BTCS Inc. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    €3.51M +204.1% -€1.09M -116.3% -31.2% -6.1 pp -€3.04M -0.8% -86.6% +1.8 pp
    €1.15M -20.8% €6.73M -128.9% 583.6% +22 pp -€3.06M +361.1% -265.5% -2.2 pp
    €1.46M +39.5% -€23.30M +49.5% -1,598.9% -1.1 pp -€664.29K -84.1% -45.6% +3.5 pp
    €1.04M +∞% -€15.59M +511.9% -1,492.2% -15 pp -€4.18M +63.2% -399.8% -4.0 pp
    €0.00 +NaN% -€2.55M +71.3% N/A -€2.56M +164.4% N/A
    €0.00 +NaN% -€1.49M +108.9% N/A -€968.32K +123.5% N/A
    €0.00 -100.0% -€711.69K -98.2% N/A -€433.19K -66.2% N/A
    €3.86K -98.7% -€38.81M +1.8% -1,005,922.7% -9.9K pp -€1.28M +82.7% -33,186.8% -330 pp
    €305.90K -29.8% -€38.12M +340.6% -12,461.6% -100 pp -€700.89K +234.3% -229.1% -1.8 pp
    €435.92K +1,224.6% -€8.65M -31.9% -1,984.8% +370 pp -€209.67K -65.2% -48.1% +18 pp
    €32.91K -97.6% -€12.71M -16,742.4% -38,616.8% -390 pp -€603.24K -353.2% -1,833.0% -19 pp
    €1.39M +25.1% €76.36K +391.0% 5.5% +0.041 pp €238.24K -529.7% 17.2% +0.22 pp
    €1.11M -19.3% €15.55K -105.2% 1.4% +0.23 pp -€55.45K -115.0% -5.0% -0.32 pp
    €1.37M -55.4% -€298.56K -429.8% -21.7% -0.25 pp €370.68K +232.4% 27.0% +0.23 pp
    €3.08M +∞% €90.52K -345.7% 2.9% +0.029 pp €111.52K -1,963.9% 3.6% +0.036 pp
    €0.00 -€36.84K N/A -€5.98K N/A

    Notifications