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RH

RH
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127.200USD
+0.660+0.52%
Close 09-21 16:00ET
2.41BMarket Cap
19.12P/E TTM
After-hours 18:30 (ET)127.200USD-0.470-0.37%

RH Financials

See RH's financials through an all-in-one data dashboard designed for smart investors. This provides you with financial analysis by organizing complex financial statements into customizable views. Access the latest annual financial report or break down performance quarter-by-quarter using the income statement, balance sheet, and cash flow statement. With real-time financial indicators at your fingertips, monitoring a company's market health over time has never been easier.

Key Financial Ratios

Market Cap
2.41B
Dividend TTM
0.00
P/E TTM
19.12
EPS TTM
6.65
Revenue
3.44B
Net Profit
72.41M
ROE
29.86%
ROA
2.66%

RH Earnings Date

Latest Release
Sep 10, 2026
EPS / Forecast
3.18/0.43
Revenue / Forecast
922.15M/915.07M

Financial Statement Highlights

Quarterly
Quarterly+Annual
Quarterly
Annual
FY2027Q2
FY2027Q1
FY2026Q4
FY2026Q3
FY2026Q2
FY2026Q1
FY2025Q4
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
Financial Indicators
EPS
15.28%3.18
-269.33%-0.73
790.83%6.65
8.02%1.93
75.94%2.76
316.98%0.43
19.09%0.75
1603.28%1.79
-57.01%1.57
-110.41%-0.20
-86.31%0.63
-102.85%-0.12
--3.65
--1.90
--4.58
--4.17
----
----
----
----
----
Revenue
2.56%922.15M
-1.67%800.33M
3.72%842.62M
8.88%883.81M
8.38%899.15M
11.97%813.95M
10.04%812.41M
8.05%811.73M
3.64%829.65M
-1.65%726.96M
-4.43%738.26M
-13.56%751.23M
-19.28%800.48M
-22.79%739.16M
-14.43%772.50M
-13.65%869.07M
0.28%991.62M
11.21%957.29M
11.12%902.74M
19.24%1.01B
----
Net Profit
16.36%60.17M
-270.38%-13.70M
106.76%28.77M
9.34%36.27M
78.60%51.71M
321.77%8.04M
22.28%13.92M
1616.60%33.17M
-62.14%28.95M
-108.65%-3.63M
-89.35%11.38M
-102.21%-2.19M
-37.45%76.48M
-79.13%41.89M
-27.30%106.90M
-46.35%98.76M
-46.07%122.28M
53.62%200.71M
12.94%147.04M
296.67%184.10M
----
Net Margin
13.46%6.52%
-273.28%-1.71%
99.35%3.41%
0.42%4.10%
64.80%5.75%
298.06%0.99%
11.12%1.71%
1503.57%4.09%
-63.47%3.49%
-108.80%-0.50%
-88.86%1.54%
-102.56%-0.29%
--9.55%
--5.67%
--13.84%
--11.36%
----
----
----
----
----
Gross Margin
-7.12%42.28%
-5.19%41.39%
-1.32%44.07%
-0.94%44.10%
0.77%45.52%
0.42%43.66%
2.72%44.66%
-1.78%44.51%
-4.87%45.17%
-7.54%43.47%
-9.09%43.47%
-6.40%45.32%
--47.48%
--47.02%
--47.82%
--48.42%
----
----
----
----
----
Debt to assets ratio
-7.67%63.26%
--64.18%
-8.97%65.22%
-7.08%66.87%
-2.96%68.51%
----
-2.80%71.65%
-2.75%71.97%
-5.47%70.60%
22.75%72.78%
23.72%73.72%
37.30%74.01%
--74.69%
--59.29%
--59.58%
--53.90%
----
----
----
----
----
Revenue
2.56%922.15M
-1.67%800.33M
3.72%842.62M
8.88%883.81M
8.38%899.15M
11.97%813.95M
10.04%812.41M
8.05%811.73M
3.64%829.65M
-1.65%726.96M
-4.43%738.26M
-13.56%751.23M
-19.28%800.48M
-22.79%739.16M
-14.43%772.50M
-13.65%869.07M
0.28%991.62M
11.21%957.29M
11.12%902.74M
19.24%1.01B
----
Operating profit
-51.18%66.21M
-95.39%2.58M
5.78%96.55M
-15.25%102.56M
41.08%135.62M
23.46%55.91M
40.96%91.28M
120.96%121.01M
-39.67%96.13M
-57.62%45.29M
-44.80%64.75M
-68.92%54.77M
-32.67%159.34M
-49.41%106.86M
-46.69%117.31M
-35.34%176.21M
-7.85%236.65M
12.41%211.21M
19.22%220.04M
140.52%272.54M
----
Net Profit
16.36%60.17M
-270.38%-13.70M
106.76%28.77M
9.34%36.27M
78.60%51.71M
321.77%8.04M
22.28%13.92M
1616.60%33.17M
-62.14%28.95M
-108.65%-3.63M
-89.35%11.38M
-102.21%-2.19M
-37.45%76.48M
-79.13%41.89M
-27.30%106.90M
-46.35%98.76M
-46.07%122.28M
53.62%200.71M
12.94%147.04M
296.67%184.10M
----
Current assets
-3.54%1.16B
-12.19%1.12B
-14.22%1.11B
-12.00%1.12B
-1.44%1.20B
----
17.19%1.29B
-0.71%1.28B
-10.12%1.22B
-54.92%1.12B
-56.15%1.10B
-60.60%1.29B
-58.28%1.36B
-27.16%2.48B
-18.72%2.51B
8.38%3.27B
185.75%3.25B
243.54%3.40B
285.71%3.09B
310.10%3.01B
83.09%1.14B
Total current liabilities
8.30%1.03B
6.72%996.86M
2.82%930.61M
5.58%946.25M
-5.61%953.90M
----
3.70%905.13M
-4.14%896.27M
15.80%1.01B
9.98%936.49M
-1.48%872.87M
-0.02%934.97M
-8.99%872.67M
-37.46%851.50M
-16.71%885.97M
-14.70%935.18M
-21.98%958.90M
33.99%1.36B
15.42%1.06B
24.22%1.10B
56.56%1.23B
Total assets
9.24%5.13B
6.40%4.95B
6.17%4.84B
7.38%4.79B
7.33%4.70B
----
9.91%4.55B
5.27%4.46B
3.88%4.38B
-21.30%4.19B
-21.95%4.14B
-27.93%4.24B
-27.76%4.21B
-9.65%5.32B
-4.17%5.31B
8.56%5.88B
68.19%5.83B
81.88%5.89B
91.16%5.54B
102.30%5.42B
38.33%3.47B
Total liabilities
5.76%5.01B
2.72%4.89B
1.20%4.78B
3.08%4.79B
2.75%4.74B
----
6.24%4.72B
1.60%4.65B
2.53%4.61B
-0.09%4.48B
-1.84%4.44B
-0.35%4.57B
-2.47%4.50B
-1.45%4.48B
3.53%4.52B
4.34%4.59B
75.31%4.61B
72.02%4.55B
78.28%4.37B
84.63%4.40B
10.61%2.63B
Total equity
394.25%120.35M
151.39%56.93M
137.04%60.60M
101.83%3.35M
82.57%-40.90M
----
44.99%-163.59M
45.08%-183.01M
17.52%-234.72M
-134.54%-289.92M
-137.90%-297.39M
-125.75%-333.21M
-123.32%-284.58M
-37.44%839.39M
-32.95%784.66M
26.69%1.29B
45.81%1.22B
125.72%1.34B
161.79%1.17B
244.05%1.02B
551.30%836.86M
Net operating income
5.48%145.22M
-39.40%52.50M
611.70%96.07M
519.43%131.86M
1131.91%137.68M
54.36%86.64M
83.53%-18.77M
-146.36%-31.44M
-93.08%11.18M
-35.29%56.13M
-268.41%-113.96M
-52.74%67.82M
185.71%161.62M
-36.20%86.74M
-47.31%67.67M
-33.86%143.50M
-55.05%56.57M
-28.78%135.95M
-16.33%128.43M
-0.92%216.96M
----
Net investment
95.86%-3.69M
12.93%-39.22M
18.19%-41.63M
26.01%-47.91M
-59.63%-89.11M
34.67%-45.04M
63.98%-50.89M
-27.37%-64.75M
-16.29%-55.82M
-2.41%-68.94M
-119.48%-141.27M
-19.27%-50.84M
-42.87%-48.00M
-120.88%-67.32M
-79.98%-64.37M
42.80%-42.62M
-2.89%-33.60M
40.73%-30.48M
72.55%-35.76M
-78.58%-74.51M
----
Net financing
-15.48%-69.56M
97.84%-584.00K
-510.42%-56.75M
-171.89%-75.41M
-389.91%-60.24M
-202.85%-27.00M
397.70%13.83M
294.59%104.90M
101.71%20.78M
18.46%-8.92M
99.28%-4.64M
-70.99%-53.91M
-567.50%-1.21B
74.18%-10.94M
-465.45%-646.80M
-101.79%-31.52M
-469.28%-181.81M
-283.89%-42.35M
-773.98%-114.39M
1903.47%1.76B
----

