Ring Energy Inc Quick Ratio (REI) starting from the second quarter 2026 to second quarter 2025, Financial Strength Trends, Rankings, Financial Ratios - CSIMarket
CSIMarket
 


Ring Energy Inc   (NYSEAMER: REI)
    Sector • Energy    Industry • Oil And Gas Production
   Industry • Oil And Gas Production
   Sector • Energy

Ring Energy Inc 's Quick Ratio

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


In the wake of the increase in Current Liabilities in the second quarter 2026, Quick Ratio fell to 0.01 below Ring Energy Inc average.

Within Oil And Gas Production industry 93 other companies have achieved higher Quick Ratio than Ring Energy Inc in second quarter 2026. While Quick Ratio total ranking in the second quarter 2026 has deteriorated compared to the prior quarter from 4334 to 4417.

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




REI Quick Ratio (Jun 30 2026)
Q2
(Mar 31 2026)
Q1
(Dec 31 2025)
Q4
(Sep 30 2025)
Q3
(Jun 30 2025)
Q2
Y / Y Current Liabilities Change 32.74 % 41.34 % -13.17 % 5.77 % 6.04 %
Y / Y Cash & cash equivalent Change - -5.47 % -51.62 % - -
Quick Ratio MRQ 0.01 0.01 0.01 0 -
REI's Total Ranking # 4417 # 4334 # 3376 # 3693 #
Seq. Current Liabilities Change 5.44 % 58.73 % -9.1 % -12.74 % 12.26 %
Seq. Cash & cash equivalent Change 9.3 % 15.25 % 214.71 % - -



Quick Ratio second quarter 2026 Company Ranking
Within: No.
Oil And Gas Production Industry # 94
Energy Sector # 130
Overall Market # 4417


Quick Ratio Statistics
High Average Low
783.86 23.72 0
(Dec 31 2011)   (Sep 30 2023)




Financial Statements
Ring Energy Inc 's Current Liabilities $ 155 Millions Visit REI's Balance sheet
Ring Energy Inc 's Cash & cash equivalent $ 1 Millions Visit REI's Balance sheet
Source of REI's Sales Visit REI's Sales by Geography


Cumulative Ring Energy Inc 's Quick Ratio

REI's Quick Ratio for the trailling 12 Months

REI Quick Ratio

(Jun 30 2026)
12 Months
(Mar 31 2026)
12 Months
(Dec 31 2025)
12 Months
(Sep 30 2025)
12 Months
(Jun 30 2025)
12 Months
Y / Y Current Liabilities TTM Growth 17.16 % 9.87 % -3.47 % -1.56 % -13.88 %
Y / Y Cash & cash equivalent TTM Growth 13.5 % -46.2 % -48.19 % 14.13 % -0.76 %
Quick Ratio TTM 0.01 0 0.01 0.01 0.01
Total Ranking TTM # 4142 # 4146 # 2564 # 3026 #
Seq. Current Liabilities TTM Growth 8.34 % 10.35 % -3.27 % 1.31 % 1.59 %
Seq. Cash & cash equivalent TTM Growth 50.99 % -2.63 % -29.61 % 9.67 % -28.43 %


On the trailing twelve months basis REI Cash & cash equivalent improved by 9.3 % in Q2 2026 year on year, faster than Current Liabilities, this led to