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Last updated: April 2026

RMV FINANCIAL STATEMENTS

Rightmove PLC — balance sheet, income statement and cash flow trends

RMVRightmove PLC

🇬🇧 UK · LSE · Communication Services · Internet Content & Information

Value itDuel
PriceFinancialsPeers

Income Statement

Quarterly progression — trailing-twelve-month values
RevenueNet Income
0200 M400 M202020212022202320242025

Profit Funnel

Q2 2025 · TTM
Revenue425.1 M £Gross Profit425.1 M £ · 100%Operating Income287.9 M £ · 68%Pre-tax Income290 M £ · 68%Net Income217.1 M £ · 51%

Percentages are relative to revenue.

Key Figures

YoY change
Revenue425.1 M £+16.7%
Gross Profit425.1 M £+18.3%
Operating Income287.9 M £+11.6%
EBITDA294.6 M £+12.0%
Net Income217.1 M £+9.0%

Peer Comparison· Internet Content & Information

CompanyRev. GrowthGross MarginEBITDA MarginNet Margin
RMV9.0%100.0%69.3%51.1%
MACKO8.5%66.1%52.6%26.3%
SEAT-28.9%66.1%-109.9%-82.2%
TEAD33.4%33.6%-23.9%-39.1%
ZIP-3.3%89.1%14.3%-5.6%
BMBL-11.4%69.7%31.4%-72.0%
Industry median8.5%72.4%20.0%9.5%
CompanyRev. GrowthGross MarginEBITDA MarginNet Margin
RMV9.0%100.0%69.3%51.1%
AUTO3.9%75.4%66.1%47.1%
Industry median8.5%72.4%20.0%9.5%

Balance Sheet

Quarterly period-end values
Total AssetsTotal LiabilitiesEquity
050 M100 M150 M202020212022202320242025

Capital Structure

Q2 2025
Total Assets128.2 M
  • Equity82.3 M £64%
  • Current Liabilities40.5 M £32%
  • Long-term Liabilities5.3 M £4%

Key Figures

YoY change
Total Assets128.2 M £+22.2%
Total Liabilities45.9 M £+29.2%
Total Equity82.3 M £+18.7%
Cash & ST Investments42.9 M £+10.4%
Total Debt7.2 M £-3.0%
Net Debt-35.7 M £—

Peer Comparison· Internet Content & Information

CompanyCurrent RatioDebt/EquityNetDebt/EBITDAEquity/Assets
RMV1.898.7%-0.1264.2%
MACKO3.677.0%-0.0481.0%
SEAT0.66-421.9%-0.44-13.8%
TEAD1.041,300.2%-1.824.2%
ZIP7.27-665.4%2.56-15.2%
BMBL1.2296.8%1.2041.9%
Industry median1.9221.7%-0.0861.4%
CompanyCurrent RatioDebt/EquityNetDebt/EBITDAEquity/Assets
RMV1.898.7%-0.1264.2%
AUTO1.7350.6%0.4559.4%
Industry median1.9221.7%-0.0861.4%

Cash Flow Statement

Quarterly progression — trailing-twelve-month values
Operating Cash FlowCapital ExpendituresFree Cash Flow
0100 M200 M202020212022202320242025

Cash Flow Bridge

Q2 2025 · TTM
0100 M200 M238.7 M £Operating-10.2 M £Investing-227.1 M £Financing1.5 M £Net Change

Key Figures

YoY change
Operating Cash Flow238.7 M £+52.1%
Capital Expenditures903 K £-62.6%
Free Cash Flow236.5 M £+53.0%
Dividends Paid-78.6 M £-256.0%

Peer Comparison· Internet Content & Information

CompanyCF MarginFCF MarginCapEx RatioCF/Net Income
RMV56.2%55.6%0.2%110.0%
MACKO27.3%20.4%6.8%103.7%
SEAT-3.8%-6.5%2.7%4.6%
TEAD0.4%-1.0%1.4%-0.9%
ZIP3.9%3.5%1.5%-69.8%
BMBL30.5%29.2%1.4%-42.4%
Industry median27.3%18.6%1.5%111.0%
CompanyCF MarginFCF MarginCapEx RatioCF/Net Income
RMV56.2%55.6%0.2%110.0%
AUTO52.3%47.9%4.4%111.0%
Industry median27.3%18.6%1.5%111.0%

Amounts are in the company’s reporting currency. Peer comparison tables use ratio-based metrics so currency differences do not distort the picture.

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Data on this page refreshes once per day. Price data as of Jul 7, 26. This content is for informational purposes only and is not investment advice.