Revenue

By Business

Period:
No Data

By Region

Period:
No Data

FAQs

What is the total revenue of RH?

According to RH's FY2026 earnings report, its total revenue reached 3.44B, with a year-on-year change of 3.18B.

What are the current assets of RH?

According to RH's FY2026 earnings report, its current assets were 1.11B, with a year-on-year change of -14.22.

What are the total assets of RH?

According to RH's FY2026 earnings report, its total assets of RH were 4.84B, with a year-on-year change of 6.17.

What are the total liabilities of RH?

According to RH's FY2026 earnings report, its total liabilities of RH were 4.78B, with a year-on-year change of 1.20.

What is the total equity of RH?

According to RH's FY2026 earnings report, its total equity of RH was 60.60M, with a year-on-year change of 137.04.

What is the net operating income of RH?

According to RH's FY2026 earnings report, its net operating income of RH was 390.64M, with a year-on-year change of 10.44.

What is the net investment of RH?

According to RH's FY2026 earnings report, its net investment of RH was -223.69M, with a year-on-year change of 6.95.

What is the net financing of RH?

According to RH's FY2026 earnings report, its net financing of RH was -219.40M, with a year-on-year change of -268.01.

What is the Earnings Per Share (EPS) of RH?

According to RH's FY2026 earnings report, its Earnings Per Share (EPS) was 6.65, with a year-on-year change of 69.88.

What is the net income of RH?

According to RH's FY2026 earnings report, its net income was 124.79M, with a year-on-year change of 72.33.

What is the net margin of RH?

According to RH's FY2026 earnings report, its net profit margin was 3.63, with a year-on-year change of 59.36.

What is the gross margin of RH?

According to RH's FY2026 earnings report, its gross margin was 44.07, with a year-on-year change of -0.93.

What is the debt-to-asset ratio of RH?

According to RH's FY2026 earnings report, its debt-to-asset ratio was 65.22, with a year-on-year change of -8.97.

What is the Return on Assets (ROA) of RH?

According to RH's FY2026 earnings report, its Return on Assets (ROA) was 2.66, with a year-on-year change of 59.63.

What is the operating profit of RH?

According to RH's FY2026 earnings report, its operating profit was 390.64M, with a year-on-year change of 10.44.
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