REA Group Limited (RPGRY)
OTCMKTS · Delayed Price · Currency is USD
31.76
+0.79 (2.56%)
At close: Feb 11, 2026

REA Group Income Statement

Millions AUD. Fiscal year is Jul - Jun.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Jun '25 Jun '24 Jun '23 Jun '22 Jun '21
1,9571,8971,6771,3921,4191,005
Revenue Growth (YoY)
7.34%13.09%20.44%-1.84%41.09%14.01%
Cost of Revenue
729.3717648.6520.2558.9311.8
Gross Profit
1,2281,1801,028872.2859.6693.6
Selling, General & Admin
270.4275.9234.3235.8211.8153.7
Other Operating Expenses
-33.2-32-22.8---
Operating Expenses
380.9383.3325327.6304.9236.3
Operating Income
846.6796.2703.4544.6554.7457.3
Interest Expense
-6-10.7-26.3-17.5-8.2-6.5
Interest & Investment Income
17.413.7127.21.32.2
Earnings From Equity Investments
-25.7-31.5-31.6-18.4-21.912.6
Currency Exchange Gain (Loss)
------0.3
EBT Excluding Unusual Items
832.3767.7657.5515.9525.9465.3
Gain (Loss) on Sale of Investments
-0.7145.4-141.3---
Asset Writedown
-3.9-1.7-4.6-3--
Other Unusual Items
----223.1
Pretax Income
826.5911.4511.6512.9547.9468.4
Income Tax Expense
261.6242218.3168.2176.2155.4
Earnings From Continuing Operations
564.9669.4293.3344.7371.7313
Net Income to Company
564.9669.4293.3344.7371.7313
Minority Interest in Earnings
88.59.511.413.19.7
Net Income
572.9677.9302.8356.1384.8322.7
Net Income to Common
572.9677.9302.8356.1384.8322.7
Net Income Growth
-7.10%123.88%-14.97%-7.46%19.24%187.17%
Shares Outstanding (Basic)
132132132132132132
Shares Outstanding (Diluted)
132132132132132132
Shares Change (YoY)
-0.02%-0.01%0.03%-0.02%0.18%0.16%
EPS (Basic)
4.345.132.292.702.912.45
EPS (Diluted)
4.335.132.292.692.912.45
EPS Growth
-7.09%123.88%-14.99%-7.42%19.01%186.75%
Free Cash Flow
717.7669.1585.2465.2480318.7
Free Cash Flow Per Share
5.435.064.433.523.632.42
Dividend Per Share
2.6202.4801.8901.5801.6401.310
Dividend Growth
23.59%31.22%19.62%-3.66%25.19%19.09%
Gross Margin
62.73%62.19%61.32%62.64%60.60%68.99%
Operating Margin
43.27%41.98%41.94%39.11%39.11%45.48%
Profit Margin
29.28%35.74%18.06%25.57%27.13%32.10%
Free Cash Flow Margin
36.68%35.28%34.90%33.41%33.84%31.70%
EBITDA
862.8808.1713.9555.6569.4468.3
EBITDA Margin
44.09%42.61%42.57%39.90%40.14%46.58%
D&A For EBITDA
16.211.910.51114.711
EBIT
846.6796.2703.4544.6554.7457.3
EBIT Margin
43.27%41.98%41.94%39.11%39.11%45.48%
Effective Tax Rate
31.65%26.55%42.67%32.79%32.16%33.18%
Advertising Expenses
---19.621-
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.