Enovix Corporation / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €1.44B +116.7% €653.31M +418.5% 45.4% +0.26 pp N/A N/A
    (estimated) €663.96M +134.8% €125.99M -323.4% 19.0% +0.39 pp €114.82M -255.5% 17.3% +0.43 pp
    (estimated) €282.79M +228.9% -€56.39M -57.4% -19.9% +1.3 pp -€73.86M -47.2% -26.1% +1.4 pp
    (estimated) €85.99M +206.4% -€132.32M -0.2% -153.9% +3.2 pp -€139.91M +38.1% -162.7% +2.0 pp
    (estimated) €28.07M +41.2% -€132.64M -30.7% -472.6% +4.9 pp -€101.28M +262.3% -360.8% -2.2 pp
    €19.88M +201.9% -€191.47M +3.8% -963.2% +18 pp -€27.95M -27.0% -140.6% +4.4 pp
    €6.59M +∞% -€184.43M +69.8% -2,800.5% -28 pp -€38.28M +447.1% -581.2% -5.8 pp
    €0.00 +NaN% -€108.59M +237.2% N/A -€7.00M -217.6% N/A
    €0.00 +NaN% -€32.21M +130.9% N/A €5.95M -174.0% N/A
    €0.00 -€13.95M N/A -€8.04M N/A

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