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REA Group Limited

RPGRFPNK
Communication Services
Internet Content & Information
$153.63
$0.00(0.00%)

REA Group Limited (RPGRF) Financial Performance & Income Statement Overview

Access detailed quarterly and annual financial reports for REA Group Limited (RPGRF), covering cash flow, earnings, and balance sheets.

Revenue Growth
20.44%
20.44%
Operating Income Growth
25.52%
25.52%
Net Income Growth
-14.97%
14.97%
Operating Cash Flow Growth
24.69%
24.69%
Operating Margin
39.63%
39.63%
Gross Margin
56.71%
56.71%
Net Profit Margin
18.06%
18.06%
ROE
20.10%
20.10%
ROIC
29.91%
29.91%

REA Group Limited (RPGRF) Income Statement & Financial Overview

Access detailed annual and quarterly income data for REA Group Limited RPGRF financial performance.

MetricQ2 2025Q4 2024Q2 2024Q4 2023
Revenue$983.10M$829.50M$847.50M$659.50M
Cost of Revenue$348.30M$307.10M$418.90M$354.10M
Gross Profit$634.80M$522.40M$428.60M$305.40M
Gross Profit Ratio$0.65$0.63$0.51$0.46
R&D Expenses$0.00$0.00$0.00$0.00
SG&A Expenses$140.40M$162.20M$41.00M$63.20M
Operating Expenses$58.80M$245.40M$41.00M$63.20M
Total Costs & Expenses$407.10M$552.50M$459.90M$417.30M
Interest Income$0.00$6.30M$5.70M$4.20M
Interest Expense$0.00$11.30M$15.00M$9.00M
Depreciation & Amortization$65.10M-$43.50M$54.00M$45.80M
EBITDA$510.60M$280.00M$441.60M$288.00M
EBITDA Ratio$0.52$0.34$0.52$0.44
Operating Income$576.00M$277.00M$387.60M$242.20M
Operating Income Ratio$0.59$0.33$0.46$0.37
Other Income/Expenses (Net)$17.00M-$5.00M-$134.60M-$20.50M
Income Before Tax$593.00M$272.00M$253.00M$230.70M
Income Before Tax Ratio$0.60$0.33$0.30$0.35
Income Tax Expense$135.60M$101.30M$117.00M$71.90M
Net Income$441.30M$175.40M$127.40M$154.50M
Net Income Ratio$0.45$0.21$0.15$0.23
EPS$3.34$1.33$0.96$1.17
Diluted EPS$3.34$1.33$0.96$1.17
Weighted Avg Shares Outstanding$132.17M$132.02M$132.12M$132.12M
Weighted Avg Shares Outstanding (Diluted)$132.17M$132.18M$132.16M$132.16M

Over the last four quarters, REA Group Limited's revenue moved from $659.50M in Q4 2023 to $983.10M in Q2 2025. Operating income in Q2 2025 was $576.00M, with a strong operating margin of 59%. Despite fluctuations in R&D and SG&A expenses, EBITDA for REA Group Limited remained robust at $510.60M, reflecting operational efficiency. Net income rose to $441.30M, with an EPS of $3.34. Disciplined expense management helped sustain profitability, highlighting solid overall financial performance.

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