Fluence Energy, Inc. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €4.18B +13.8% €225.18M +151.1% 5.4% +0.029 pp N/A N/A
    (estimated) €3.67B +13.8% €89.67M +124.2% 2.4% +0.012 pp €98.94M +193,233.3% 2.7% +0.027 pp
    (estimated) €3.23B +19.6% €39.99M -1,219.1% 1.2% +0.014 pp €51.18K -100.2% 0.0% +0.012 pp
    (estimated) €2.70B +21.8% -€3.57M -91.7% -0.1% +0.018 pp -€32.75M -89.2% -1.2% +0.12 pp
    (estimated) €2.22B -3.7% -€43.06M -322.2% -1.9% -0.028 pp -€303.57M -494.6% -13.7% -0.17 pp
    €2.30B +21.7% €19.38M -132.6% 0.8% +0.040 pp €76.94M -190.5% 3.3% +0.078 pp
    €1.89B +85.0% -€59.38M -75.9% -3.1% +0.21 pp -€85.04M -63.7% -4.5% +0.18 pp
    €1.02B +76.1% -€246.65M +78.5% -24.1% -0.0033 pp -€234.09M +5.2% -22.9% +0.15 pp
    €580.66M +21.3% -€138.18M +246.8% -23.8% -0.15 pp -€222.60M +2,032.9% -38.3% -0.36 pp
    €478.78M +509.1% -€39.84M -0.6% -8.3% +0.43 pp -€10.44M -140.2% -2.2% -0.35 pp
    €78.60M -€40.07M -51.0% €25.95M 33.0%

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