Chimera Investment Corporation / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €329.21M +0.7% €181.02M +7.3% 55.0% +0.034 pp N/A N/A
    (estimated) €326.99M +17.9% €168.72M -14.5% 51.6% -0.20 pp N/A N/A
    (estimated) €277.23M +26.0% €197.44M +31.5% 71.2% +0.030 pp N/A N/A
    €220.00M -64.1% €150.17M +39.6% 68.3% +0.51 pp €175.43M -3.6% 79.7% +0.50 pp
    €613.25M -192.6% €107.56M -124.6% 17.5% -0.49 pp €181.91M -34.5% 29.7% +0.72 pp
    -€661.97M -173.4% -€437.62M -176.6% 66.1% +0.027 pp €277.82M -37.3% -42.0% -0.91 pp
    €901.60M +361.9% €571.57M +654.2% 63.4% +0.25 pp €442.84M +101.3% 49.1% -0.64 pp
    €195.19M -53.4% €75.79M -78.5% 38.8% -0.45 pp €219.98M +296.6% 112.7% +0.99 pp
    €418.62M +8.4% €352.74M +0.5% 84.3% -0.067 pp €55.47M -78.1% 13.3% -0.52 pp
    €386.17M -28.0% €351.11M -21.5% 90.9% +0.075 pp €253.82M -38.9% 65.7% -0.12 pp
    €536.66M +2.4% €447.52M -4.9% 83.4% -0.065 pp €415.64M -11.9% 77.4% -0.13 pp
    €524.01M +89.2% €470.78M +120.5% 89.8% +0.13 pp €471.60M +39.5% 90.0% -0.32 pp
    €276.94M -44.8% €213.54M -57.5% 77.1% -0.23 pp €338.03M +1,032.4% 122.1% +1.2 pp
    €502.13M +48.4% €502.56M +62.5% 100.1% +0.087 pp €29.85M -88.5% 5.9% -0.71 pp
    €338.44M +2.5% €309.35M +10.7% 91.4% +0.067 pp €260.00M -9.0% 76.8% -0.097 pp
    €330.04M +91.1% €279.57M +138.7% 84.7% +0.17 pp €285.67M -25.2% 86.6% -1.3 pp
    €172.69M -33.2% €117.13M -44.7% 67.8% -0.14 pp €381.87M +46.5% 221.1% +1.2 pp
    €258.62M +200.9% €211.88M +160.2% 81.9% -0.13 pp €260.65M +81.2% 100.8% -0.67 pp
    €85.95M -304.1% €81.43M -179.7% 94.7% -1.5 pp €143.88M +450.1% 167.4% +2.3 pp
    -€42.12M -1,514.1% -€102.19M +4,022.8% 242.6% +3.3 pp €26.15M -2,113.3% -62.1% -0.18 pp
    €2.98M -€2.48M -83.2% -€1.30M -43.6%

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