BUSINESS SEGMENT INFORMATION | 6. BUSINESS SEGMENT INFORMATION RPC’s reportable segments are the same as its operating segments. RPC manages its business under Technical Services and Support Services. Technical Services is comprised of service lines that generate revenue based on equipment, personnel or materials at the well site and are closely aligned with completion and production activities of the customers. Support Services is comprised of service lines which generate revenue from services and tools offered off the well site and are more closely aligned with the customers’ drilling activities. Selected overhead including certain centralized support services and regulatory compliance are classified as Corporate. Technical Services consists primarily of pressure pumping, downhole tools, coiled tubing, snubbing, nitrogen, well control, wireline and fishing. The services offered under Technical Services are high capital and personnel intensive businesses. The Company considers all of these services to be closely integrated oil and gas well servicing businesses and makes resource allocation and performance assessment decisions based on this operating segment as a whole across these various services. Support Services consist primarily of drill pipe and related tools, pipe handling, pipe inspection and storage services, and oilfield training and consulting services. The demand for these services tends to be influenced primarily by customer drilling-related activity levels. The Company’s Chief Operating Decision Maker (“CODM”) assesses performance and makes resource allocation decisions regarding, among others, staffing, growth and maintenance capital expenditures and key initiatives based on the operating segments outlined above. Segment Revenues: RPC’s operating segment revenues by major service lines are shown in the following table: Three months ended Six months ended June 30, June 30, (in thousands) 2022 2021 2022 2021 Technical Services: Pressure Pumping $ 194,641 $ 72,179 $ 314,539 $ 147,079 Downhole Tools 89,927 58,853 170,997 115,230 Coiled Tubing 36,315 20,399 63,165 35,167 Nitrogen 10,789 8,039 18,392 19,199 Snubbing 7,025 3,105 13,237 6,937 All other 17,406 13,544 42,122 25,148 Total Technical Services $ 356,103 $ 176,119 $ 622,452 $ 348,760 Support Services: Rental Tools $ 14,314 $ 8,549 $ 27,377 $ 14,581 All other 5,090 4,089 10,302 8,026 Total Support Services $ 19,404 $ 12,638 $ 37,679 $ 22,607 Total revenues $ 375,507 $ 188,757 $ 660,131 $ 371,367 The following summarizes revenues for the United States and separately for all international locations combined for the three and six months ended June 30, 2022 and 2021. The revenues are presented based on the location of the use of the equipment or services. Assets related to international operations are less than 10 percent of RPC’s consolidated assets, and therefore are not presented. Three months ended Six months ended June 30, June 30, (in thousands) 2022 2021 2022 2021 United States revenues $ 368,824 $ 181,530 $ 644,169 $ 354,459 International revenues 6,683 7,227 15,962 16,908 Total revenues $ 375,507 $ 188,757 $ 660,131 $ 371,367 The accounting policies of the reportable segments are the same as those referenced in Note 1 to these consolidated financial statements. RPC evaluates the performance of its segments based on revenues, operating profits and return on invested capital. Gains or losses on disposition of assets are reviewed by the CODM on a consolidated basis, and accordingly the Company does not report gains or losses at the segment level. Inter-segment revenues are generally recorded in segment operating results at prices that management believes approximate prices for arm’s length transactions and are not material to operating results. Summarized financial information with respect RPC’s reportable segments for the three and six months ended June 30, 2022 and 2021 are shown in the following table: Three months ended Six months ended June 30, June 30, (in thousands) 2022 2021 2022 2021 Revenues: Technical Services $ 356,103 $ 176,119 $ 622,452 $ 348,760 Support Services 19,404 12,638 37,679 22,607 Total revenues $ 375,507 $ 188,757 $ 660,131 $ 371,367 Operating income (loss): Technical Services $ 59,827 $ 1,429 $ 81,638 $ (4,334) Support Services 3,334 (2,402) 6,114 (5,298) Corporate Expenses (4,544) (3,358) (9,054) (6,680) Gain on disposition of assets, net 1,798 3,111 4,752 4,571 Total operating income (loss) $ 60,415 $ (1,220) $ 83,450 $ (11,741) Interest expense (222) (103) (400) (483) Interest income 128 14 143 32 Other income, net 79 616 583 1,123 Income (loss) before income taxes $ 60,400 $ (693) $ 83,776 $ (11,069) As of and for the six months ended Technical Support June 30, 2022 Services Services Corporate Total (in thousands) Depreciation and amortization $ 34,682 $ 4,752 $ 126 $ 39,560 Capital expenditures 43,418 7,066 94 50,578 Identifiable assets 702,162 76,205 186,712 965,079 As of and for the six months ended Technical Support June 30, 2021 Services Services Corporate Total (in thousands) Depreciation and amortization $ 31,189 $ 4,344 $ 136 $ 35,669 Capital expenditures 21,295 4,347 233 25,875 Identifiable assets 485,058 73,815 231,333 790,206 |