RANGE RESOURCES CORP
About RANGE RESOURCES CORP
Range Resources is an exploration and production firm whose operations represent a pure play in the Marcellus shale, located in the Appalachian region of Southwest Pennsylvania. The company went public as Lomak Petroleum in 1980 and later reorganized as Range Resources in 1998. After an expensive 10-year venture with a multi-basin strategy, Range Resources found its identity as an Appalachian natural gas producer, offloading its Permian assets in 2013. Range quickly became a leading US gas producer after its merger with Memorial Resource Development in 2016. Following the merger, Range saw its operational unit costs rise to an uncompetitive level and subsequently sold the assets in 2020 to return to its roots as an Appalachian producer.
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Financial summary
- Revenue FY2025
- $3.0B
- Net income
- $658.0M
- Total assets
- $7.4B
- Market cap
- $9.2B
- Gross margin
- 94.0%
- Operating margin
- 26.7%
- Net margin
- 21.1%
Source: SEC EDGAR · updated Jun 7, 2026
Revenue & profit trend
Financial statements
Income statement
- Revenue
- $3.1B
- Cost of revenue
- $185.6M
- Gross profit
- $2.9B
- Operating expenses
- $2.1B
- Operating income
- $831.7M
- Income tax
- $173.7M
- Net income
- $658.0M
- EPS (basic)
- $2.76
- EPS (diluted)
- $2.74
Balance sheet
- Total assets
- $7.4B
- Current assets
- $444.5M
- Total liabilities
- $3.1B
- Current liabilities
- $661.2M
- Shareholders’ equity
- $4.3B
Cash flow
- Operating cash flow
- $1.2B
- Investing cash flow
- -$641.4M
- Financing cash flow
- -$834.2M
- Net cash flow
- -$304.3M
Statements via Polygon.io (SEC filings)
15-minute delayed · data by Polygon.io
Past year
52-week range
- Market cap
- $9.2B
- P/E ratio
- 14.3
- EPS (diluted)
- $2.74
- Dividend yield
- 1.02%
- Shares outstanding
- 235.6M
- Open
- —
- Day range
- –
- Prev close
- —
- Volume
- —
- IPO date
- Apr 10, 1990
Market data by Polygon.io · prices are 15-minute delayed
At a glance
- Profitable — net income of $658.0M in FY2025.
- Revenue grew 6% from FY2021 to FY2025.
- Gross margin of 94.0%, net margin 21.1%.
- Trading 18% below its 52-week high.
- Pays a dividend yielding about 1.02% annually.
- Valued at a price-to-earnings (P/E) ratio of 14.3.
Automatically generated from public filings and market data. Informational only — not investment advice or a recommendation to buy or sell any security.
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