Chimerix, Inc. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) N/A N/A N/A N/A N/A
    (estimated) N/A N/A N/A N/A N/A
    (estimated) N/A -€3.06M -95.9% N/A N/A N/A
    (estimated) €58.47M +796.1% -€74.56M -30.5% -127.5% +15 pp N/A N/A
    (estimated) €6.53M +3,508.5% -€107.24M +42.2% -1,643.5% +400 pp N/A N/A
    €180.83K -34.6% -€75.39M +7.7% -41,692.0% -160 pp -€63.71M +8.2% -35,231.1% -140 pp
    €276.36K -99.0% -€70.02M -147.7% -25,338.0% -260 pp -€58.85M +47.4% -21,296.0% -210 pp
    €28.85M +1,609.1% €146.85M -167.3% 509.0% +130 pp -€39.91M -53.1% -138.4% +49 pp
    €1.69M -63.2% -€218.18M +507.2% -12,925.5% -120 pp -€85.06M +177.2% -5,039.1% -44 pp
    €4.58M -57.1% -€35.93M -75.7% -784.2% +6.0 pp -€30.69M -52.0% -669.8% -0.70 pp
    €10.68M +73.5% -€148.11M +149.9% -1,387.1% -4.2 pp -€63.99M +40.1% -599.3% +1.4 pp
    €6.15M +60.6% -€59.26M -2.1% -962.8% +6.2 pp -€45.67M +7.1% -742.0% +3.7 pp
    €3.83M -21.2% -€60.55M -7.1% -1,579.5% -2.4 pp -€42.63M -20.6% -1,112.0% -0.076 pp
    €4.86M -47.0% -€65.16M -34.9% -1,339.7% -2.5 pp -€53.71M -35.5% -1,104.4% -2.0 pp
    €9.18M +166.4% -€100.11M +97.9% -1,090.6% +3.8 pp -€83.32M +112.1% -907.6% +2.3 pp
    €3.45M -7.6% -€50.59M +62.7% -1,468.1% -6.3 pp -€39.29M +81.6% -1,140.1% -5.6 pp
    €3.73M -87.0% -€31.09M +727.2% -834.0% -8.2 pp -€21.64M +1,349.5% -580.5% -5.8 pp
    €28.76M +178.7% -€3.76M -82.8% -13.1% +2.0 pp -€1.49M -93.3% -5.2% +2.1 pp
    €10.32M -€21.83M -211.5% -€22.14M -214.5%

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