Rh
0KTF.L
$165.45 1.00%
Exchange: LSE | Sector: Consumer Cyclical | Industry: Specialty Retail
Q4 2024
Published: Apr 2, 2025

Earnings Highlights

  • Revenue of $812.41M up 11.8% year-over-year
  • EPS of $0.69 increased by 475% from previous year
  • Gross margin of 44.7%
  • Net income of 13.92M
  • "N/A" - N/A

Rh (0KTF.L) QQ4 2024 Results Analysis: Revenue Resilience, Elevated Margins, and a Heavy Leverage Burden

Executive Summary

Rh delivered a resilient Q4 2024 with revenue of $812.4 million, underpinned by a stable gross margin and a continued premium-brand draw. Gross profit reached $362.8 million, producing a gross margin of 44.7%. Operating income amounted to $70.3 million, and EBITDA was $102.5 million, yielding operating and EBITDA margins of 8.7% and 12.6%, respectively. Net income was $13.9 million with diluted EPS of $0.69–$0.75, aided by a tax benefit. However, the company posted negative free cash flow of $69.7 million, driven by a CFO of $-18.8 million and capital expenditures of $50.9 million. On the balance sheet, Rh remains heavily leveraged, reporting total debt of $3.94 billion and net debt of approximately $3.91 billion, with negative shareholders’ equity of $-163.6 million. Cash balances are modest at $30.4 million, and liquidity metrics show a current ratio of 1.43 but a very low cash ratio (0.0336). The quarterly results imply revenue and gross-margin strength alongside ongoing cash-flow and leverage challenges, highlighting the need for deleveraging and cash-flow normalization to support a constructive longer-term investment thesis. While management commentary is not included in the provided transcript data, typical themes would include pricing power, inventory management, and deleveraging strategies; investors should monitor cash conversion, working capital dynamics, and debt maturities going forward.

Key Performance Indicators

Revenue

812.41M
QoQ: 0.08% | YoY:11.75%

Gross Profit

362.80M
44.66% margin
QoQ: 0.40% | YoY:14.80%

Operating Income

70.33M
QoQ: -30.69% | YoY:10.83%

Net Income

13.92M
QoQ: -58.04% | YoY:483.92%

EPS

0.75
QoQ: -58.10% | YoY:475.00%

Revenue Trend

Margin Analysis

Key Insights

Revenue: $812.406 million; YoY +11.75%, QoQ +0.08%. Gross Profit: $362.797 million; YoY +14.80%, QoQ +0.40%; Gross Margin: 44.66%. Operating Income: $70.329 million; YoY +10.83%, QoQ -30.69%; Operating Margin: 8.66%. EBITDA: $102.504 million; EBITDA Margin: 12.60%. Net Income: $13.917 million; YoY +483.92%, QoQ -58.04%; Net Margin: 1.71%. EPS (GAAP): $0.75; Diluted EPS: $0.69; YoY EPS +475%, QoQ -58.1%. Free Cash Flow: $(69.666) million; CFO: $(18.774) million; Capex: $(50.891) million; D&A:...

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q2 2025 899.15 2.62 +8.4% View
Q1 2025 813.95 0.40 -1.9% View
Q4 2024 812.41 0.69 +11.8% View
Q3 2024 811.73 1.66 +11.7% View
Q2 2024 829.66 1.45 +12.4% View