Equity+907.8M898.8M1.38B1.33B629.5M-154.5M-1B
Equity Growth %--0.01%0.54%-0.04%-0.53%-1.25%-5.5%
Book Value per Share55.3554.817.706.382.98-0.72-4.47
Total Shareholders' Equity907.8M898.8M1.38B1.33B629.5M-154.5M-1B
Common Stock1.6M1.6M2M2.1M2.2M2.2M2.3M
Retained Earnings-671.1M-717.5M-963.3M-1.18B-1.99B-2.82B-3.68B
Treasury Stock0000-31M-31M-31M
Accumulated OCI012M-18.6M6.9M71.4M60.3M24.1M
Minority Interest0000000

Cash Flow

Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Cash from Operations+429.8M292.9M116.7M370.8M259.3M374.9M39.9M
Operating CF Margin %0.18%0.12%0.04%0.12%0.08%0.13%0.01%
Operating CF Growth %--0.32%-0.6%2.18%-0.3%0.45%-0.89%
Net Income-470.6M-102.3M-245.8M-218.3M-804.8M-837.8M-858.2M
Depreciation & Amortization611M566.5M536.9M490.7M447.6M442.9M363M
Stock-Based Compensation20M30.2M74.5M75.4M69.5M65.4M63.4M
Deferred Taxes-24.6M-40.7M-73.6M-41.5M-108.8M-41.9M-35M
Other Non-Cash Items316.2M-21.7M109.8M94.5M722.7M521.2M568.9M
Working Capital Changes-22.2M-139.1M-285.1M-30M-66.9M225.1M-62.2M
Change in Receivables-32.3M-42.2M-156M-69.5M-82.4M275.1M20.5M
Change in Inventory00-116M-51.9M000
Change in Payables51.2M-32.7M-7.4M88.1M82.4M-44.2M-22.2M
Cash from Investing+-348.3M-386.5M-128.4M-69M-97.9M-96M-86.6M
Capital Expenditures-294.3M-198M-116.5M-108.4M-80.4M-96.9M-111.1M
CapEx % of Revenue0.12%0.08%0.04%0.04%0.03%0.03%0.04%
Acquisitions-------
Investments-------
Other Investing2.4M1.3M-3.3M8.1M5.2M900K7.6M
Cash from Financing+-53.7M-79.2M29.9M-132.2M-187M-312.8M-3M
Debt Issued (Net)-------
Equity Issued (Net)-------
Dividends Paid0000000
Share Repurchases-------
Other Financing3.2M-43.5M22.3M-12.9M-16.8M-40.2M-53.8M
Net Change in Cash-------
Free Cash Flow+135.5M94.9M200K262.4M178.9M278M-71.2M
FCF Margin %0.06%0.04%0%0.09%0.06%0.09%-0.03%
FCF Growth %--0.3%-1%1311%-0.32%0.55%-1.26%
FCF per Share8.265.790.001.260.851.29-0.32
FCF Conversion (FCF/Net Income)-0.91x-2.86x-0.47x-1.70x-0.32x-0.45x-0.05x
Interest Paid262.5M265.3M262.8M178.5M177.9M213.9M103.6M
Taxes Paid13.9M7.2M15.6M5.5M10.5M11.9M10.8M

Key Ratios

Metric2018201920202021202220232024
Return on Equity (ROE)-51.84%-11.33%-21.54%-16.1%-82.25%-352.76%-
Return on Invested Capital (ROIC)1.07%1.51%0.36%-0.04%-10.98%-18.52%-26.41%
Gross Margin41.06%41.47%36.36%31.13%27.44%21.93%19.49%
Net Margin-19.19%-4.2%-9.08%-7.25%-25.78%-28.33%-31.35%
Debt / Equity4.74x4.81x2.88x2.99x6.12x--
Interest Coverage0.25x0.31x0.09x-0.01x-3.26x-4.06x-9.28x
FCF Conversion-0.91x-2.86x-0.47x-1.70x-0.32x-0.45x-0.05x
Revenue Growth--0.6%11.03%11.17%3.75%-5.29%-7.44%

Revenue by Segment

20202021202220232024
Multi-Cloud Services2.14B2.45B2.57B--
Multi-Cloud Services Growth-14.36%5.14%--
Apps & Cross Platform336.6M377.6M396.9M--
Apps & Cross Platform Growth-12.18%5.11%--
OpenStack Public Cloud229M182.8M150.5M--
OpenStack Public Cloud Growth--20.17%-17.67%--

Revenue by Geography

20202021202220232024
Americas2.03B2.25B2.34B2.18B1.99B
Americas Growth-11.13%3.92%-6.85%-8.76%
UNITED STATES1.95B2.16B2.21B2.04B1.85B
UNITED STATES Growth-10.73%2.42%-7.86%-9.23%
EMEA585.2M632.9M626.6M620M620M
EMEA Growth-8.15%-1.00%-1.05%0.00%
Other Foreign Countries175.5M310.2M391.5M437M421.4M
Other Foreign Countries Growth-76.75%26.21%11.62%-3.57%
Asia Pacific94.1M123.2M154M155.7M126.7M
Asia Pacific Growth-30.92%25.00%1.10%-18.63%

Frequently Asked Questions

Growth & Financials

Rackspace Technology, Inc. (RXT) reported $2.69B in revenue for fiscal year 2024. This represents a 10% increase from $2.45B in 2018.

Rackspace Technology, Inc. (RXT) saw revenue decline by 7.4% over the past year.

Rackspace Technology, Inc. (RXT) reported a net loss of $249.1M for fiscal year 2024.

Dividend & Returns

Rackspace Technology, Inc. (RXT) generated $69.0M in free cash flow for fiscal year 2024. Positive FCF indicates the company can fund dividends, buybacks, or reinvestment.

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