Rapid Fire Marketing Inc. | Balance Sheet
Fiscal year is January-December. All values USD Thousands.
2010
2011
2012
2013
2014
Cash & Short Term Investments
70.00
3.30
1.70
2.40
4.40
Total Accounts Receivable
-
-
4.00
16.70
52.20
Inventories
-
8.00
359.70
234.80
144.40
Other Current Assets
-
-
182.90
-
22.50
Total Current Assets
70.00
11.40
548.30
253.90
223.50
Net Property, Plant & Equipment
227.20
305.40
-
-
-
Long-Term Note Receivable
-
11.60
1,450.00
1,116.00
5,516.00
Total Assets
297.30
328.40
1,998.30
1,369.90
5,739.50
ST Debt & Current Portion LT Debt
-
70.40
14.00
23.50
290.10
Accounts Payable
-
-
105.70
179.50
119.80
Other Current Liabilities
-
-
0.00
126.10
551.10
Total Current Liabilities
-
70.40
119.70
329.20
961.00
Total Liabilities
-
70.40
119.70
329.20
961.00
Common Equity (Total)
286.00
253.60
1,867.80
1,016.90
4,759.70
Total Shareholders' Equity
297.30
258.00
1,878.60
1,040.70
4,778.50
Total Equity
297.30
258.00
1,878.60
1,040.70
4,778.50
Liabilities & Shareholders' Equity
297.30
328.40
1,998.30
1,369.90
5,739.50
Preferred Stock (Carrying Value)
11.20
4.30
10.80
23.80
18.80
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