Rainmaker Worldwide Quick Ratio (RAKR) starting from the third quarter 2025 to third quarter 2024, Financial Strength Trends, Rankings, Financial Ratios - CSIMarket
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Rainmaker Worldwide Inc.  (OTC: RAKR)

Rainmaker Worldwide's Quick Ratio

RAKR's quarterly Quick Ratio and Cash & cash equivalent, Current Liabilities growth




Within Nonalcoholic Beverages industry Rainmaker Worldwide Inc. booked the highest Quick Ratio than Rainmaker Worldwide in the third quarter 2025. While total ranking remained the same in the Q3 2025 compared to the second quarter 2025 at no. .

Explain Quick Ratio?
How much Cash & cash equivalents RAKR´s has?
What are RAKR´s Current Liabilities?




RAKR Quick Ratio (Sep 30 2025)
Q3
(Jun 30 2025)
Q2
(Mar 31 2025)
Q1
(Dec 31 2024)
Q4
(Sep 30 2024)
Q3
Y / Y Current Liabilities Change 62.66 % -16.92 % -49.72 % -85.38 % -88.72 %
Y / Y Cash & cash equivalent Change - - - 0 % -
Quick Ratio MRQ - - - 0 -
RAKR's Total Ranking # # # # #
Seq. Current Liabilities Change 40.42 % 31.73 % -37.93 % 41.67 % -28.28 %
Seq. Cash & cash equivalent Change - - - - -



Quick Ratio third quarter 2025 Company Ranking
Within: No.
Nonalcoholic Beverages Industry #
Consumer Non Cyclical Sector #
Overall Market #


Quick Ratio Statistics
High Average Low
0 0 0
 




Financial Statements
Rainmaker Worldwide's Current Liabilities $ 1 Millions Visit RAKR's Balance sheet
Rainmaker Worldwide's Cash & cash equivalent $ 0 Millions Visit RAKR's Balance sheet
Source of RAKR's Sales Visit RAKR's Sales by Geography


Cumulative Rainmaker Worldwide's Quick Ratio

RAKR's Quick Ratio for the trailling 12 Months

RAKR Quick Ratio

(Sep 30 2025)
12 Months
(Jun 30 2025)
12 Months
(Mar 31 2025)
12 Months
(Dec 31 2024)
12 Months
(Sep 30 2024)
12 Months
Y / Y Current Liabilities TTM Growth -63.28 % -79.47 % -84.2 % -85.13 % -63.11 %
Y / Y Cash & cash equivalent TTM Growth -80 % -88.89 % -99.13 % -98.59 % -98.82 %
Quick Ratio TTM 0 0 0 0 0
Total Ranking TTM # 3725 # 3792 # 3852 # 4503 # 4002
Seq. Current Liabilities TTM Growth 14.07 % -5.03 % -15.64 % -59.82 % -36.24 %
Seq. Cash & cash equivalent TTM Growth 0 % -66.67 % -40 % 0 % -44.44 %


On the trailing twelve months basis In Spite of the unchanged in Current Liabilities in the Q3 2025 to $0.77 millions, cumulative Quick Ratio