Blue Owl Capital Corporation / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €1.39B -10.1% €574.96M -11.1% 41.3% -0.0050 pp N/A N/A
    (estimated) €1.55B -3.6% €647.01M -1.3% 41.8% +0.0097 pp N/A N/A
    (estimated) €1.61B +70.6% €655.51M +28.7% 40.8% -0.13 pp N/A N/A
    €942.24M -30.4% €509.36M -25.0% 54.1% +0.039 pp €137.16M -85.9% 14.6% -0.57 pp
    €1.35B +41.8% €679.15M +70.1% 50.1% +0.084 pp €972.19M +422.7% 71.8% +0.52 pp
    €955.45M +12.2% €399.24M -25.4% 41.8% -0.21 pp €186.00M -117.7% 19.5% +1.4 pp
    €851.67M +25.3% €534.96M +61.2% 62.8% +0.14 pp -€1.05B -21.4% -123.4% +0.73 pp
    €679.62M +36.4% €331.94M -22.1% 48.8% -0.37 pp -€1.34B -38.3% -196.5% +2.4 pp
    €498.29M +98.4% €426.33M +146.2% 85.6% +0.17 pp -€2.16B -20.3% -434.2% +6.5 pp
    €251.20M +87.6% €173.14M +95.0% 68.9% +0.026 pp -€2.72B +137.6% -1,081.0% -2.3 pp
    €133.87M +352.4% €88.81M +523.5% 66.3% +0.18 pp -€1.14B +41.2% -853.5% +19 pp
    €29.59M €14.24M 48.1% -€809.03M -2,734.1%

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