Calix, Inc. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €1.02B +12.4% €139.57M +41.7% 13.6% +0.028 pp €134.40M +17.3% 13.1% +0.0055 pp
    (estimated) €910.76M +10.2% €98.52M +43.2% 10.8% +0.025 pp €114.59M +52.9% 12.6% +0.035 pp
    (estimated) €826.51M +15.4% €68.82M -368.5% 8.3% +0.12 pp €74.95M +0.6% 9.1% -0.013 pp
    €716.39M -20.0% -€25.63M -201.4% -3.6% -0.064 pp €74.48M +16.7% 10.4% +0.033 pp
    €895.66M +19.8% €25.26M -28.5% 2.8% -0.019 pp €63.85M +79.7% 7.1% +0.024 pp
    €747.68M +27.7% €35.33M -82.8% 4.7% -0.30 pp €35.54M -38.7% 4.8% -0.051 pp
    €585.33M +25.5% €205.37M +611.9% 35.1% +0.29 pp €57.94M +13.6% 9.9% -0.010 pp
    €466.30M +27.6% €28.85M -289.2% 6.2% +0.10 pp €51.03M +228.9% 10.9% +0.067 pp
    €365.58M -3.8% -€15.24M -8.3% -4.2% +0.0020 pp €15.51M +28.8% 4.2% +0.011 pp
    €380.22M -13.5% -€16.63M -76.8% -4.4% +0.12 pp €12.05M -125.5% 3.2% +0.14 pp
    €439.71M +11.2% -€71.54M +203.0% -16.3% -0.10 pp -€47.17M -259.8% -10.7% -0.18 pp
    €395.27M +12.6% -€23.61M +4.1% -6.0% +0.0049 pp €29.51M +1,668.6% 7.5% +0.070 pp
    €351.05M +1.6% -€22.69M +34.6% -6.5% -0.016 pp €1.67M -96.1% 0.5% -0.12 pp
    €345.68M +4.9% -€16.85M +13.3% -4.9% -0.0036 pp €43.11M +4.7% 12.5% -0.00023 pp
    €329.64M +15.9% -€14.87M -39.0% -4.5% +0.041 pp €41.19M +26.3% 12.5% +0.010 pp
    €284.50M -4.2% -€24.40M -46.1% -8.6% +0.067 pp €32.62M +72.5% 11.5% +0.051 pp
    €296.95M +20.1% -€45.27M +183.2% -15.2% -0.088 pp €18.91M +48.4% 6.4% +0.012 pp
    €247.30M +23.2% -€15.98M -17.3% -6.5% +0.032 pp €12.74M +129.2% 5.2% +0.024 pp
    €200.70M -7.0% -€19.33M +73.7% -9.6% -0.045 pp €5.56M -5,304.8% 2.8% +0.028 pp
    €215.79M +29.2% -€11.13M -48.2% -5.2% +0.077 pp -€106.83K -98.0% -0.0% +0.032 pp
    €166.98M -€21.49M -12.9% -€5.36M -3.2%

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