The Real Brokerage Inc.
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The Real Brokerage Inc. (REAX)

Solvency & Capital Structure

Total Debt

Net Debt

-$99.7M

The Real Brokerage Inc. currently has in total debt. Net debt is -$99.7M after cash offsets. This 'Net Cash' position indicates exceptional financial strength.

Financial Fundamentals

REAXQuarterly Data • 5Y View

DateTotal Debt ($B)Cash & Inv. ($B)Net Debt ($B)Total AssetsDebt/Assets
2026-03-310.000.10-0.10Net Cash0.160.0%
2025-12-310.000.08-0.08Net Cash0.130.0%
2025-09-300.000.06-0.06Net Cash0.150.0%
2025-06-300.000.05-0.05Net Cash0.150.0%
2025-03-310.000.04-0.04Net Cash0.100.0%
2024-12-310.000.03-0.03Net Cash0.090.0%
2024-09-300.000.03-0.03Net Cash0.100.0%
2024-06-300.000.03-0.03Net Cash0.110.0%
2024-03-310.000.03-0.03Net Cash0.080.0%
2023-12-310.000.03-0.03Net Cash0.060.0%
2023-09-300.000.03-0.03Net Cash0.070.0%
2023-06-300.000.03-0.03Net Cash0.080.0%
2023-03-310.000.02-0.02Net Cash0.050.0%
2022-12-310.000.02-0.02Net Cash0.040.2%
2022-09-300.000.03-0.03Net Cash0.050.1%
2022-06-300.000.04-0.04Net Cash0.050.2%
2022-03-310.000.04-0.04Net Cash0.050.2%
2021-12-310.000.04-0.04Net Cash0.040.3%
2021-09-300.000.04-0.04Net Cash0.050.3%
2021-06-300.000.05-0.05Net Cash0.050.4%
2021-03-310.000.02-0.02Net Cash0.020.9%
2020-12-310.000.02-0.02Net Cash0.021.0%
2020-09-300.000.00-0.00Net Cash0.0016.6%
2020-06-300.000.00-0.00Net Cash0.0019.7%
2020-03-310.010.000.010.003835.6%
2019-12-310.010.000.010.002934.3%
2019-03-310.000.00-0.00Net Cash0.00