RANGE IMPACT, INC. (RNGE)

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CIK 0001438943 · OTC · Heavy Construction Other Than Bldg Const - Contractors

  • Sector Construction
  • Incorporated NV
  • Fiscal year ends Dec 31

In fiscal 2025, RANGE IMPACT, INC. reported revenue of $3.71M, down 58.8% from the prior year. The company was profitable, with a net margin of 516.5%. It held $123.24M in total assets against $85.45M in total liabilities.

Key ratios (FY2025)

-46.9%
Operating margin
516.5%
Net margin
89.3%
Return on equity
-58.8%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$3.71M$9.01M$19.35M$4.83M$258.3K$102.4K
Cost of Revenue$9.90M$13.11M$3.44M
Gross Profit-$884.1K$6.23M$1.39M$24.5K$55.1K$98.9K
Operating Income-$1.74M-$2.15M$2.21M-$1.10M-$2.34M-$3.69M-$4.57M-$4.40M-$3.47M-$2.74M
Net Income$19.17M-$9.80M$3.13M-$1.07M-$880.9K-$4.37M-$13.12M-$4.31M-$5.22M-$141.3K
EPS (Diluted)$0.18$-0.09$0.03$-0.02
Total Assets$123.24M$6.19M$23.79M$8.23M$50.9K$2.57M$6.08M$675.8K$1.18M$134.8K
Total Liabilities$85.45M$5.36M$14.22M$5.29M$432.6K$1.28M$1.05M$353.5K$800.7K$653.0K
Shareholders' Equity$21.46M$834.4K$9.57M$2.94M-$381.6K$1.28M$5.02M$322.3K$374.4K-$518.2K
Cash & Equivalents$2.11M$167.3K$2.18M$442.4K$38.3K$2.39M$5.98M$95.4K
Operating Cash Flow$123.0K-$1.59M$438.6K-$603.8K-$1.61M-$3.59M-$3.67M-$2.89M-$1.38M
Capital Expenditures$2.13M$5.81M
Shares Outstanding112.28M104.73M101.02M78.12M51.45M50.84M52.29M24.28M22.22M7.91M