Replimune Group, Inc.REPLNASDAQ
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Cash Flow Under PressureContracting
Percentile Rank0
Studio
Year-over-Year Change

Operating cash flow minus capital expenditures

Latest
$-283.27M
↓ 165% vs avg
Percentile
P0
Near historical low
Streak
5 yr
Consecutive declineContracting
Average
$-107.05M
Historical baseline
PeriodValueYoY Change
TTM$-283.27M-42.4%
2025$-198.94M-4.1%
2024$-191.13M-46.7%
2023$-130.32M-54.2%
2022$-84.52M-32.5%
2021$-63.78M+4.9%
2020$-67.09M-139.8%
2019$-27.98M-73.2%
2018$-16.15M-120.8%
2017$-7.32M-