Dave Inc. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    €299.02M +34.0% €49.86M -219.3% 16.7% +0.35 pp €108.04M +196.2% 36.1% +0.20 pp
    €223.22M +26.5% -€41.80M -62.4% -18.7% +0.44 pp €36.48M -219.0% 16.3% +0.34 pp
    €176.45M +33.9% -€111.05M +544.5% -62.9% -0.50 pp -€30.65M +3.9% -17.4% +0.050 pp
    €131.82M +25.6% -€17.23M +187.5% -13.1% -0.074 pp -€29.48M +594.7% -22.4% -0.18 pp
    €104.93M +59.8% -€5.99M -984.0% -5.7% -0.067 pp -€4.24M -41.0% -4.0% +0.069 pp
    €65.67M €678.04K 1.0% -€7.19M -10.9%

    Notifications