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Replimune Group REPL Balance Sheet Statement

FY'25FY'24FY'23FY'22
$112.82M+48.1%$76.16M-48.6%$148.23M+37.8%$107.58M-41.6%
$372.69M+7.6%$346.21M-20.7%$436.8M+50.8%$289.71M-1.4%
$1.7M+0.2%$1.7M+3.9%$1.64M0.0%$1.64M0.0%
$8.35M+3.4%$8.08M+28.7%$6.28M+19.2%$5.27M+17.3%
$495.88M+14.3%$433.67M-26.8%$592.6M+46.7%$403.98M-16.5%
$13.74M+31.1%$10.48M+40.2%$7.48M-5.7%$7.93M+6.6%
$13.4M+35.4%$9.9M+36.7%$7.24M+51.0%$4.8M+81.1%
399,800,000%-63,700,000%463,500,000%-57,300,000%520,800,000%-34,400,000%555,200,000%-19,900,000%
$1.2M$0
$462.56M
$0
$551.33M+13.0%$487.72M-24.6%$646.59M+40.2%$461.19M-15.1%
$12.46M+383%$2.58M-51.9%$5.36M+43.7%$3.73M+58.5%
$45.92M+35.1%$33.98M+37.6%$24.7M+84.5%$13.39M+53.3%
$20.08M+44.4%$13.91M+40.3%$9.91M+77.9%$5.57M+40.9%
$2.8M+3.0%$2.72M+3.0%$2.64M+3.0%$2.56M+3.0%
$1.18M+2.0%$1.16M+3.8%$1.12M+4.5%$1.07M+10.3%
$2.8M+3.0%$2.72M+3.0%$2.64M+3.0%$2.56M+3.0%
$62.36M+54.2%$40.44M+19.6%$33.83M+63.0%$20.76M+42.7%
$46.38M+3.5%$44.81M+56.4%$28.65M$0
$3.08M-18.4%$3.77M-14.1%$4.39M-8.6%$4.8M-5.5%
$25.53M-2.3%$26.13M-1.8%$26.6M-1.3%$26.97M-1.0%
$4.26M-13.6%$4.93M-10.4%$5.51M-6.2%$5.87M-2.9%
$22.73M-2.9%$23.41M-2.3%$23.97M-1.8%$24.41M-1.4%
$941K+19.7%$786K+66.5%$472K$0
$135.49M+19.7%$113.21M+24.0%$91.3M+82.7%$49.96M+12.6%
150M+245,802%61K+7.0%57K+21.3%47K0.0%
$1.36B+26.9%$1.07B+3.5%$1.03B+43.1%$723.36M+4.5%
-$948.58M-35.3%-$701.28M-44.4%-$485.49M-56.0%-$311.2M-61.1%
$5.45M+12.2%$4.86M-15.3%$5.73M+689%-$973K-147%
$415.84M+11.0%$374.51M-32.6%$555.29M+35.0%$411.23M-17.5%
$551.33M+13.0%$487.72M-24.6%$646.59M+40.2%$461.19M-15.1%
$3.73M-24.3%$4.92M+67.5%$2.94M-3.8%$3.06M+3.5%
$1.2M$0
$4M-13.7%$4.64M-11.0%$5.21M-6.2%$5.55M-3.5%
$4M-13.7%$4.64M-11.0%$5.21M-6.2%$5.55M-3.5%
$1.2M$0
$27.14M+33.2%$20.38M+38.4%$14.72M+15.7%$12.73M+26.1%
$372.69M+7.6%$346.21M-20.7%$436.8M+50.8%$289.71M-1.4%
$4M-13.7%$4.64M-11.0%$5.21M-6.2%$5.55M-3.5%
$1.2M$0
$161K-56.4%$369K-31.7%$540K-13.0%$621K+52.6%
$45.92M+35.1%$33.98M+37.6%$24.7M+84.5%$13.39M+53.3%
$78.96M+0.5%$78.59M+24.0%$63.4M+79.1%$35.4M-1.0%
$0.000.0%$0.000.0%$0.000.0%$0.000.0%
77.1M+25.5%61.4M+8.4%56.7M+19.7%47.3M+1.7%
$10.65M+85.3%$5.75M-81.6%$31.24M+2.9%$30.36M-73.9%
$77K+26.2%$61K+7.0%$57K+21.3%$47K0.0%
$3.65M+35.1%
10.2M+18.1%8.7M+16.1%7.5M+14.4%6.5M+0.8%
$15.22-10.2%$16.94-1.7%$17.24+2.7%$16.78+26.5%
$27.14M+33.2%$20.38M+38.4%$14.72M+15.7%$12.73M+26.1%
$161K-56.4%$369K-31.7%$540K-13.0%$621K+52.6%
$19.61M+19.7%$16.38M+45.4%$11.26M+91.4%$5.88M+52.3%
$00.0%$00.0%$00.0%$00.0%
$150M0.0%$150M0.0%$150M0.0%$150M0.0%
$77.09M+25.5%$61.42M+8.4%$56.68M+19.7%$47.34M+1.7%
$77.09M+25.5%$61.42M+8.4%$56.68M+19.7%$47.34M+1.7%
$372.38M
$0
$372.69M
$2.8M+3.0%$2.72M+3.0%$2.64M+3.0%$2.56M+3.0%
$34.81M-6.5%$37.24M-6.1%$39.67M-5.8%$42.09M-5.5%
$462.56M
$29.79M-4.1%$31.06M-3.3%$32.11M-2.2%$32.84M-1.3%
$38.81M-7.3%$41.87M-6.7%$44.87M-5.8%$47.65M-5.2%
$13.74M+31.1%$10.48M+40.2%$7.48M-5.7%$7.93M+6.6%
$6.07M+82.3%$3.33M+11.2%$2.99M+127%$1.32M+157%
$800K-11.1%$900K-10.0%$1M-48.7%$1.95M+18.2%
$3.65M+35.1%
$10.21M+18.1%$8.65M+16.1%$7.45M+14.4%$6.51M+0.8%
$15.22-10.2%$16.94-1.7%$17.24+2.7%$16.78+26.5%
$10.65M+85.3%$5.75M-81.6%$31.24M+2.9%$30.36M-73.9%
$10.85+29.5%
$24.88M-58.3%
$1.1M
$800K-11.1%$900K-10.0%$1M-48.7%$1.95M+18.2%

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Questions, answered.

What are Replimune Group's total assets?
Replimune Group (REPL) holds $333.6M in total assets, down 44.7% year over year.
How much debt does Replimune Group have?
Replimune Group carries $79.2M in total debt against $210.5M of shareholders' equity, a debt-to-equity ratio of 0.38.
How much cash does Replimune Group have?
Replimune Group holds $124.7M in cash and equivalents.
Can Replimune Group cover its short-term obligations?
Its current ratio is 5.60 — current assets exceed current liabilities.
Where does Replimune Group's balance sheet data come from?
Every line is extracted from Replimune Group's SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.