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Replimune Group REPL Ratios & Valuation

FY'25FY'24FY'23FY'22
Returns
Return on equity-62.6%-16.2pp-46.4%-10.4pp-36.1%-10.1pp-25.9%-2.2pp
Return on assets-47.6%-9.6pp-38%-6.6pp-31.5%-8.0pp-23.5%-2.7pp
Return on invested capital-68.9%-13.5pp-55.4%-11.7pp-43.7%-9.4pp-34.3%-3.4pp
Liquidity
Current ratio-2.8×10.7×-6.8×17.5×-1.9×19.5×-13.8×
Quick ratio-2.8×10.7×-6.8×17.5×-1.9×19.5×-13.8×
Cash ratio1.8×-0.1×1.9×-2.5×4.4×-0.8×5.2×-7.5×
Leverage
Debt-to-equity0.2×0.0×0.2×+0.1×0.1×0.0×0.1×0.0×
Debt-to-assets0.1×0.0×0.2×+0.1×0.1×0.0×0.1×0.0×
Interest coverage-45.3×+6.9×-52.2×+38.0×-90.2×+15.9×-106.1×-8.4×
Per Share
Book value per share$5.16-8.3%$5.63-41.0%$9.54+21.1%$7.88-27.0%
Valuation
Market capitalization$930.59M+28.6%$544.5M-53.5%$1.17B+46.2%$801.62M-44.0%
Enterprise value$885.15M+28.3%$546.93M-49.7%$1.09B+49.1%$729.44M-43.1%
Price / book4.4×+2.6×1.5×-0.7×2.1×+0.2×1.9×-0.9×
Free cash flow yield-30.8%-3.0pp-35.1%-24.0pp-11.1%-0.6pp-10.5%-6.1pp
Earnings yield-34.3%+0.3pp-39.6%-24.8pp-14.9%-0.1pp-14.7%-9.1pp

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Questions, answered.

Where do Replimune Group's ratios come from?
Every ratio is computed from Replimune Group's SEC filings — trailing-twelve-month flows over period-end balances. Valuation multiples combine those fundamentals with market data, recomputed each period. Switch between quarterly, annual, and TTM, or open any ratio for its full history and peer comparisons.