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Markets
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Stocks
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nasdaq-rely
/
Remitly Global Inc
RELY
15.880
USD
+0.090
+0.57%
Market hours (ET)
Quotes delayed by 15 min
USD
0.000
Pre-market (ET)
3.24B
Market Cap
Loss
P/E TTM
Remitly Global Inc
15.880
+0.090
+0.57%
Overview
Company
Financials
Statements
Income Statement
Balance Sheet
Cash Flow Statement
Overview
Company
Financials
Statements
Income Statement
Balance Sheet
Cash Flow Statement
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
Operating cash flows (indirect method)
Cash flow from continuing operating activities
333.95%
132.90M
261.41%
55.63M
405.58%
146.76M
194.22%
48.90M
-2374.22%
-56.81M
55.44%
-34.47M
153.94%
29.03M
-264.98%
-51.90M
-105.70%
-2.30M
-104.55%
-77.35M
-31.74%
-53.82M
-438.64%
-14.22M
-36.03%
40.25M
12.12%
-37.82M
-73.17%
-40.85M
93.55%
-2.64M
1043.41%
62.92M
--
-43.03M
--
-23.59M
--
-40.92M
--
-6.67M
Net income from continuing operations
153.85%
11.35M
83.66%
-5.72M
105.38%
1.92M
35.86%
-12.09M
25.55%
-21.08M
-80.57%
-35.02M
-7.82%
-35.66M
50.71%
-18.85M
-21.47%
-28.31M
-17.01%
-19.39M
-155.12%
-33.07M
-2541.23%
-38.24M
-200.00%
-23.31M
-84.08%
-16.58M
-433.64%
-12.96M
81.98%
-1.45M
40.67%
-7.77M
--
-9.01M
--
-2.43M
--
-8.03M
--
-13.10M
Operating gains losses
46.71%
5.40M
66.88%
5.81M
36.19%
4.66M
22.59%
3.91M
21.43%
3.68M
87.92%
3.48M
85.46%
3.42M
111.06%
3.19M
99.67%
3.03M
35.72%
1.85M
39.73%
1.84M
13.88%
1.51M
21.85%
1.52M
13.74%
1.37M
31.64%
1.32M
33.80%
1.33M
43.76%
1.25M
--
1.20M
--
1.00M
--
991.00K
--
866.00K
Other non-cash items
283.53%
955.00K
103.91%
155.00K
-61.94%
2.69M
-104.82%
-54.00K
-77.01%
249.00K
-4601.14%
-3.96M
243.09%
7.07M
1066.67%
1.12M
1204.82%
1.08M
-4.35%
88.00K
-71.89%
2.06M
313.33%
96.00K
1085.71%
83.00K
468.00%
92.00K
31973.91%
7.33M
-4600.00%
-45.00K
-85.71%
7.00K
--
-25.00K
--
-23.00K
--
1.00K
--
49.00K
Change in working capital
207.68%
79.41M
139.44%
13.78M
457.39%
98.22M
127.54%
19.98M
-906.32%
-73.74M
59.99%
-34.93M
134.96%
17.62M
-616.82%
-72.56M
-113.99%
-7.33M
-183.95%
-87.31M
-22.09%
-50.40M
-95.56%
-10.12M
-22.89%
52.37M
16.02%
-30.75M
-75.89%
-41.28M
85.28%
-5.18M
1487.84%
67.91M
--
-36.62M
--
-23.47M
--
-35.16M
--
4.28M
-Change in receivables
72.60%
-16.28M
174.71%
85.82M
248.71%
182.62M
-47.41%
-22.65M
-185.38%
-59.43M
-54.40%
-114.87M
-441.46%
-122.80M
0.34%
-15.36M
581.62%
69.61M
-731.00%
-74.39M
-12.22%
-22.68M
-733.06%
-15.41M
-27.93%
-14.45M
279.64%
11.79M
-288.26%
-20.21M
117.16%
2.44M
-290.62%
-11.30M
--
-6.56M
--
-5.21M
--
-14.19M
--
5.93M
-Change in prepaid expenses
39.56%
-6.27M
-60.72%
-5.44M
-34.97%
450.00K
81.08%
3.14M
14.08%
-10.38M
-172.16%
-3.38M
203.59%
692.00K
-50.93%
1.73M
-94.15%
-12.08M
59.49%
-1.24M
83.15%
-668.00K
1076.24%
3.53M
-20.45%
-6.22M
-202.51%
-3.07M
-69.76%
-3.96M
82.88%
-362.00K
-928.88%
-5.17M
--
2.99M
--
-2.33M
--
-2.12M
--
-502.00K
-Change in other current assets
1629.07%
73.43M
-411.31%
-67.78M
-200.42%
-67.35M
172.91%
52.84M
88.83%
-4.80M
1552.57%
21.77M
1251.13%
67.07M
28.53%
-72.46M
-167.93%
-42.97M
85.16%
-1.50M
108.73%
4.96M
-712.24%
-101.39M
80.29%
63.26M
73.97%
-10.10M
-93.07%
-56.84M
174.58%
16.56M
51.89%
35.09M
--
