Companies: 10,795·Total market cap: $144.5T
REA Group Limited

REA Group Limited

RPGRYOTCCommunication Services● Active
$27.58
+$0.04(+0.15%)
Market Cap$14.6B
P/E Ratio
52W High$55.54
52W Low$25.68

REA Group Limited (RPGRY) Free Cash Flow & Analysis

Annual & trailing free cash flow, FCF margin, YoY change, valuation ratios, and peer context.

RPGRY · free cash flow · updated Jun 8, 2026

Core FCF metrics

Free cash flow was $537.4M for FY2025 (fiscal year ending 2025-06-30), up 15.7% year-over-year The FCF margin was 27.9%. Five-year CAGR stands at +9.2%.

FY2025 Free Cash Flow$537.4M▲ +15.7% YoY
Trailing 12M (TTM)$1.35Btrailing 4 quarters sum
FCF Margin27.9%$537.4M ÷ revenue
3-Year CAGR+11.0%FY2022 → FY2025
5-Year CAGR+9.2%FY2020 → FY2025
FormulaFCF = Operating Cash Flow − Capital ExpendituresTTM = trailing 4 quarters sumCAGR → N/A if either endpoint ≤ 0
Source: FMP /cash-flow-statement · SEC 10-K / 10-Q · USDUpdated: Jun 8, 2026

Annual free cash flow history

Positive FCFNegative FCF
Free Cash Flow
YoY Growth %
rpgry free cash flow history · rpgry free cash flow chart · rpgry free cash flow growth rate · rpgry free cash flow last 10 years

Annual free cash flow data

Fiscal YearFree Cash FlowYoY ChangeFCF Margin
FY2025Latest$537.4M▲ +15.7%27.9%
FY2024$464.4M▲ +30.8%27.7%
FY2023$355.1M▼ 9.6%25.5%
FY2022$392.6M▲ +54.3%27.5%
FY2021$254.5M▼ 26.4%25.3%
FCF = Operating Cash Flow − Capital Expenditures · CapEx shown as (negative) · Source: SEC filings via FMP
rpgry free cash flow 2025 · rpgry free cash flow 2024 · rpgry free cash flow 2023 · rpgry operating cash flow

FCF valuation metrics

REA Group Limited (RPGRY) trades at a FCF yield of 3.45% and a price-to-free-cash-flow ratio of 10.8x. FCF per share stands at $2.55, calculated using trailing twelve-month FCF divided by basic weighted-average shares outstanding.

FCF Yield (TTM)
3.45%
Free Cash Flow ÷ Market Cap
per FMP freeCashFlowYieldTTM definition
FCF per Share (TTM)
$2.55
TTM FCF ÷ Shares Outstanding
Price / FCF
x10.8
Share Price ÷ FCF per Share
EV / FCF (TTM)
x28.6
Enterprise Value basis
Source: FMP /key-metrics-ttm · /cash-flow-statement Q · /income-statementFY2025 · 2025-06-30
rpgry price to free cash flow · rpgry free cash flow yield · rpgry free cash flow per share · rpgry price to cash flow ratio

Cash flow statement summary

For FY2025, REA Group Limited generated $675.4M in operating cash flow and spent 138M in capital expenditures, yielding $537.4M in free cash flow.

Operating Activities
+$675.4M
Cash from core business operations
2025-06-30
Investing Activities
+$71.1M
CapEx, acquisitions & investments
2025-06-30
Financing Activities
−$521.6M
Buybacks, dividends & debt
2025-06-30
FCF FormulaOperating CF ($675.4M) − |CapEx| (138M) = FCF ($537.4M)

For the complete Operating / Investing / Financing line-item breakdown:

View Full Cash Flow Statement
rpgry cash flow statement · rpgry cash flow statement 2025 · rpgry operating cash flow · rpgry cash flow from operations

Free cash flow vs peers (Communication Services)

#CompanyFree Cash FlowYoY
#1
REA Group Limited
REA Group LimitedYOU
RPGRY
$537.4M+15.7%
#2
Alphabet Inc.
Alphabet Inc.
GOOGL
$73.27B+0.7%
#3
Alphabet Inc.
Alphabet Inc.
GOOG
$73.27B+0.7%
#4
Meta Platforms, Inc.
Meta Platforms, Inc.
META
$46.11B-14.7%
#5
Verizon Communications, 5.9% 15 Feb 2054
Verizon Communications, 5.9% 15 Feb 2054
VZA
$19.68B+4.0%
#6
Netflix, Inc.
Netflix, Inc.
NFLX
$9.46B+36.7%
Communication Services · Sorted by FCF · FMP /cash-flow-statementFull FCF Rankings →

About Free Cash Flow & Methodology

REA Group Limited (RPGRY) reported free cash flow of $537.4M for FY2025 (fiscal year ending 2025-06-30), up 15.7% year-over-year. The FCF margin was 27.9%.

Based on available data, REA Group Limited has maintained positive free cash flow for at least 15 fiscal year(s). FCF peaked at $537.4M in FY2025. The 5-year CAGR stands at +9.2%.

REA Group Limited's FCF yield is 3.45% and price-to-FCF ratio is 10.8x for FY2025, based on the latest available data.

Data sourced from FMP /cash-flow-statement · SEC 10-K / 10-Q · USD.

Q&A and summaries align with SEC 10-K/10-Q cash flow disclosures and FMP /cash-flow-statement where noted.

Frequently asked questions

RPGRY free cash flow · 8 questions

REA Group Limited free cash flow was $537.4M for FY2025, up 15.7% year-over-year. On a trailing twelve-month (TTM) basis, free cash flow stands at $1.35B.

RPGRY free cash flowRPGRY FCFRPGRY FCF 2025RPGRY free cash flow TTM

Source: FMP /cash-flow-statement · US GAAP · REA Group Limited · REA Group Limited SEC 10-K & 10-Q filings · US GAAP · Last updated: Jun 8, 2026