The Tip Desk

RE/MAX Holdings, Inc.

Financial highlights

Amounts in millions
MetricFY 12/31/25FY 12/31/24FY 12/31/23FY 12/31/22FY 12/31/21
Income Statement
Revenue$291.6$307.7$325.7$353.4$329.7
Operating income$47.0$40.2-$10.6$38.2-$9.9
Net income$13.4$8.1-$98.5$10.8-$24.6
Balance Sheet
Total debt$439.3$443.9$448.5$453.1$457.7
Cash Flow Statement
Free cash flow$33.5$53.0$21.8$61.2$27.2
Dividends$0.0$0.0$13.6$18.2$17.8
Share repurchases——$3.4$34.1—

Shares outstanding 21.2M · Free float 26.5%

Annual filing data through FY ended December 31, 2025; float as of July 14, 2026.

Coverage