Replimune Group, Inc.Replimune Group, Inc.Replimune Group, Inc.

Replimune Group, Inc.

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REPL fundamentals

An in-depth look to Replimune Group, Inc. operating, investing, and financing activities

REPL free cash flow for Q2 24 is -40.72 M USD. For 2023, REPL free cash flow was -191.13 M USD and operating cash flow was -185.47 M USD.

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Cash from operating activities
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Cash from financing activities
Currency: USD
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TTM
Free cash flowYoY growth