AvidXchange Holdings, Inc. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) N/A N/A N/A N/A N/A
    (estimated) N/A N/A N/A N/A N/A
    (estimated) €469.29M +11.9% €46.52M +161.4% 9.9% +0.057 pp N/A N/A
    (estimated) €419.39M +8.4% €17.80M -34,466.7% 4.2% +0.043 pp €65.76M +14.8% 15.7% +0.0087 pp
    (estimated) €386.80M +2.1% -€51.78K -100.7% -0.0% -0.019 pp €57.31M -27.5% 14.8% -0.060 pp
    €378.82M +15.3% €7.03M -117.2% 1.9% +0.14 pp €78.99M +242.1% 20.9% +0.14 pp
    €328.58M +20.3% -€40.84M -53.3% -12.4% +0.20 pp €23.09M -3,082.7% 7.0% +0.073 pp
    €273.02M +27.4% -€87.41M -49.3% -32.0% +0.48 pp -€774.14K -98.2% -0.3% +0.20 pp
    €214.39M +33.6% -€172.30M +97.2% -80.4% -0.26 pp -€43.45M +56.9% -20.3% -0.030 pp
    €160.46M +24.3% -€87.38M +8.2% -54.5% +0.081 pp -€27.69M -38.9% -17.3% +0.18 pp
    €129.10M -€80.73M -62.5% -€45.34M -35.1%

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