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RELY

Remitly Global, Inc.

Price Chart
Latest Quote

$21.10

+0.67 (+3.28%)
Current Price
Previous Close $20.43
Open $20.72
Day High $21.18
Day Low $20.46
Volume 7,058,338
Fetched: 2026-06-20T18:13:01
Stock Information
Shares Outstanding 210.56M
Total Debt $39.30M
Cash Equivalents $649.06M
Revenue $1.73B
Net Income $105.63M
Sector Technology
Industry Software - Infrastructure
Market Cap $4.44B
P/E Ratio 43.96
EPS (TTM) $0.48
Exchange NMS
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📊 Comprehensive Analysis
Company Data
Enterprise Value$3.83B
Sales$1.73B
Income$105.63M
Book/sh$4.31
Cash/sh$3.08
Employees3K
Financial Ratios
Quick Ratio2.20
Current Ratio2.84
Debt/Eq4.33
EPS Growth TTM332.10%
Returns & Margins
ROA6.56%
ROE12.95%
Gross Margin60.79%
Operating Margin14.42%
Profit Margin6.12%
Ownership
Insider Ownership5.77%
Institutional Ownership86.20%
Insider & Institutional transactions data not available
Valuation Ratios
Forward P/E12.79
P/S2.57
P/B4.89
Analyst Data
Recommendationnone
Target Price$28.56
Technical Indicators
SMA20$19.87
SMA50$20.76
SMA200$16.53
RSI57.48
ATR0.8861
Shares Float184.99M
Short Float7.17%
Short Ratio2.41
Volatility0.37
Rel Volume1.56
Performance History
Week+12.29%
Month+1.10%
Quarter+34.48%
6 Months+49.75%
YTD+59.61%
Year+2.23%
3 Years+5.50%
10 Years-56.45%
Stock Score: ⭐ Premium
Based on debt, profitability, growth, and cash flow metrics
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Recent Price History
Date Close Volume
2026-06-18 $21.10 7,112,000
2026-06-17 $20.43 6,932,500
2026-06-16 $20.36 8,558,200
2026-06-15 $19.63 5,095,900
2026-06-12 $19.08 3,994,700
2026-06-11 $18.79 4,637,800
2026-06-10 $18.04 3,784,200
2026-06-09 $18.36 5,834,300
2026-06-08 $18.45 4,789,700
2026-06-05 $18.77 3,973,700
2026-06-04 $19.81 3,938,700
2026-06-03 $19.73 4,056,300
2026-06-02 $20.07 4,242,900
2026-06-01 $21.03 4,389,200
2026-05-29 $20.02 3,792,700
2026-05-28 $20.00 3,031,500
2026-05-27 $20.12 2,808,900
2026-05-26 $20.39 4,992,100
2026-05-22 $21.58 2,151,000
2026-05-21 $21.57 2,880,900
2026-05-20 $21.58 3,229,300
2026-05-19 $20.87 3,881,700
Period:
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Income Statement (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Revenue
Reconciled Cost Of Revenue $628,979,000 $517,103,000 $411,057,000 $326,933,000
Cost Of Revenue $650,706,000 $515,522,000 $411,634,000 $326,933,000
Total Revenue $1,635,147,000 $1,263,963,000 $944,285,000 $653,560,000
Operating Revenue $1,635,147,000 $1,263,963,000 $944,285,000 $653,560,000
Expenses
Interest Expense $7,612,000 $3,241,000 $2,352,000 $1,302,000
Total Expenses $1,557,679,000 $1,303,049,000 $1,058,480,000 $774,596,000
Other Income Expense $-5,927,000 $3,999,000 $-2,838,000 $5,213,000
Other Non Operating Income Expenses $-5,927,000 $3,999,000 $-2,838,000 $5,213,000
Net Non Operating Interest Income Expense $87,000 $4,836,000 $5,095,000 $2,847,000
Interest Expense Non Operating $7,612,000 $3,241,000 $2,352,000 $1,302,000
Operating Expense $906,973,000 $787,527,000 $646,846,000 $447,663,000
Selling And Marketing Expense $342,903,000 $303,799,000 $234,417,000 $170,970,000
General And Administrative Expense $225,129,000 $195,857,000 $179,372,000 $131,250,000
Income & Earnings
Net Income From Continuing Operation Net Minority Interest $67,933,000 $-36,978,000 $-117,840,000 $-114,019,000
Net Interest Income $87,000 $4,836,000 $5,095,000 $2,847,000
Interest Income $7,699,000 $8,077,000 $7,447,000 $4,149,000
