Revolve Group, Inc. (RVLV) Financial Statements (2026 and earlier)

Company Profile

Business Address 12889 MOORE ST.
CERRITOS, CA 90703
State of Incorp. DE
Fiscal Year End December 31
Industry (SIC) 5961 - Catalog and Mail-Order Houses (benchmarking)
More info Complete Financial Analysis Financial Benchmarking

Balance Sheet (Statement of Financial Position) ($ in thousands)

12/31/2025
Q4
9/30/2025
Q3
6/30/2025
Q2
3/31/2025
Q1
12/31/2024
Q4
9/30/2024
Q3
6/30/2024
Q2
ASSETS
Current Assets
Cash, cash equivalents, and short-term investments315,427310,716300,831256,600252,841244,737
Cash and cash equivalent315,427310,716300,831256,600252,841244,737
Receivables21,10820,50317,94211,53315,58518,178
Inventory, net of allowances, customer advances and progress billings238,833221,011213,689229,244240,040234,324
Inventory238,833221,011213,689229,244240,040234,324
Prepaid expense16,82116,01214,56619,37335,07831,142
Advances on inventory purchases16,11214,52813,04610,55710,51315,806
Other undisclosed current assets29,82231,40940,61233,78130,93828,037
Total current assets:638,123614,179600,686561,088584,995572,224
Noncurrent Assets
Operating lease, right-of-use asset30,98333,14940,05836,25938,56740,253
Property, plant, and equipment, after accumulated depreciation, depletion, and amortization13,57810,4069,4918,9378,0058,056
Intangible asset, including goodwill, after accumulated amortization4,3514,2124,5434,3364,3653,988
Goodwill2,0422,0422,0422,0422,0422,042
Intangible asset, excluding goodwill, after accumulated amortization2,3092,1702,5012,2942,3231,946
Deferred income tax assets36,86036,86036,86036,86030,00530,005
Other noncurrent assets27,36224,11622,26718,0674,9963,277
Total noncurrent assets:113,134108,743113,219104,45985,93885,579
TOTAL ASSETS:751,257722,922713,905665,547670,933657,803
LIABILITIES AND EQUITY
Liabilities
Current Liabilities
Accounts payable and accrued liabilities104,863100,41995,31983,62298,596103,197
Accounts payable61,99256,19057,35445,09860,38862,813
Accrued liabilities42,87144,22937,96538,52438,20840,384
Customer refund liability71,72275,48678,52769,66176,18772,058
Other liabilities46,82540,89939,47833,74432,14130,988
Other undisclosed current liabilities12,5729,93212,5909,0709,0339,364
Total current liabilities:235,982226,736225,914196,097215,957215,607
Noncurrent Liabilities
Liabilities, other than long-term debt25,06827,59934,62031,66534,16536,441
Operating lease, liability25,06827,59934,62031,66534,16536,441
Total noncurrent liabilities:25,06827,59934,62031,66534,16536,441
Total liabilities:261,050254,335260,534227,762250,122252,048
Equity
Equity, attributable to parent, including:490,136468,516454,115438,116420,215405,755
Additional paid in capital140,601136,006135,268133,046123,883121,334
Retained earnings349,535332,510318,847305,070296,332284,350
Other undisclosed equity, attributable to parent      71
Equity, attributable to noncontrolling interest   (816)(403)525 
Other undisclosed equity7171727271 
Total equity:490,207468,587453,371437,785420,811405,755
TOTAL LIABILITIES AND EQUITY:751,257722,922713,905665,547670,933657,803

Income Statement (P&L) ($ in thousands)

12/31/2025
Q4
9/30/2025
Q3
6/30/2025
Q2
3/31/2025
Q1
12/31/2024
Q4
9/30/2024
Q3
6/30/2024
Q2
Revenues295,631308,971296,709293,728283,146282,456
Cost of revenue
(Cost of Product and Service Sold)
(134,115)(141,909)(142,423)(139,430)(138,279)(129,850)
Gross profit:161,516167,062154,286154,298144,867152,606
Operating expenses(140,525)(149,059)(139,598)(142,897)(130,614)(136,171)
Operating income:20,99118,00314,68811,40114,25316,435
Nonoperating income (expense)7,310(2,913)8931,3631924,271
Other nonoperating income (expense)7,310(2,913)893 1924,271
Income from continuing operations before equity method investments, income taxes:28,30115,09015,58112,76414,44520,706
Other undisclosed income from continuing operations before income taxes    1,883  
Income from continuing operations before income taxes:28,30115,09015,58114,64714,44520,706
Income tax expense(7,122)(5,079)(4,175)(2,877)(3,694)(5,329)
Net income:21,17910,01111,40611,77010,75115,377
Net income attributable to noncontrolling interest  150413566220 
Net income available to common stockholders, diluted:21,17910,16111,81912,33610,97115,377

Comprehensive Income ($ in thousands)

12/31/2025
Q4
9/30/2025
Q3
6/30/2025
Q2
3/31/2025
Q1
12/31/2024
Q4
9/30/2024
Q3
6/30/2024
Q2
Net income:21,17910,01111,40611,77010,75115,377
Other comprehensive income (loss)(2,131)3,5021,958(3,695)2,869187
Comprehensive income:19,04813,51313,3648,07513,62015,564
Comprehensive income (loss), net of tax, attributable to noncontrolling interest  (159)35(19)23 
Comprehensive income, net of tax, attributable to parent:19,04813,35413,3998,05613,64315,564

Statements Sources

The financial statements are based on the Company's filings with the U.S. Securities and Exchange Commission (SEC) through the Electronic Data Gathering, Analysis, and Retrieval system (EDGAR). The information is derived from the 10-K and 10-Q reports submitted to the SEC in XBRL (eXtensible Business Reporting Language) format and presented according to the US GAAP Taxonomy. Please review the original filings for a more detailed information.

Login to ReadyRatios

 

Have you forgotten your password?

Are you a new user?

Login As
You can log in if you are registered at one of these services: