Rapid-Line Inc.

OTCGREY:RPDL USA Education & Training Services
Market Cap
$1.85 Million
Market Cap Rank
#46116 Global
#14411 in USA
Share Price
$0.51
Change (1 day)
+0.00%
52-Week Range
$0.51 - $0.51
All Time High
$0.51
About

Rapid-Line Inc. manufactures metal components. Rapid-Line Inc. was founded in 1926 and is headquartered in Grand Rapids, Michigan. As of August 22, 2025, Rapid-Line Inc. operates as a subsidiary of Nova Aura Limited.

Rapid-Line Inc. (RPDL) - Total Liabilities

Latest total liabilities as of July 2025: $26.15K USD

Based on the latest financial reports, Rapid-Line Inc. (RPDL) has total liabilities worth $26.15K USD as of July 2025.

Total liabilities represent everything the company owes to external parties, combining both current liabilities—like accounts payable, short-term debt, and accrued expenses—and non-current liabilities such as long-term debt, pension obligations, lease liabilities, and deferred tax liabilities.

Rapid-Line Inc. - Total Liabilities Trend (2022–2025)

This chart illustrates how Rapid-Line Inc.'s total liabilities have evolved over time, based on quarterly financial data. Explore and compare other companies by total liabilities.

Rapid-Line Inc. Competitors by Total Liabilities

The table below lists competitors of Rapid-Line Inc. ranked by their total liabilities.

Company Country Total Liabilities
Oncodesign Precision Medicine
PA:ALOPM
France €12.94 Million
Tattooed Chef Inc.
PINK:TTCFQ
USA $119.69 Million
HUABAO INTL
MU:CEY2
Germany €1.73 Billion
INDAH KIAT PULP
MU:IKP
Germany €5.14 Billion

Liability Composition Analysis (2022–2025)

This chart breaks down Rapid-Line Inc.'s total liabilities into key components over time: long-term debt, short-term debt, other current liabilities, and other non-current liabilities. Toggle between absolute values and percentage view to see how the composition has shifted.

Liquidity & Leverage Metrics

Key Metrics Explained

Metric Value Description
Current Ratio 0.00 Measures ability to pay short-term obligations (Current Assets ÷ Current Liabilities)
Quick Ratio N/A More stringent measure of short-term liquidity ((Current Assets - Inventory) ÷ Current Liabilities)
Cash Ratio N/A Most conservative liquidity measure (Cash & Equivalents ÷ Current Liabilities)
Debt to Equity 11.57 Measures financial leverage (Total Liabilities ÷ Shareholder Equity)
Debt to Assets 0.92 Portion of assets financed with debt (Total Liabilities ÷ Total Assets)

Liability Trends Comparison

This chart compares key liability metrics across different time periods, showing how Rapid-Line Inc.'s debt structure has evolved. The comparison includes total liabilities, long-term debt, and current liabilities.

Annual Total Liabilities for Rapid-Line Inc. (2022–2025)

The table below shows the annual total liabilities of Rapid-Line Inc. from 2022 to 2025.

Year Total Liabilities Change
2025-01-31 $100.37K +45.41%
2024-01-31 $69.02K +17.94%
2023-01-31 $58.52K +42.12%
2022-01-31 $41.18K --