Normalized Income $67,933,000 $-36,978,000 $-117,840,000 $-114,019,000
Net Income From Continuing And Discontinued Operation $67,933,000 $-36,978,000 $-117,840,000 $-114,019,000
Total Operating Income As Reported $77,468,000 $-39,086,000 $-114,195,000 $-121,036,000
Net Income Common Stockholders $67,933,000 $-36,978,000 $-117,840,000 $-114,019,000
Net Income $67,933,000 $-36,978,000 $-117,840,000 $-114,019,000
Net Income Including Noncontrolling Interests $67,933,000 $-36,978,000 $-117,840,000 $-114,019,000
Net Income Continuous Operations $67,933,000 $-36,978,000 $-117,840,000 $-114,019,000
Pretax Income $71,628,000 $-30,251,000 $-111,938,000 $-112,976,000
Interest Income Non Operating $7,699,000 $8,077,000 $7,447,000 $4,149,000
Operating Income $77,468,000 $-39,086,000 $-114,195,000 $-121,036,000
Depreciation Amortization Depletion Income Statement $25,034,000 $18,054,000 $13,118,000 $6,724,000
Depreciation And Amortization In Income Statement $25,034,000 $18,054,000 $13,118,000 $6,724,000
Gross Profit $984,441,000 $748,441,000 $532,651,000 $326,627,000
Per Share
Diluted EPS $0.31 $-0.19 $-0.65 $-0.68
Basic EPS $0.33 $-0.19 $-0.65 $-0.68
Other
Tax Effect Of Unusual Items $0 $0 $0 $0
Tax Rate For Calcs $0 $0 $0 $0
Normalized EBITDA (Bullshit earnings) $126,001,000 $-8,956,000 $-95,891,000 $-104,950,000
Reconciled Depreciation $46,761,000 $16,473,000 $13,695,000 $6,724,000
EBITDA (Bullshit earnings) $126,001,000 $-8,956,000 $-95,891,000 $-104,950,000
EBIT $79,240,000 $-27,010,000 $-109,586,000 $-111,674,000
Diluted Average Shares $217,569,896 $194,646,436 $180,818,399 $167,774,123
Basic Average Shares $205,833,196 $194,646,436 $180,818,399 $167,774,123
Diluted NI Availto Com Stockholders $67,933,000 $-36,978,000 $-117,840,000 $-114,019,000
Tax Provision $3,695,000 $6,727,000 $5,902,000 $1,043,000
Research And Development $313,907,000 $269,817,000 $219,939,000 $138,719,000
Selling General And Administration $568,032,000 $499,656,000 $413,789,000 $302,220,000
Other Gand A $225,129,000 $195,857,000 $179,372,000 $131,250,000
Fetched: 2026-06-20
Balance Sheet (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Assets
Net Tangible Assets $811,724,000 $600,068,000 $457,755,000 $480,087,000
Total Assets $1,458,713,000 $1,012,871,000 $1,036,306,000 $695,953,000
Total Non Current Assets $142,762,000 $115,357,000 $104,188,000 $26,534,000
Other Non Current Assets $11,724,000 $5,386,000 $7,071,000 $6,313,000
Goodwill And Other Intangible Assets $57,065,000 $65,403,000 $71,582,000 $0
Other Intangible Assets $2,125,000 $10,463,000 $16,642,000 -
Current Assets $1,315,951,000 $897,514,000 $932,118,000 $669,419,000
Other Current Assets $8,549,000 $9,062,000 $3,537,000 $19,327,000
Prepaid Assets $458,564,000 $311,463,000 $206,268,000 $158,055,000
Receivables $306,412,000 $208,892,000 $397,829,000 $191,402,000
Other Receivables $14,755,000 $11,677,000 $15,599,000 $191,402,000
Taxes Receivable $5,202,000 $3,250,000 $2,813,000 -
Accounts Receivable $286,455,000 $193,965,000 $379,417,000 $191,402,000
Cash Cash Equivalents And Short Term Investments $542,426,000 $368,097,000 $323,710,000 $300,635,000
Cash And Cash Equivalents $542,426,000 $368,097,000 $323,710,000 $300,635,000
Restricted Cash - $658,000 $774,000 -
Loans Receivable - - $1,518,000 -
Debt
Total Debt $192,122,000 $16,286,000 $142,990,000 $9,195,000
Long Term Debt And Capital Lease Obligation $183,135,000 $9,073,000 $134,477,000 $5,674,000
Long Term Debt $155,000,000 - $130,000,000 -
Current Debt And Capital Lease Obligation $8,987,000 $7,213,000 $8,513,000 $3,521,000
