Skip to content

REPLIMUNE GROUP, INC.

REPL

CIK 0001737953

Revenue (TTM)
Q3 Jan 2026
Net Income (TTM)
−$307.06M
−14.6% YoY Q3 Jan 2026
EPS Diluted (TTM)
−$3.41
+5.2% YoY Q3 Jan 2026
Gross Margin
Q3 Jan 2026
Operating Margin
Q3 Jan 2026
Net Margin
Q3 Jan 2026
Free Cash Flow (TTM)
−$210.97M
Q3 Jan 2026
Cash
$122.95M
Q3 Jan 2026
Total Debt
$47.63M
Q3 Jan 2026
Shares Outstanding
82.57M sh
Q3 Jan 2026

Revenue & Net Income

EPS (Diluted)

Cash Flow

Revenue Growth (YoY)

No data available for this metric.

Balance Sheet

Cash vs Debt

Recent filings