CompaniesByCap
REPL
Replimune Group Inc. (REPL)
NASDAQ · Healthcare

Replimune Group Inc. Cash on Hand 2020–2025

Replimune Group Inc. annual cash on hand history from 2020 to 2025. Cash on hand refers to the total amount of cash and cash equivalents held by a company.

  • Replimune Group Inc. cash on hand as of March 31, 2025: 111.1M, a 49.24% increase year-over-year.
  • Replimune Group Inc. cash on hand for 2025 were 111.1M, a 49.24% increase from 2024.
  • Replimune Group Inc. cash on hand for 2024 were 74.5M, a 49.21% decrease from 2023.
  • Replimune Group Inc. cash on hand for 2023 were 146.6M, a 38.36% increase from 2022.
  • Replimune Group Inc. cash on hand for 2022 were 105.9M.
Cash on Hand
ANNUAL · $B
YEAR-OVER-YEAR GROWTH · %
Replimune Group Inc. Annual Cash on Hand (Millions of US $)
2025$111
2024$74
2023$147
2022$106
2021$183
2020$60

Replimune Group Inc. Cash on Hand — FAQ

Replimune Group Inc. (REPL) cash on hand over the last 6 years — annual and quarterly figures with year-over-year growth and charts.

Where can I see REPL's cash on hand history?

The chart and table above show Replimune Group Inc.'s cash on hand by year and by quarter, including the growth rate.