Current Debt $2,821,000 $2,468,000 $2,481,000 -
Other Current Borrowings $2,821,000 $2,468,000 $2,481,000 -
Liabilities
Total Liabilities Net Minority Interest $589,924,000 $347,400,000 $506,969,000 $215,866,000
Total Non Current Liabilities Net Minority Interest $190,872,000 $18,392,000 $140,130,000 $6,724,000
Other Non Current Liabilities $7,737,000 $9,319,000 $5,653,000 $1,050,000
Current Liabilities $399,052,000 $329,008,000 $366,839,000 $209,142,000
Other Current Liabilities $254,551,000 $222,930,000 $249,413,000 $137,341,000
Payables And Accrued Expenses $124,975,000 $91,237,000 $101,989,000 $62,592,000
Interest Payable $2,342,000 $488,000 - -
Payables $38,222,000 $22,047,000 $44,310,000 $15,082,000
Total Tax Payable $9,772,000 $5,888,000 $9,259,000 $8,288,000
Accounts Payable $28,450,000 $16,159,000 $35,051,000 $6,794,000
Equity
Common Stock Equity $868,789,000 $665,471,000 $529,337,000 $480,087,000
Total Equity Gross Minority Interest $868,789,000 $665,471,000 $529,337,000 $480,087,000
Stockholders Equity $868,789,000 $665,471,000 $529,337,000 $480,087,000
Gains Losses Not Affecting Retained Earnings $3,596,000 $-1,658,000 $335,000 $-743,000
Other Equity Adjustments $3,596,000 $-1,658,000 $335,000 $-743,000
Retained Earnings $-460,348,000 $-528,281,000 $-491,303,000 $-373,463,000
Other
Ordinary Shares Number $210,625,519 $200,534,626 $188,435,952 $173,250,865
Share Issued $210,625,519 $200,534,626 $188,435,952 $173,250,865
Tangible Book Value $811,724,000 $600,068,000 $457,755,000 $480,087,000
Invested Capital $1,026,610,000 $667,939,000 $661,818,000 $480,087,000
Working Capital $916,899,000 $568,506,000 $565,279,000 $460,277,000
Capital Lease Obligations $34,301,000 $13,818,000 $10,509,000 $9,195,000
Total Capitalization $1,023,789,000 $665,471,000 $659,337,000 $480,087,000
Additional Paid In Capital $1,325,520,000 $1,195,390,000 $1,020,286,000 $854,276,000
Capital Stock $21,000 $20,000 $19,000 $17,000
Common Stock $21,000 $20,000 $19,000 $17,000
Long Term Capital Lease Obligation $28,135,000 $9,073,000 $4,477,000 $5,674,000
Current Capital Lease Obligation $6,166,000 $4,745,000 $6,032,000 $3,521,000
Pensionand Other Post Retirement Benefit Plans Current $5,099,000 $4,043,000 $3,565,000 $1,926,000
Current Provisions $5,440,000 $3,585,000 $3,359,000 $3,762,000
Current Accrued Expenses $86,753,000 $69,190,000 $57,679,000 $47,510,000
Goodwill $54,940,000 $54,940,000 $54,940,000 $0
Net PPE $73,973,000 $44,568,000 $25,535,000 $20,221,000
Accumulated Depreciation $-44,936,000 $-35,746,000 $-26,430,000 $-18,517,000
Gross PPE $118,909,000 $80,314,000 $51,965,000 $38,738,000
Leases $29,597,000 $8,720,000 $8,080,000 $7,036,000
Construction In Progress $731,000 $7,672,000 $0 $722,000
Other Properties $12,452,000 $13,002,000 $9,525,000 $8,675,000
Machinery Furniture Equipment $76,129,000 $50,920,000 $34,360,000 $22,305,000
Properties $0 $0 $0 $0
Line Of Credit - $2,468,000 $2,481,000 -
Buildings And Improvements - $13,002,000 $9,525,000 $8,675,000
Preferred Stock - - - -
Fetched: 2026-06-20
Cash Flow Statement (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Free Cash Flow
Free Cash Flow $283,262,000 $93,894,000 $57,702,000 $-115,717,000
Operating Activities
Operating Cash Flow $325,082,000 $111,596,000 $66,806,000 $-108,656,000
Cash Flow From Continuing Operating Activities $325,082,000 $111,596,000 $66,806,000 $-108,656,000
Investing Activities
Capital Expenditure $-41,820,000 $-17,702,000 $-9,104,000 $-7,061,000
Investing Cash Flow $-69,934,000 $-19,886,000 $-50,037,000 $-7,309,000
