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MARKETS / NASDAQ / RDI
NASDAQ · SERVICES-MOTION PICTURE THEATERS · SMALL CAP

Reading International Inc. RDI

17 fiscal years on record · USD · FY2025 reported · SEC filings only
$203.0M
▼ 3.6% YoY
$-14.1M
$-2.9M
In brief

What this company does

The company develops, owns, and operates entertainment and real property assets in three jurisdictions: the United States, Australia, and New Zealand. The company groups its businesses into two operating segments, Cinema Exhibition and Real Estate, each owned and operated through various operating subsidiaries. As of December 31, 2025, the company's principal tangible assets included interests in 58 cinemas comprising 469 screens. The Real Estate segment comprised approximately 9,114,000 square feet of land and approximately 429,000 square feet of net rentable area as of the date of the 2025 Annual Report. As of December 31, 2025, the company had approximately 89 executive and administrative employees and 8 real estate employees who were primarily full-time, and 20 live theatre employees and 1,908 cinema employees worldwide who were predominantly part-time or casual. Reading International, Inc. was incorporated in 1999 as part of its reincorporation in the State of Nevada.

Written from the business description in READING INTERNATIONAL INC's annual report to the U.S. Securities and Exchange Commission, filed 31 March 2026. Every sentence was checked against that document before publication.

Growth
USD 203.0M
Revenue, FY2025 · full 17-year series below
Revenue $M Net income $M
FY2025 · Revenue 203.0 · Net income -14.1
200.0M-25.0M-50.0M200920112013201520172019202120232025
Compound annual growth
−0.0%
+21.1%
−2.4%
−0.8%
−53.1%
−25.0%
+71.7%
3 yrs
5 yrs
10 yrs
15 yrs

Revenue compounded at +21.1% a year over five years.

Compound annual rates per period — left blank where that exact year isn't on file, the series crosses a loss, or (per-share rows) a split falls inside the window.

Profitability
−7 cents
lost on every revenue dollar
Operating margin Net margin
FY2025 · Operating -2.6% · Net -7.2%
10%20%-50%200920112013201520172019202120232025
ROE
FY2024 · ROE -245.8%
10%20%30%-100%-200%200920112013201520172019202120232025

Cash & shareholders
returned in FY2025 · dividends + net buybacks
Free cash flow $M
FY2025 · FCF -2.9
8M16M-20M-40M200920112013201520172019202120232025
Net buybacks $M Dividends $M
FY2020 · Dividends — · Net buybacks 0.7
4M8M201020112014201520162017201820192020

Total assetsUSD 434.9M
EquityUSD -18.2M
CashUSD 10.5M
Gross debtUSD 221.1M
Net debtUSD 210.6M
Current ratio0.17×

Equity was negative — liabilities exceeded assets. No ratio is shown.

The 17-year record
17 fiscal years
Every figure from documents filed with the SEC · USD
row low → row highnegative
Metric 20252024202320222021202020192018201720162015201420132012201120102009
Revenue $B0.20.20.20.20.10.10.30.30.30.30.30.30.30.30.30.20.2
Operating income $B−0.0−0.0−0.0−0.0−0.0−0.10.00.00.00.00.00.00.00.00.00.00.0
EBITDA $B0.00.00.0−0.0−0.0−0.00.00.00.00.00.00.00.00.00.00.00.0
Income tax $B0.00.00.00.00.0−0.00.00.00.00.00.0−0.00.00.0−0.00.00.0
Net income $B−0.0−0.0−0.0−0.00.0−0.1−0.00.00.00.00.00.00.0−0.00.0−0.00.0
Free cash flow $B−0.0−0.0−0.0−0.0−0.0−0.0−0.0−0.0−0.0−0.0−0.00.00.00.00.00.00.0
EPS, diluted $−0.62−1.58−1.38−1.641.42−3.00−1.170.601.330.410.981.070.38−0.040.43−0.560.27
Dividend / sh $·················
Payout %·················
ROE %·−245.8−63.9−43.435.1−61.2−17.08.019.37.017.620.77.4−0.78.5−11.3·

Slide the table for earlier years · "·" marks a figure not available in our data for that year.

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Provenance
Company facts, as filed
How we verify · 0 failures in 66 reconciliationsAUDITED

Reconciled in 17 of 19 fiscal years. 23 checks could not be computed.

EPS recomputationBalance-sheet identityGross profitBalance-sheet liquiditymoeda_consistente0 failures
ActivityServices-Motion Picture Theaters
Listed onNASDAQ
Incorporated inNevada
Fiscal year endsDecember 31
SEC categorysmaller reporting company
Data on record since2009

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