PEXA Group Ltd

  • IPO date:
  • Sector: Real Estate
  • GIC Group: Equity Real Estate Investment Trusts (REITs)
  • Industry: Real Estate Services
  • Company website

Company description

PEXA Group Limited operates a digital property settlements platform in Australia. The company operates through three segments: PEXA Exchange, PEXA International, and PEXA Digital Growth. It operates electronic lodgement network, a cloud-based platform that enables the lodgement and settlement of property transactions through an integrated digital platform, as well as facilitates the collaboration between customers across the property ecosystem to enable the transfer and settlement of transactions in real property. The company also provides data insights and digital services for developing, buying and selling, settling, owning, and servicing of properties, as well as property-related analytics and digital solutions; and digitalized property registration and settlement, and related services. In addition, its products portfolio includes PEXA Key, that protects property sellers and buyers from phishing and fraud activities; PEXA projects for managing large scale projects; PEXA planner, a scaled workplace management tool for financial institutions; PEXA MyView, for viewing mortgage and refinance market summary; and PEXA Tracker, a search tool for digital settlements. PEXA Group Limited offers its solutions for lawyers and conveyancers, financial institutions, governments, property developers, buyers and sellers, related professionals, and practitioners. The company was formerly known as Torrens Group Holdings Limited. PEXA Group Limited was founded in 2010 and is headquartered in Melbourne, Australia.

Financial highlights

Market Capitalization$2044.5663 million
P/E Ratio0
P/E Growth Ratio
Book Value7.004
Dividend Per Share0
Earnings Per Share-0.12
EBITDA37,347
Profit Margin-0.0775
Operating Margin TTM0.0338
Return on Assets TTM0.0036
Return on Equity TTM-0.0174
Revenue TTM281,688

Income statement highlights

All numbers are in thousands

Date Total Revenue Cost of Revenue Gross Profit Total Operating Expenses
2018-12-31 54,382.27 11,188.26 43,194.01
2019-12-31 155,587.43 23,018.76 132,568.67
2020-12-31 218,636 29,333 189,303 162,990
2021-12-31 279,839 34,525 245,314 206,217
2022-12-31 281,688 34,767 246,921

Balance sheet highlights

All numbers are in thousands

Date Cash Total Assets Total Liabilities Short Term Debt Long Term Debt Common Stock
2018-12-31 22,571.15 1,669,312.54 72,858.1 0 1,618,632.401
2019-12-31 50,417.02 1,662,655.91 66,231.77 0 1,618,632
2020-12-31 51,517 1,613,116 581,324 194,755 297,397 1,058,198
2021-12-31 75,391 1,662,261 397,560 1,882 297,989 1,268,362
2022-12-31 36,539 1,683,212 441,264 0 298,743 1,267,600

Cash flow highlights

All numbers are in thousands

Date Net Income Total Cash Change in Cash Begin period cash End period cash Dividends
2018-12-31 -29,570.613 1,317.805 56,761.512
2019-12-31 -30 48,364 27,846 70,417
2020-12-31 -11,787 109,284 -18,900 70,417 51,517
2021-12-31 21,851 89,781 23,874 51,517 75,391
2022-12-31 -21,840 83,233 -38,852 75,391 36,539