-38.80M
--
-29.44M
--
-22.20M
--
23.10M
-Change in other current liabilities
-83.13%
2.49M
-112.75%
-4.14M
-34.00%
27.51M
-405.97%
-25.45M
297.96%
14.74M
426.34%
32.51M
277.58%
41.69M
-110.05%
-5.03M
-172.61%
-7.45M
118.07%
6.18M
-171.34%
-23.48M
261.29%
50.02M
-78.80%
10.26M
-21675.16%
-34.19M
2715.90%
32.91M
-18451.48%
-31.01M
273.90%
48.39M
--
-157.00K
--
-1.26M
--
169.00K
--
-27.83M
Cash from non-recurring investing activities
Cash from operating activities
333.95%
132.90M
261.41%
55.63M
405.58%
146.76M
194.22%
48.90M
-2374.22%
-56.81M
55.44%
-34.47M
153.94%
29.03M
-264.98%
-51.90M
-105.70%
-2.30M
-104.55%
-77.35M
-31.74%
-53.82M
-438.64%
-14.22M
-36.03%
40.25M
12.12%
-37.82M
-73.17%
-40.85M
93.55%
-2.64M
1043.41%
62.92M
--
-43.03M
--
-23.59M
--
-40.92M
--
-6.67M
Investing cash flow
Net cash from continuing investing activities
292.03%
16.91M
101.86%
5.22M
49.98%
3.91M
143.20%
4.26M
99.72%
4.31M
6.90%
2.59M
78.44%
2.61M
12.54%
1.75M
32.92%
2.16M
94.22%
2.42M
41.02%
1.46M
47.53%
1.56M
35.64%
1.63M
30.61%
1.25M
-0.77%
1.04M
10.83%
1.05M
-15.69%
1.20M
--
954.00K
--
1.04M
--
951.00K
--
1.42M
Capital expenditures
292.03%
16.91M
101.86%
5.22M
49.98%
3.91M
143.20%
4.26M
99.72%
4.31M
6.90%
2.59M
78.44%
2.61M
12.54%
1.75M
32.92%
2.16M
94.22%
2.42M
41.02%
1.46M
47.53%
1.56M
35.64%
1.63M
30.61%
1.25M
-0.77%
1.04M
10.83%
1.05M
-15.69%
1.20M
--
954.00K
--
1.04M
--
951.00K
--
1.42M
Net cash flow from disposal of fixed assets
292.03%
16.91M
101.86%
5.22M
49.98%
3.91M
143.20%
4.26M
99.72%
4.31M
6.90%
2.59M
78.44%
2.61M
12.54%
1.75M
32.92%
2.16M
94.22%
2.42M
41.02%
1.46M
47.53%
1.56M
35.64%
1.63M
30.61%
1.25M
-0.77%
1.04M
10.83%
1.05M
-15.69%
1.20M
--
954.00K
--
1.04M
--
951.00K
--
1.42M
Net cash flow from business transactions
--
--
--
0.00
--
0.00
--
0.00
100.00%
0.00
-100.00%
0.00
100.00%
0.00
--
0.00
--
-40.93M
--
127.00K
--
-375.00K
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
Cash from non-current investing activities
Net cash flow from investing activities
-292.03%
-16.91M
-101.86%
-5.22M
-49.98%
-3.91M
-143.20%
-4.26M
89.99%
-4.31M
-12.82%
-2.59M
-41.99%
-2.61M
-12.54%
-1.75M
-2551.88%
-43.09M
-84.03%
-2.29M
-77.22%
-1.84M
-47.53%
-1.56M
-35.64%
-1.63M
-30.61%
-1.25M
0.77%
-1.04M
-10.83%
-1.05M
15.69%
-1.20M
--
-954.00K
--
-1.04M
--
-951.00K
--
-1.42M
Financing cash flow
Cash flow from continuous financing activities
-72.93%
7.07M
-98.93%
1.46M
65.02%
-10.27M
-493.44%
-144.75M
339.47%
26.12M
4626.52%
136.17M
-882.25%
-29.36M
1903.87%
36.79M
-519.38%
-10.91M
297.06%
2.88M
-98.80%
3.75M
102.97%
1.84M
123.92%
2.60M
-101.82%
-1.46M
360.43%
312.31M
-431.50%
-61.77M
75.63%
-10.87M
--
80.37M
--
67.83M
--
18.63M
--
-44.62M
Net cash flow from debt Issuance/repayment
-100.00%
0.00
-100.00%
0.00
55.88%
-15.00M
-497.06%
-135.00M
217.18%
20.00M
33954.17%
130.00M
--
-34.00M
--
34.00M
--
-17.07M
--
-384.00K
--
--
100.00%
0.00
100.00%
0.00
--
--
100.00%
0.00
--
-65.00M
66.67%
-15.00M
--
-4.86M
--
-45.00M
--
0.00
--
-45.00M
Net cash flow from common stock issuance/repurchase
15.27%
5.77M
-100.00%
0.00
31.99%
4.38M
--
0.00
83.36%
5.00M
--
6.13M
--
3.32M
--
--
--
2.73M
--
0.00
--
--
--
--
--
--
--
--
--
307.09M
--
0.00
--
0.00
--
--
--
--
--
0.00
--
0.00
Net cash flow from preferred stock issuance/repurchase
