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Annual figures as reported in 10-K / 20-F / 40-F filings.
REPL · CIK 0001737953

REPLIMUNE GROUP, INC.

Annual figures as reported, FY2016–FY2026. Ratios and growth rates derived on-page.

REPL logo
Biological Products, (No Diagnostic Substances)
Company profile
Nasdaq · REPLHQ Woburn, MAIncorporated in DEFiscal year ends Mar 31Non-accelerated filer Smaller reporting company
Net income
−$313.9M
▼ −26.9% vs FY2025
Free cash flow
−$284.6M
▼ −43.0% vs FY2025
Diluted EPS
−$3.38
▼ −10.1% vs FY2025

Net income

Losses shown in terracotta

−300M−200M−100M0’17’19’21’23’25’26−$313.9M

Recent quarters

momentum · last 12 quarters
Net income — Mar ’26 quarter
−$73.2M
▲ +1.2% vs Mar ’25
Diluted EPS — trailing 12 months
−$3.38
▼ −10.1% vs Mar ’25

Quarterly net income

Losses shown in terracotta

−75M−50M−25M0Jun ’23Dec ’23Jun ’24Dec ’24Jun ’25Dec ’25Mar ’26−$73.2M
QuarterRevenueRev. YoYGross marginNet incomeNet marginDiluted EPS
Mar ’26———−$73.2M—−$0.76
Dec ’25———−$70.9M—−$0.77
Sep ’25———−$83.1M—−$0.90
Jun ’25———−$86.7M—−$0.95
Mar ’25———−$74.1M—−$0.82
Dec ’24———−$66.3M—−$0.79
Sep ’24———−$53.1M—−$0.68
Jun ’24———−$53.8M—−$0.78

Profitability & returns

quality of earnings

Returns on capital

Net income vs year-end equity and assets

-150%-100%-50%0%’18’20’22’24’26
Return on equityReturn on assets

Cash flow

cash generation

Free cash flow

Operating cash flow less capital expenditure

−200M−100M0’17’19’21’23’25’26−$284.6M

Operating cash flow

Net cash from operations

−200M−100M0’17’19’21’23’25’26−$280.3M

Shareholder returns

capital allocation

Diluted shares outstanding

Falling count means buybacks outpace dilution

025M50M75M’21’22’23’24’25’2693M

Balance sheet

financial position

Stockholders’ equity

At fiscal year end

0200M400M’17’19’21’23’25’26$166.2M

Net debt

Long-term debt less cash — negative means net cash

−100M−50M0’20’22’23’24’25’26−$125.7M

Growth rates

compounding, annualized
Share count change (split-adjusted)
+100.7%
5y

Key ratios

derived per fiscal year
Fiscal yearROEROACurrent ratioDebt / equity
FY2026−188.9%−94.4%4.79×0.50×
FY2025−59.5%−44.9%7.95×0.11×
FY2024−57.6%−44.2%10.72×0.12×
FY2023−31.4%−27.0%17.52×0.05×
FY2022−28.7%−25.6%19.46×0.00×
FY2021−16.2%−14.9%33.25×—
FY2020−28.6%−22.5%14.68×0.05×
FY2019−22.4%−20.0%14.26×—
FY2018—−30.2%12.53×—
FY2017————
FY2016————

Annual figures

as reported
Fiscal yearRevenueGross profitOp. incomeNet incomeDiluted EPSOp. cash flowCapexTotal assetsLiabilitiesEquityCashLT debt
FY2026——−$319.9M−$313.9M−$3.38−$280.3M$4.2M$332.4M$166.2M$166.2M$209.0M$83.3M
FY2025——−$261.6M−$247.3M−$3.07−$192.3M$6.7M$551.3M$135.5M$415.8M$111.1M$46.4M
FY2024——−$234.8M−$215.8M−$3.24−$185.5M$5.7M$487.7M$113.2M$374.5M$74.5M$44.8M
FY2023——−$177.1M−$174.3M−$2.99−$128.1M$2.3M$646.6M$91.3M$555.3M$146.6M$28.6M
FY2022——−$118.3M−$118.0M−$2.26−$82.2M$2.3M$461.2M$50.0M$411.2M$105.9M$0
FY2021——−$80.0M−$80.9M−$1.75−$61.4M$2.4M$543.1M$44.4M$498.7M$182.5M—
FY2020——−$56.2M−$52.6M−$1.54−$60.6M$6.5M$234.1M$50.4M$183.7M$59.5M$9.8M
FY2019——−$30.9M−$30.8M−$1.33−$25.4M$2.6M$154.3M$16.5M$137.9M$25.7M—
FY2018——−$19.2M−$19.7M−$3.96−$16.0M$136K$65.2M$6.9M−$28.1M$17.6M—
FY2017——−$9.6M−$7.7M−$1.55−$7.1M$238K——−$11.5M$20.7M—
FY2016——————————$14.4M—

Latest filings

the most recent regulatory filings
10-KAnnual report2026-06-29 ↗S-8Securities registration2026-06-29 ↗8-KCurrent report — material event2026-06-29 ↗8-KCurrent report — material event2026-06-26 ↗4OWNERSHIP DOCUMENT2026-06-03 ↗8-KCurrent report — material event2026-05-29 ↗SCHEDULE 13GSEC filing2026-05-21 ↗4OWNERSHIP DOCUMENT2026-05-20 ↗4OWNERSHIP DOCUMENT2026-05-20 ↗4OWNERSHIP DOCUMENT2026-05-20 ↗

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