The RMR Group Inc.

NASDAQ:RMR

19.35 (USD) • At close January 23, 2025
Overview | Financials

Numbers are in millions (except for per share data and ratios) USD.

2023-11-152023-08-092023-05-032023-02-022022-11-142022-08-042022-05-042022-01-272021-11-152021-08-052021-05-102021-02-022020-11-202020-08-072020-05-112020-02-062019-11-222019-08-092019-05-102019-02-072018-12-032018-08-082018-05-102018-02-082017-12-122017-08-092017-05-102017-02-092016-12-152016-08-092016-05-102016-02-092015-12-182015-06-302014-09-30
Assets:
Current Assets:
Cash & Cash Equivalents 267.989295.423197.979200.965189.088195.936181.74181.887159.835397.801376.252383.213369.663393.655377.362385.695358.448377.113384.113284.159256.848280.518276.36125.966108.64137.711133.05774.82965.83381.13770.56825.08134.49726.528141.731
Short Term Investments 000000000007.87400000000000000000000000
Cash and Short Term Investments 267.989295.423197.979200.965189.088195.936181.74181.887159.835397.801376.252383.213369.663393.655377.362385.695358.448377.113384.113284.159256.848280.518276.36125.966108.64137.711133.05774.82965.83381.13770.56825.08134.49726.528141.731
Net Receivables 111.323102.101118.849120.069108.82193.93996.21283.91188.66187.61981.18968.44582.60579.31274.1576.26493.52175.02862.512190.78528.84624.26224.721180.59125.16127.02721.35374.45824.86222.51622.74882.25317.98621.446100.946
Inventory 00000000000000000000000000000000000
Other Current Assets 6.9976.4865.535.755.3726.0036.0514.9326.0215.4678.5545.6153.8773.5955.0465.01312.8887.386.8136.85510.39210.0678.4283.377.0928.3077.0335.8834.694.924.0063.3786.2615.9512.681
Total Current Assets 386.309404.01322.358326.784303.281295.878284.003270.73254.517490.887465.995457.273456.145476.562456.558466.972464.857459.521453.438481.799296.086314.847309.509309.927140.893173.045161.443155.1795.385108.57397.322110.71258.74453.925245.358
Non-Current Assets:
Property, Plant & Equipment, Net 34.47834.77334.86234.02831.38932.19633.35633.76434.51135.73236.40435.90636.96237.90339.07839.2142.3832.1722.3362.4422.5892.7132.7282.9993.2763.3293.433.4493.8024.0354.2184.5844.6794.496.868
Goodwill 1.8590001.8590001.85901.8591.8591.8591.8591.8591.8591.8591.8591.8591.8591.8591.8591.8591.8591.8591.8591.8591.8592.295000000
Intangible Assets 0.1670000.1980000.23500.2560.2660.2770.2880.30.3120.3230.3360.3490.3620.3750.3960.4180.440.4620.6080.7540.91.085000000
Goodwill and Intangible Assets 2.0262.0342.0422.052.0572.0662.0752.0842.0942.1042.1152.1252.1362.1472.1592.1712.1822.1952.2082.2212.2342.2552.2772.2992.3212.4672.6132.7593.38000000
Long Term Investments 18.65117.52570.93943.37349.11439.67735.90440.67239.47625.38224.20228.14819.61911.5729.45211.68110.3412.01213.26412.6997.05111.4211.58511.8912.1620.2080.2710.4367.7540000027.814
Tax Assets 18.2218.57813.25217.55217.11218.80318.39418.17318.67121.91722.46622.27923.924.62125.26425.30225.72926.01925.36325.80225.72624.78825.09225.39145.54143.33243.32343.96145.81945.38345.83446.2743.21647.780
Other Non-Current Assets 122.74124.465148.808140.75139.452142.416154.847156.979148.642148.567150.447152.662151.491151.918153.413159.79162.381160.985162.952165.336170.742171.586173.77177.281179.526181.607184.509186.892181.391188.591191.357194.528197.253197.9637.183
Total Non-Current Assets 196.115197.375269.903237.753239.124235.158244.576251.672243.394233.702235.634241.12234.108228.161229.366238.158203.015203.383206.123208.5208.342212.762215.452219.86242.826230.943234.146237.497242.146238.009241.409245.382245.148250.23341.865
Total Assets 582.424601.385592.261564.537542.405531.036528.579522.402497.911724.589701.629698.393690.253704.723685.924705.13667.872662.904659.561690.299504.428527.609524.961529.787383.719403.988395.589392.667337.531346.582338.731356.094303.892304.158287.223
