RE/MAX Holdings, Inc. (RMAX)

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CIK 0001581091 · NYSE · Real Estate Agents & Managers (For Others)

  • Sector Finance & Real Estate
  • Incorporated CO
  • Fiscal year ends Dec 31

In fiscal 2025, RE/MAX Holdings, Inc. reported revenue of $291.60M, down 5.2% from the prior year. The company was profitable, with a net margin of 4.6%. It held $582.48M in total assets against $611.46M in total liabilities.

Key ratios (FY2025)

16.1%
Operating margin
4.6%
Net margin
-5.2%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$291.60M$307.69M$325.67M$353.39M$329.70M$266.00M$282.29M$212.63M$193.71M$175.64M
Operating Income$47.04M$40.18M-$10.64M$38.21M-$9.93M$38.59M$68.97M$78.41M$98.33M$71.33M
Net Income$13.43M$8.08M-$98.49M$10.76M-$24.62M$20.55M$47.31M$50.30M$31.32M$46.85M
EPS (Diluted)$0.61$1.41$1.53$0.58$1.26
Total Assets$582.48M$581.59M$577.15M$695.23M$776.13M$546.37M$530.80M$428.37M$412.83M$437.15M
Total Liabilities$611.46M$639.99M$653.21M$663.53M$707.07M$444.71M$443.98M$353.36M$363.71M$376.44M
Shareholders' Equity-$28.99M-$58.39M-$76.06M$31.70M$69.07M$101.66M$86.83M$63.01M$32.92M$40.62M
Cash & Equivalents$118.74M$96.62M$82.62M$108.66M$126.27M$101.36M$83.00M$59.97M$50.81M$57.61M
Operating Cash Flow$40.88M$59.65M$28.26M$71.14M$42.44M$70.85M$78.97M$76.06M$63.29M$64.38M
Capital Expenditures$7.37M$6.62M$6.42M$9.93M$15.24M$6.90M$13.23M$7.79M$2.20M$4.50M
Shares Outstanding17.77M17.73M17.68M
Dividends Per Share$0.80$0.72$0.60