GeneDx Holdings Corp. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €668.81M +15.6% €179.73M +36.0% 26.9% +0.040 pp N/A N/A
    (estimated) €578.35M +14.8% €132.19M +35.7% 22.9% +0.035 pp N/A N/A
    (estimated) €503.62M +18.8% €97.42M +41.9% 19.3% +0.032 pp N/A N/A
    (estimated) €423.95M +19.3% €68.64M +47.8% 16.2% +0.031 pp N/A N/A
    (estimated) €355.28M +34.8% €46.43M -202.9% 13.1% +0.30 pp N/A N/A
    €263.61M +50.8% -€45.12M -70.3% -17.1% +0.70 pp -€19.85M -86.8% -7.5% +0.79 pp
    €174.82M -13.7% -€151.69M -68.0% -86.8% +1.5 pp -€150.54M -42.8% -86.1% +0.44 pp
    €202.55M +10.6% -€473.79M +123.7% -233.9% -1.2 pp -€263.08M +79.7% -129.9% -0.50 pp
    €183.13M +18.3% -€211.78M -0.4% -115.6% +0.22 pp -€146.41M +177.4% -79.9% -0.46 pp
    €154.76M -€212.68M -137.4% -€52.78M -34.1%

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