Rea Group Ltd

  • IPO date:
  • Sector: Communication Services
  • GIC Group: Media & Entertainment
  • Industry: Internet Content & Information
  • Company website

Company description

REA Group Limited engages in online property advertising business in Australia, India, and internationally. It provides property and property-related services on websites and mobile applications. The company operates residential, commercial, and share property sites, such as realestate.com.au, realcommercial.com.au, smartline.com.au, makaan.com, housing.com, PropTiger.com, realtor.com, Flatmates.com.au, property.com.au, simpology.com.au, campaignagent.com.au, proptrack.com.au, myfun.com, housing.com, propertygurugroup.com, realtor.com, spacely.com.au, rumah123.com, iproperty.com.sg, 99.co, and 1form.com.au. It also provides mortgage brokerage and home financing solutions under the Mortgage Choice brand. The company was formerly known as realestate.com.au Ltd. and changed its name to REA Group Limited in December 2008. REA Group Limited was incorporated in 1995 and is headquartered in Richmond, Australia. REA Group Limited operates as a subsidiary of news corporation.

Financial highlights

Market Capitalization$20417.3947 million
P/E Ratio58.03
P/E Growth Ratio0
Book Value11.102
Dividend Per Share1.58
Earnings Per Share2.7
EBITDA552,600
Profit Margin0.2558
Operating Margin TTM0.389
Return on Assets TTM0.1303
Return on Equity TTM0.2393
Revenue TTM1,392,400

Income statement highlights

All numbers are in thousands

Date Total Revenue Cost of Revenue Gross Profit Total Operating Expenses
1999-06-30 68
2000-06-30 2,335 7,122
2001-06-30 3,765 3,762 3,765 3,322
2002-06-30 5,668.677 11,632 5,668.677 8,583.386
2003-06-30 9,140.356 10,822 9,140.356 10,690.291
2004-06-30 18,996.874 9,298 18,996.874 16,637.742
2005-06-30 33,417.954 12,155 33,417.954 28,187.736
2006-06-30 60,391.582 23,330 60,391.582 44,319.141
2007-06-30 107,292.778 40,598 107,292.778 88,540.365
2008-06-30 155,633 59,503 155,633 126,209
2009-06-30 167,795 59,841 167,795 112,843
2010-06-30 194,335 63,372 194,335 123,738
2011-06-30 238,401 67,363 238,401 147,759
2012-06-30 277,613 74,013 277,613 166,815
2013-06-30 336,460 85,108 336,460 191,410
2014-06-30 437,459 104,379 437,459 233,561
2015-06-30 522,920 113,543 522,920 264,035
2016-06-30 629,803 117,663 629,803 326,719
2017-06-30 671,206 145,767 671,206 327,573
2018-06-30 867,376 59,698 867,376 444,820
2019-06-30 941,391 66,442 941,391 485,646
2020-06-30 881,857 61,588 881,857 478,621
2021-06-30 1,005,366 77,555 1,005,366 548,083
2022-06-30 1,427,400 267,200 1,427,400 872,700
2023-06-30 1,392,400 209,200 1,392,400 850,800

Balance sheet highlights

All numbers are in thousands

Date Cash Total Assets Total Liabilities Short Term Debt Long Term Debt Common Stock
1999-06-30 7,321 7,668 243 7,565
2000-06-30 2,106 6,059 2,254 10,222
2001-06-30 1,186 10,619 1,909 750 21,345
2002-06-30 1,093.449 5,198.33 2,333.806 342 750 21,460.723
2003-06-30 2,190.767 4,428.567 2,880.905 750 21,683.563
2004-06-30 2,580.857 16,163.386 5,006.269 28,815.534
2005-06-30 7,742.333 26,153.287 7,005.633 28,955.709
2006-06-30 13,191.864 93,942.205 22,744.854 1,966.604 809 56,001.961
2007-06-30 9,823.595 134,189.543 49,138.047 6,160.126 1,590 56,001.961
2008-06-30 8,882 158,446 43,622 1,193 367 56,002
2009-06-30 41,588 143,164 49,653 488 32 56,002
2010-06-30 88,163 184,479 45,629 64,695
2011-06-30 137,543 248,423 51,487 88,404
2012-06-30 181,599 300,889 50,371 102,755
2013-06-30 257,344 394,763 79,893 102,474
2014-06-30 253,788 518,568 110,256 102,075
2015-06-30 78,894 669,970 111,891 98,355
2016-06-30 126,834 1,483,284 767,509 4,000 492,253 97,109
2017-06-30 358,500 1,578,813 774,083 133,828 359,118 95,215
2018-06-30 115,841 1,722,472 781,703 122,461 309,923 91,325
2019-06-30 137,897 1,581,731 676,296 240,083 70,023 89,544
2020-06-30 222,845 1,590,523 726,030 76,470 169,785 92,050
2021-06-30 168,869 2,372,286 1,233,065 8,822 413,383 152,140
2022-06-30 248,200 2,568,800 1,205,500 8,600 411,700 146,400
2023-06-30 259,800 2,626,600 1,109,600 10,500 316,700 148,100

Cash flow highlights

All numbers are in thousands

Date Net Income Total Cash Change in Cash Begin period cash End period cash Dividends
1999-06-30 -106 809 -53 756
2000-06-30 -6,281 1,213 756 1,969
2001-06-30 -6,218 -3,487 -783 1,969 1,186
2002-06-30 -5,960.85 -165.078 -92.681 1,186.13 1,093.449
2003-06-30 -1,539.702 1,033 1,097.318 1,093.449 2,190.767
2004-06-30 2,477.484 4,513.038 390.09 2,190.767 2,580.857
2005-06-30 7,850.362 6,779.995 5,161.476 2,580.857 7,742.333
2006-06-30 8,221.947 10,763.831 5,449.531 7,742.333 13,191.864
2007-06-30 15,064.078 21,086.661 -3,368.269 13,191.864 9,823.595
2008-06-30 22,344 15,871 -942 9,824 8,882
2009-06-30 946 31,797 32,706 8,882 41,588
2010-06-30 50,657 60,943 46,575 41,588 88,163 4,033
2011-06-30 68,739 76,406 49,380 88,163 137,543 9,811
2012-06-30 86,971 96,855 44,056 137,543 181,599 22,570
2013-06-30 109,711 145,177 75,745 181,599 257,344 48,077
2014-06-30 149,728 183,581 -3,556 257,344 253,788 62,564
2015-06-30 210,011 191,355 -174,894 253,788 78,894 85,146
2016-06-30 252,958 221,339 47,940 78,894 126,834 101,068
2017-06-30 206,066 296,816 231,666 126,834 358,500 112,953
2018-06-30 252,779 326,345 -242,659 358,500 115,841 129,365
2019-06-30 104,997 364,054 22,056 115,841 137,897 154,434
2020-06-30 112,373 419,146 84,948 137,897 222,845 -156,205
2021-06-30 322,677 316,563 -53,976 222,845 168,869 -150,639
2022-06-30 384,800 93,100 79,300 168,900 248,200 -194,400
2023-06-30 356,100 472,700 11,600 248,200 259,800 -217,100