Calix Limited / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €46.67M +48.6% €2.79M -138.6% 6.0% +0.29 pp N/A N/A
    (estimated) €31.40M +76.8% -€7.23M -43.4% -23.0% +0.49 pp N/A N/A
    (estimated) €17.76M +14.3% -€12.78M +19.0% -72.0% -0.029 pp N/A N/A
    €15.54M +14.7% -€10.74M -24.1% -69.1% +0.35 pp -€9.94M -407.8% -64.0% -0.88 pp
    €13.55M +30.1% -€14.15M +9.0% -104.4% +0.20 pp €3.23M -236.5% 23.8% +0.47 pp
    €10.42M +0.7% -€12.99M +41.9% -124.7% -0.36 pp -€2.37M -180.0% -22.7% -0.51 pp
    €10.34M -3.9% -€9.15M +79.4% -88.5% -0.41 pp €2.96M -545.2% 28.6% +0.35 pp
    €10.76M +36.6% -€5.10M +28.7% -47.4% +0.029 pp -€664.30K -107.1% -6.2% -1.3 pp
    €7.88M +326.9% -€3.96M -5.5% -50.3% +1.8 pp €9.42M +162.7% 119.5% -0.75 pp
    €1.85M -19.7% -€4.20M +124.2% -227.3% -1.5 pp €3.58M +17.0% 194.2% +0.61 pp
    €2.30M +14.2% -€1.87M +57.0% -81.4% -0.22 pp €3.06M -416.7% 133.4% +1.8 pp
    €2.01M +4.2% -€1.19M +11.6% -59.3% -0.040 pp -€967.61K -171.5% -48.1% -1.2 pp
    €1.93M -53.0% -€1.07M -46.4% -55.3% -0.067 pp €1.35M +54.0% 70.1% +0.49 pp
    €4.11M -€1.99M -48.6% €878.40K 21.4%

    Notifications