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
0.00
--
0.00
100.00%
0.00
-100.00%
0.00
-100.00%
0.00
--
0.00
--
-20.00K
--
3.00M
--
84.83M
--
--
--
0.00
--
0.00
Proceeds from stock option exercised by employees
-3.66%
2.39M
43.50%
2.91M
-60.25%
1.56M
-50.96%
1.71M
-48.74%
2.48M
-38.65%
2.03M
3.89%
3.92M
86.98%
3.49M
86.24%
4.84M
300.61%
3.31M
20.13%
3.78M
-42.55%
1.87M
130.99%
2.60M
113.44%
826.00K
222.23%
3.15M
412.30%
3.25M
192.47%
1.13M
--
387.00K
--
976.00K
--
634.00K
--
385.00K
Net cash flow from other financing activities
20.28%
-1.09M
26.97%
-1.45M
53.62%
-1.21M
-1542.26%
-11.46M
3.33%
-1.37M
-4425.00%
-1.99M
-10300.00%
-2.60M
-2226.67%
-698.00K
--
-1.41M
98.08%
-44.00K
-101.21%
-25.00K
--
-30.00K
--
--
--
-2.29M
-98.15%
2.07M
--
--
--
--
--
--
--
111.86M
--
18.00M
--
--
Net cash from non-recurrent financing activities
Net cash from financing activities
-72.93%
7.07M
-98.93%
1.46M
65.02%
-10.27M
-493.44%
-144.75M
339.47%
26.12M
4626.52%
136.17M
-882.25%
-29.36M
1903.87%
36.79M
-519.38%
-10.91M
297.06%
2.88M
-98.80%
3.75M
102.97%
1.84M
123.92%
2.60M
-101.82%
-1.46M
360.43%
312.31M
-431.50%
-61.77M
75.63%
-10.87M
--
80.37M
--
67.83M
--
18.63M
--
-44.62M
Net cash flow
Beginning cash balance
13.78%
369.82M
45.71%
326.44M
-17.33%
188.69M
18.10%
288.93M
8.08%
325.03M
-40.50%
224.04M
-46.89%
228.24M
-44.98%
244.66M
-25.43%
300.74M
-15.12%
376.53M
147.51%
429.76M
86.05%
444.66M
114.44%
403.31M
193.56%
443.62M
61.58%
173.63M
83.15%
239.00M
2.48%
188.07M
--
151.12M
--
107.46M
--
130.49M
--
183.52M
Current period cash flow changes
448.45%
125.79M
-57.05%
43.38M
3380.57%
137.75M
-510.65%
-100.24M
35.63%
-36.10M
233.23%
100.99M
92.11%
-4.20M
-10.20%
-16.41M
-235.64%
-56.08M
-88.08%
-75.80M
-119.72%
-53.23M
77.21%
-14.90M
-18.82%
41.34M
-209.05%
-40.30M
518.41%
269.98M
-183.78%
-65.37M
196.04%
50.93M
--
36.96M
--
43.66M
--
-23.04M
--
-53.03M
Effect of exchange rate changes
348.23%
2.73M
-554.09%
-8.50M
509.67%
5.17M
-129.28%
-130.00K
-601.83%
-1.10M
93.89%
1.87M
4.83%
-1.26M
146.39%
444.00K
87.18%
219.00K
334.68%
965.00K
-199.32%
-1.33M
-1086.60%
-957.00K
39.29%
117.00K
-61.72%
222.00K
-196.30%
-443.00K
-51.26%
97.00K
126.17%
84.00K
--
580.00K
--
460.00K
--
199.00K
--
-321.00K
Ending cash balance
71.53%
495.61M
13.78%
369.82M
45.71%
326.44M
-17.33%
188.69M
18.10%
288.93M
8.08%
325.03M
-40.50%
224.04M
-46.89%
228.24M
-44.98%
244.66M
-25.43%
300.73M
-15.12%
376.53M
147.51%
429.76M
86.05%
444.66M
114.44%
403.31M
193.56%
443.62M
61.58%
173.63M
83.15%
239.00M
--
188.07M
--
151.12M
--
107.46M
--
130.49M
Free cash flow
289.77%
115.99M
236.05%
50.41M
440.66%
142.85M
183.21%
44.64M
-1271.68%
-61.12M
53.55%
-37.05M
147.79%
26.42M
-240.10%
-53.65M
-111.54%
-4.46M
-104.22%
-79.77M
-31.97%
-55.28M
-327.04%
-15.78M
-37.42%
38.63M
11.20%
-39.06M
-70.04%
-41.89M
91.18%
-3.69M
862.89%
61.72M
--
-43.99M
--
-24.63M
--
-41.87M
--
-8.09M
Currency unit
USD
USD
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USD
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USD
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USD
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USD
USD
USD
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USD
USD
USD
Audit opinions
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