Liabilities & Equity:
Current Liabilities:
Account Payables 19.14440.31623.46128.02316.74532.06322.52822.31315.0270027.87916.98430.85822.07400087.2830000000030.20300023.60118.43935.31517.371
Short Term Debt 5.0685.0565.0134.824.6934.8675.0665.0574.9224.8684.7354.4634.4074.3434.30200000000000000000000
Tax Payables 00000000000000000000000000000000000
Deferred Revenue 0-40.3160000000003.354.2980.9981.66500000000000000000000
Other Current Liabilities 81.358115.61889.64594.12187.73770.12468.28362.29561.19198.88380.844.61956.07959.12750.57794.94498.02994.6480115.74828.30751.01550.21260.21526.41441.20933.2620.3620.57935.14729.46426.6110032.023
Total Current Liabilities 105.57120.674118.119126.964109.175107.05495.87789.66581.14103.75185.53580.31181.76895.32678.61894.94498.02994.64887.283115.74828.30751.01550.21260.21526.41441.20933.26230.56320.57935.14729.46450.21218.43935.31549.394
Non-Current Liabilities:
Long Term Debt 25.04425.40626.5926.76425.62626.2327.31228.26129.14830.39531.17130.88732.0333.15634.26834.4670000000000000000000
Deferred Revenue Non-Current 0000000000000000001.3521.283000000000000000
Deferred Tax Liabilities Non-Current 00000000000000000000000000000000000
Other Non-Current Liabilities 28.14729.9451.92941.51737.86540.74450.82150.59939.90839.69139.21739.07835.55335.78734.92838.95140.80838.93137.14837.17941.4642.2141.97343.09367.64270.28270.77170.73470.56170.45870.79571.53271.80171.0297.585
Total Non-Current Liabilities 53.19155.34678.51968.28163.49166.97478.13378.8669.05670.08670.38869.96567.58368.94369.19673.41840.80838.93138.538.46241.4642.2141.97343.09367.64270.28270.77170.73470.56170.45870.79571.53271.80171.0297.585
Total Liabilities 158.761176.02196.638195.245172.666174.028174.01168.525150.196173.837155.923150.276149.351164.269147.814168.362138.837133.579125.783154.2169.76793.22592.185103.30894.056111.491104.033101.29791.14105.605100.259121.74490.24106.34456.979
Equity:
Preferred Stock 00000000000096.98300072.1940055.06745.98945.34241.29632.42228.7223.06819.36614.23510.5776.9352.4912.083000
Common Stock 0.0320.0320.0320.0320.0320.0320.0320.0310.0310.0310.0310.0310.0310.0310.0310.0310.0310.0310.0310.0310.0310.0310.0310.0310.0310.0310.0310.0310.0310.0310.0310.0310.0310.031230.43
Retained Earnings 413.096122.973104.9893.14893.45388.05387.08486.95785.179192.639190.644191.933189.266189.308188.791188.517185.263182.592182.427179.939133.41129.27124.933120.61753.53852.51949.68646.82327.33423.96222.05515.9417.3030.970
Accumulated Other Comprehensive Income/Loss 000000000000-3.514000-3.749000.080.0820.0810.0830.0840.0840.0830.0820.0770.0830.080.0830.0780.0730.142-0.186
Other Total Stockholders Equity -173.062115.479114.745113.73113.136112.396111.667110.523109.91109.281108.932107.63413.153105.863105.265103.99434.915102.847101.6745.74153.2553.18956.92164.02267.15872.19975.75780.16983.68986.66591.10991.34299.27108.9110
Total Shareholders Equity 240.066238.484219.757206.91206.621200.481198.783197.511195.12301.951299.607299.598295.919295.202294.087292.542288.654285.47284.128280.858232.762227.913223.264217.176149.531147.9144.922141.335121.714117.673115.769109.475100.83294.768230.244
Total Equity 423.663238.484219.757206.91206.621200.481198.783197.511195.12301.951299.607299.598295.919295.202294.087292.542288.654285.47284.128280.858232.762227.913223.264217.176149.531147.9144.922141.335121.714117.673115.769109.475100.83294.768230.244
Total Liabilities & Shareholders Equity 158.761601.385592.261564.537542.405531.036528.579522.402497.911724.589701.629698.393690.253704.723685.924705.13667.872662.904659.561690.299504.428527.609524.961529.787383.719403.988395.589392.667337.531346.582338.731356.094303.892304.158287.223