Butterfly Network, Inc. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €109.16M +16.1% -€48.29M -6.7% -44.2% +0.11 pp -€28.95M -1.2% -26.5% +0.046 pp
    (estimated) €94.00M +19.5% -€51.78M -2.2% -55.1% +0.12 pp -€29.29M -15.8% -31.2% +0.13 pp
    (estimated) €78.69M +11.3% -€52.92M -15.3% -67.3% +0.21 pp -€34.81M +3.6% -44.2% +0.033 pp
    €70.70M +24.5% -€62.46M -45.8% -88.3% +1.1 pp -€33.61M -58.1% -47.5% +0.94 pp
    €56.78M -10.2% -€115.19M -20.8% -202.9% +0.27 pp -€80.16M -38.3% -141.2% +0.64 pp
    €63.23M +17.3% -€145.36M +420.6% -229.9% -1.8 pp -€129.93M -16.8% -205.5% +0.84 pp
    €53.90M +35.3% -€27.92M -80.1% -51.8% +3.0 pp -€156.21M +128.6% -289.8% -1.2 pp
    €39.85M +67.7% -€140.21M +63.4% -351.9% +0.092 pp -€68.34M -31.6% -171.5% +2.5 pp
    €23.76M +1,707.5% -€85.81M +96.2% -361.1% +30 pp -€99.91M +69.3% -420.4% +41 pp
    €1.31M -€43.74M -3,326.7% -€59.00M -4,487.7%

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