Development
C
Repsol, S.A. REPYF
$15.84 $0.26421.70% OTC PK
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EPS (TTM)

12/31/2023 09/30/2023 06/30/2023 03/31/2023 12/31/2022
Net Income -72.25% 343.15% -71.89% 13.42% 52.77%
Total Depreciation and Amortization -1.09% -4.36% 5.02% -16.70% 20.65%
Total Amortization of Deferred Charges -- -- -- -- --
Total Other Non-Cash Items -347.94% 122.12% -171.54% 195.61% -186.64%
Change in Net Operating Assets 238.70% -182.86% 295.05% -153.97% -4.62%
Cash from Operations 89.76% -32.20% 3.90% -30.43% -19.97%
Capital Expenditure -28.14% -3.24% -19.22% 37.69% -70.02%
Sale of Property, Plant, and Equipment 97.82% -66.67% 117.50% 834.67% -100.23%
Cash Acquisitions 137.64% 2.59% 83.46% -1,456.87% -111.62%
Divestitures 46,191.70% -85.72% -96.12% -- -100.00%
Other Investing Activities -722.77% 83.01% 62.07% 23.76% -665.72%
Cash from Investing 0.76% 12.35% 33.20% 11.26% -874.42%
Total Debt Issued -14.06% 17.24% -14.36% -20.63% -19.24%
Total Debt Repaid -16.05% -4.14% 39.57% -16.88% 10.71%
Issuance of Common Stock 3,414.29% -97.13% 48,600.00% -99.41% --
Repurchase of Common Stock -78.89% 27.49% -176.95% 75.65% -98.41%
Issuance of Preferred Stock -- -- -- -- --
Repurchase of Preferred Stock -- -- -- -- --
Total Dividends Paid 92.90% -1,492.75% 93.99% -1,451.41% 93.11%
Other Financing Activities 125.17% -4.86% -109.76% 1,437.50% -90.72%
Cash from Financing -2.90% -83.83% 3.63% 34.22% -401.82%
Foreign Exchange rate Adjustments -205.09% 219.98% 153.75% 103.47% -217.98%
Miscellaneous Cash Flow Adjustments -- -- -- -- --
Net Change in Cash 90.00% -326.33% 76.26% -3.24% -132.73%