RDPEF Dividend: Redefine Properties Ltd Yield Insights
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RDPEF
Redefine Properties Ltd (RDPEF) Price
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RDPEF Financial
Redefine Properties Ltd
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Income
Balance sheet
Cash flow
Annual
Quarterly
RDPEF Income
Financials in millions USD. Fiscal year is February - January.
Breakdown
TTM
08/31/2024
08/31/2023
08/31/2022
08/31/2021
08/31/2020
Revenue
10,835
10,655
9,908
8,243
7,157
8,456
Revenue Growth (YoY)
5%
8%
20%
15%
-15%
-4%
Cost of Revenue
4,394
4,301
4,003
3,368
2,981
2,817
Gross Profit
6,440
6,354
5,905
4,875
4,175
5,638
Selling, General & Admin
657
671
648
225
365
815
Research & Development
--
--
--
--
--
--
Operating Expenses
646
622
527
66
400
1,540
Other Non Operating Income (Expenses)
--
--
--
--
--
--
Pretax Income
4,576
4,071
1,590
8,742
3,663
-16,241
Income Tax Expense
144
69
129
8
849
-13
Net Income
4,371
3,969
1,446
8,690
2,731
-16,628
Net Income Growth
151%
174%
-83%
218%
-115.99%
-598%
Shares Outstanding (Diluted)
6,915.37
6,780.2
6,772.09
6,159.79
5,442.17
5,432.19
Shares Change (YoY)
2%
0%
10%
13%
0%
0%
EPS (Diluted)
0.64
0.58
0.21
1.41
0.5
-3.06
EPS Growth
149%
174%
-85%
183%
-115.99%
-597%
Free Cash Flow
3,583
2,904
2,580
3,611
2,264
2,654
Free Cash Flow Per Share
0.51
0.42
0.38
0.58
0.41
0.48
Gross Margin
59.43%
59.63%
59.59%
59.14%
58.33%
66.67%
Operating Margin
53.46%
53.79%
54.26%
58.32%
52.74%
48.45%
Profit Margin
40.34%
37.25%
14.59%
105.42%
38.15%
-196.64%
Free Cash Flow Margin
33.06%
27.25%
26.03%
43.8%
31.63%
31.38%
EBITDA
--
5,758
5,399
4,827
3,818
4,429
EBITDA Margin
--
54.04%
54.49%
58.55%
53.34%
52.37%
D&A For EBITDA
--
26
22
19
43
332
EBIT
5,793
5,732
5,377
4,808
3,775
4,097
EBIT Margin
53.46%
53.79%
54.26%
58.32%
52.74%
48.45%
Effective Tax Rate
3.14%
1.69%
8.11%
0.09%
23.17%
0.08%
Follow-Up Questions
Redefine Properties Ltdの主要な財務諸表は何ですか?
RDPEFの主要な財務比率は何ですか?
Redefine Properties Ltdの収益はセグメントまたは地域別にどのように分けられていますか?
Redefine Properties Ltdは収益を上げていますか?
Redefine Properties Ltdに負債はありますか?
Redefine Properties Ltdの発行済株式数は何株ですか?