Cash Flow From Continuing Investing Activities $-69,934,000 $-19,886,000 $-50,037,000 $-7,309,000
Net Other Investing Changes $-28,114,000 $-2,184,000 - -
Capital Expenditure Reported $-12,389,000 $-11,704,000 $-6,247,000 $-3,382,000
Financing Activities
Repurchase Of Capital Stock $-23,894,000 $0 $0 -
Financing Cash Flow $-89,780,000 $-42,367,000 $6,254,000 $14,587,000
Cash Flow From Continuing Financing Activities $-89,780,000 $-42,367,000 $6,254,000 $14,587,000
Net Other Financing Charges $-238,695,000 $69,584,000 $-127,098,000 $-99,000
Net Common Stock Issuance $-23,894,000 $0 $0 $0
Issuance Of Capital Stock - - $0 $0
Net Preferred Stock Issuance - - $0 $0
Preferred Stock Issuance - - $0 $0
Common Stock Issuance - - $0 $0
Other
Repayment Of Debt $-6,656,000,000 $-1,583,000,000 $-651,068,000 $-384,000
Issuance Of Debt $6,811,000,000 $1,453,000,000 $764,000,000 $0
Interest Paid Supplemental Data $5,478,000 $2,551,000 $1,653,000 $906,000
End Cash Position $544,299,000 $369,817,000 $325,029,000 $300,734,000
Beginning Cash Position $369,817,000 $325,029,000 $300,734,000 $403,313,000
Effect Of Exchange Rate Changes $9,114,000 $-4,555,000 $1,272,000 $-1,201,000
Changes In Cash $165,368,000 $49,343,000 $23,023,000 $-101,378,000
Proceeds From Stock Option Exercised $17,809,000 $18,049,000 $20,420,000 $15,070,000
Common Stock Payments $-23,894,000 $0 $0 -
Net Issuance Payments Of Debt $155,000,000 $-130,000,000 $112,932,000 $-384,000
Net Long Term Debt Issuance $155,000,000 $-130,000,000 $112,932,000 $-384,000
Long Term Debt Payments $-6,656,000,000 $-1,583,000,000 $-651,068,000 $-384,000
Long Term Debt Issuance $6,811,000,000 $1,453,000,000 $764,000,000 $0
Net Business Purchase And Sale $0 $0 $-40,933,000 $-248,000
Purchase Of Business $0 $0 $-40,933,000 $-248,000
Net PPE Purchase And Sale $-29,431,000 $-5,998,000 $-2,857,000 $-3,679,000
Purchase Of PPE $-29,431,000 $-5,998,000 $-2,857,000 $-3,679,000
Change In Working Capital $51,938,000 $-22,623,000 $29,384,000 $-98,982,000
Change In Other Current Liabilities $15,050,000 $-6,141,000 $-4,733,000 $38,906,000
Change In Other Current Assets $5,467,000 $5,981,000 $5,186,000 $-34,665,000
Change In Payables And Accrued Expense $33,898,000 $-10,239,000 $41,966,000 $28,317,000
Change In Accrued Expense $23,840,000 $10,584,000 $14,407,000 $22,782,000
Change In Payable $10,058,000 $-20,823,000 $27,559,000 $5,535,000
Change In Account Payable $10,058,000 $-20,823,000 $27,559,000 $5,535,000
Change In Prepaid Assets $-2,477,000 $-12,224,000 $-13,035,000 $-4,598,000
Other Non Cash Items $3,336,000 $2,587,000 $4,600,000 $2,328,000
Stock Based Compensation $155,114,000 $152,137,000 $136,967,000 $95,293,000
Depreciation Amortization Depletion $46,761,000 $16,473,000 $13,695,000 $6,724,000
Depreciation And Amortization $46,761,000 $16,473,000 $13,695,000 $6,724,000
Depreciation $46,761,000 $16,473,000 - -
Net Income From Continuing Operations $67,933,000 $-36,978,000 $-117,840,000 $-114,019,000
Income Tax Paid Supplemental Data - $3,159,000 $5,305,000 $2,282,000
Change In Receivables - $186,357,000 $-183,422,000 $-126,942,000
Changes In Account Receivables - $186,357,000 $-183,422,000 $-126,942,000
Amortization Cash Flow - $6,200,000 - -
Amortization Of Intangibles - $6,200,000 - -
Net Short Term Debt Issuance - - $130,000,000 $0
Short Term Debt Payments - - $-634,000,000 $0
Short Term Debt Issuance - - $764,000,000 $0
Change In Other Working Capital - - - $42,979,000
Preferred Stock Payments - - - -
Net Intangibles Purchase And Sale - - - -
Purchase Of Intangibles - - - -
Fetched: 2026-06-20