Revolve Group, Inc. (RVLV)

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CIK 0001746618 · NYSE · Retail-Catalog & Mail-Order Houses

  • Sector Retail Trade
  • Incorporated DE
  • Fiscal year ends Dec 31

In fiscal 2025, Revolve Group, Inc. reported revenue of $1.23B, up 8.5% from the prior year. The company was profitable, with a net margin of 5.0% and a gross margin of 53.5%. It held $765.00M in total assets against $252.47M in total liabilities.

Key ratios (FY2025)

53.5%
Gross margin
6.1%
Operating margin
5.0%
Net margin
12.0%
Return on equity
+8.5%
Revenue growth (YoY)
Metric (FY)202520242023202220212020201920182017
Revenue$1.23B$1.13B$1.07B$1.10B$891.39M$580.65M$600.99M$498.74M$399.60M
Cost of Revenue$569.90M$536.64M$514.52M$509.09M$401.57M$275.37M$279.04M$233.43M$205.91M
Gross Profit$655.78M$593.27M$554.20M$592.32M$489.82M$305.28M$321.95M$265.31M$193.69M
Operating Income$74.26M$51.42M$22.13M$73.14M$105.29M$61.07M$48.10M$41.80M$20.52M
Net Income$61.71M$49.56M$28.15M$58.70M$99.84M$56.79M$35.67M$30.68M$5.35M
EPS (Diluted)$0.86$0.69$0.38$0.79$1.34$0.79$-0.09$0.44$0.08
Total Assets$765.00M$665.55M$608.89M$579.32M$480.41M$305.75M$232.29M$162.07M
Total Liabilities$252.47M$227.76M$223.75M$199.75M$163.40M$105.69M
Shareholders' Equity$512.53M$437.79M$385.14M$379.57M$317.01M
Cash & Equivalents$292.26M$256.60M$245.45M$234.72M$218.46M$146.01M$65.42M$16.37M
Operating Cash Flow$59.40M$26.69M$43.34M$23.44M$62.31M$73.77M$46.06M$26.66M$16.48M
Capital Expenditures$11.40M$5.65M$4.20M$5.17M$2.19M$2.32M$12.46M$3.04M$2.26M
Shares Outstanding72.09M71.68M73.58M74.52M74.55M72.06M7.72M44.58M44.04M