RAAC

Revolution Acceleration Acquisition Corp RAAC

Trading inactive

Finances

Revenue
Net income
Income before tax
Income before tax ratio
EBITDA
Net income ratio
Ratio EBITDA
Gross profit ratio
Weighted average shs out dil
Weighted average shs out
EPS diluted
Earnings per share
Gross profit
Income tax expense
Cost of revenue
General and administrative expenses
Selling and marketing expenses
Other expenses
Operating expenses
Cost and expenses
Research and development expenses
Selling general and administrative expenses
Interest income
Interest expense
Depreciation and amortization
Operating income
Operating income ratio
Total other income expenses net
2020
Net debt -780.292 K
Total investments 0.000
Total debt 0.000
Accumulated other comprehensive income loss 0.000
Retained earnings -181.675 K
Common stock 273.852 M
Total equity 278.850 M
Other non current liabilities 10.063 M
Long term debt 0.000
Total non current liabilities 10.063 M
Other current liabilities 106.477 K
Deferred revenue 0.000
Short term debt 0.000
Total current liabilities 106.477 K
Total liabilities 10.169 M
Other non current assets 287.491 M
Long term investments 0.000
Intangible assets 0.000
GoodWill 0.000
Goodwill and intangible assets 0.000
Property plant equipment net 0.000
Total non current assets 287.491 M
Other current assets 747.842 K
Short term investments 0.000
cash and cash equivalents 780.292 K
Cash and short term investments 780.292 K
Total current assets 1.528 M
Inventory 0.000
Net receivables 0.000
Tax assets 0.000
Other assets 0.000
Account payables 0.000
Tax payables 0.000
Deferred revenue non current 0.000
Minority interest 0.000
Capital lease obligations 0.000
Preferred stock 0.000
Other total stockholders equity 5.181 M
Deferred tax liabilities non current 0.000
Other liabilities 0.000
Total assets 289.019 M
2020
Deferred income tax
Stock based compensation
Change in working capital
Accounts receivables
Inventory
Accounts payables
Other working capital
Other non cash items
Net cash provided by operating activities
Investments in property plant and equipment
Acquisitions net
Purchases of investments
Sales maturities of investments
Other investing activites
Net cash used for investing activites
Debt repayment
Common stock issued
Common stock repurchased
Dividends paid
Other financing activites
Net cash used provided by financing activities
Effect of forex changes on cash
Net change in cash
Cash at beginning of period
Cash at end of period
Operating cash flow
Capital expenditure
Free CashFlow
2021-06-30 2021-03-31
Revenue 0.000 0.000
Net income -1.552 M 83.88 % -9.627 M
Income before tax -1.552 M 83.88 % -9.627 M
Income before tax ratio 0.00 0.00
EBITDA -1.158 M 87.98 % -9.627 M
Net income ratio 0.00 0.00
Ratio EBITDA 0.00 0.00
Gross profit ratio 0.00 0.00
Weighted average shs out dil 38.333 M 0.00 % 38.333 M
Weighted average shs out 13.235 M 0.00 % 13.235 M
EPS diluted -0.04 83.80 % -0.25
Earnings per share -0.12 83.56 % -0.73
Gross profit 0.000 0.000
Income tax expense 0.000 0.000
Cost of revenue 0.000 0.000
General and administrative expenses 0.000 -100.00 % 3.328 M
Selling and marketing expenses 0.000 0.000
Other expenses -1.158 M 0.000
Operating expenses -1.158 M -134.78 % 3.328 M
Cost and expenses -1.158 M -134.78 % 3.328 M
Research and development expenses 0.000 0.000
Selling general and administrative expenses 0.000 -100.00 % 3.328 M
Interest income 0.000 0.000
Interest expense 0.000 0.000
Depreciation and amortization -394.461 K 93.74 % -6.299 M
Operating income -1.158 M 65.22 % -3.328 M
Operating income ratio 0.00 0.00
Total other income expenses net -394.461 K 93.74 % -6.299 M
2021-06-30 2021-03-31
2021-06-30 2021-03-31
Net debt -123.871 K -165.25 % -46.700 K
Total investments 287.539 M 0.000
Total debt 0.000 0.000
Accumulated other comprehensive income loss 0.000 0.000
Retained earnings 0.000 100.00 % -11.279 M
Common stock 287.500 M 19.12 % 241.362 M
Total equity -42.691 M -117.33 % 246.361 M
Other non current liabilities 39.666 M 1.01 % 39.268 M
Long term debt 0.000 0.000
Total non current liabilities 39.666 M 1.01 % 39.268 M
Other current liabilities 3.553 M 38.71 % 2.562 M
Deferred revenue 0.000 0.000
Short term debt 0.000 0.000
Total current liabilities 3.553 M 38.71 % 2.562 M
Total liabilities 43.219 M 3.32 % 41.829 M
Other non current assets 287.539 M 0.00 % 287.535 M
Long term investments 0.000 0.000
Intangible assets 0.000 0.000
GoodWill 0.000 0.000
Goodwill and intangible assets 0.000 0.000
Property plant equipment net 0.000 0.000
Total non current assets 287.539 M 0.00 % 287.535 M
Other current assets 0.000 -100.00 % 608.532 K
Short term investments 287.539 M 0.000
cash and cash equivalents 123.871 K 165.25 % 46.700 K
Cash and short term investments 287.662 M 615 879.63 % 46.700 K
Total current assets 489.237 K -25.33 % 655.232 K
Inventory 0.000 0.000
Net receivables 0.000 0.000
Tax assets 0.000 0.000
Other assets 0.000 0.000
Account payables 0.000 0.000
Tax payables 0.000 0.000
Deferred revenue non current 0.000 0.000
Minority interest 0.000 0.000
Capital lease obligations 0.000 0.000
Preferred stock 0.000 0.000
Other total stockholders equity -330.192 M -2 128.52 % 16.277 M
Deferred tax liabilities non current 0.000 0.000
Other liabilities 0.000 0.000
Total assets 288.028 M -0.06 % 288.190 M
2021-06-30 2021-03-31
2021-06-30 2021-03-31
Deferred income tax 0.000 0.000
Stock based compensation 0.000 0.000
Change in working capital -3.719 M -241.98 % 2.620 M
Accounts receivables 0.000 0.000
Inventory 0.000 0.000
Accounts payables 2.947 M 0.000
Other working capital -6.666 M 0.000
Other non cash items 4.115 M -34.67 % 6.299 M
Net cash provided by operating activities -1.156 M -63.20 % -708.592 K
Investments in property plant and equipment 0.000 0.000
Acquisitions net 0.000 0.000
Purchases of investments 0.000 0.000
Sales maturities of investments 0.000 0.000
Other investing activites 0.000 0.000
Net cash used for investing activites 0.000 0.000
Debt repayment 0.000 0.000
Common stock issued 0.000 0.000
Common stock repurchased 0.000 0.000
Dividends paid 0.000 0.000
Other financing activites 500.000 K 2 100.00 % -25.000 K
Net cash used provided by financing activities 500.000 K 2 100.00 % -25.000 K
Effect of forex changes on cash 0.000 0.000
Net change in cash 77.171 K 110.52 % -733.592 K
Cash at beginning of period 46.700 K -94.02 % 780.292 K
Cash at end of period 123.871 K 165.25 % 46.700 K
Operating cash flow -1.156 M -63.20 % -708.592 K
Capital expenditure 0.000 0.000
Free CashFlow -1.156 M -63.20 % -708.592 K
2021 2021
Date Form 10K