RPGRY Dividend: REA Group Ltd Yield Insights
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RPGRY
REA Group Ltd (RPGRY) Price
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RPGRY Financial
REA Group Ltd
$35.77
5.39%
$1.83
$35.77
0%
$0
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Ask AI About RPGRY
Income
Balance sheet
Cash flow
Annual
Quarterly
RPGRY Income
Financials in millions USD. Fiscal year is February - January.
Breakdown
TTM
06/30/2025
06/30/2024
06/30/2023
06/30/2022
06/30/2021
Revenue
1,928
1,928
1,699
1,392
1,418
1,005
Revenue Growth (YoY)
13%
13%
22%
-2%
41%
14%
Cost of Revenue
322
322
247
209
258
77
Gross Profit
1,606
1,606
1,452
1,183
1,160
927
Selling, General & Admin
670
670
628
549
512
387
Research & Development
--
--
--
--
--
--
Operating Expenses
809
809
741
641
605
470
Other Non Operating Income (Expenses)
--
--
--
--
--
--
Pretax Income
911
911
511
512
547
468
Income Tax Expense
242
242
218
168
176
155
Net Income
677
677
302
356
384
322
Net Income Growth
124%
124%
-15%
-7%
19%
188%
Shares Outstanding (Diluted)
132.15
132.15
132.17
132.13
132.16
131.92
Shares Change (YoY)
0%
0%
0%
0%
0%
0%
EPS (Diluted)
5.12
5.12
2.29
2.69
2.91
2.44
EPS Growth
124%
124%
-15%
-7%
19%
187%
Free Cash Flow
536
536
464
355
397
249
Free Cash Flow Per Share
4.05
4.05
3.51
2.68
3
1.88
Gross Margin
83.29%
83.29%
85.46%
84.98%
81.8%
92.23%
Operating Margin
41.28%
41.28%
41.84%
38.86%
39.06%
45.47%
Profit Margin
35.11%
35.11%
17.77%
25.57%
27.08%
32.03%
Free Cash Flow Margin
27.8%
27.8%
27.31%
25.5%
27.99%
24.77%
EBITDA
935
935
824
632
647
539
EBITDA Margin
48.49%
48.49%
48.49%
45.4%
45.62%
53.63%
D&A For EBITDA
139
139
113
91
93
82
EBIT
796
796
711
541
554
457
EBIT Margin
41.28%
41.28%
41.84%
38.86%
39.06%
45.47%
Effective Tax Rate
26.56%
26.56%
42.66%
32.81%
32.17%
33.11%
Follow-Up Questions
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