i-80 Gold Corp. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) N/A N/A N/A €183.13M +157.6% N/A
    (estimated) €441.83M +107.4% €120.27M +7,604.9% 27.2% +0.26 pp €71.09M -158.1% 16.1% +0.74 pp
    (estimated) €213.01M +52.2% €1.56M -121.8% 0.7% +0.059 pp -€122.45M -24.0% -57.5% +0.58 pp
    (estimated) €139.96M +95.1% -€7.16M -89.0% -5.1% +0.86 pp -€161.18M +105.4% -115.2% -0.058 pp
    (estimated) €71.73M +67.1% -€65.34M -36.2% -91.1% +1.5 pp -€78.48M +14.3% -109.4% +0.50 pp
    €42.93M -8.3% -€102.38M +33.9% -238.5% -0.75 pp -€68.65M +432.8% -159.9% -1.3 pp
    €46.84M +48.6% -€76.47M +13.2% -163.3% +0.51 pp -€12.88M -444.9% -27.5% -0.39 pp
    €31.52M +∞% -€67.55M -189.8% -214.3% -2.1 pp €3.74M -162.6% 11.8% +0.12 pp
    €0.00 +NaN% €75.25M -3,120.3% N/A -€5.96M -154.4% N/A
    €0.00 -100.0% -€2.49M -63.9% N/A €10.97M -85.5% N/A
    €8.92M -62.5% -€6.91M -355.7% -77.4% -0.89 pp €75.45M +81.4% 845.4% +6.7 pp
    €23.82M -67.8% €2.70M -1,361.4% 11.3% +0.12 pp €41.60M -944.4% 174.7% +1.8 pp
    €73.90M -€214.09K -0.3% -€4.93M -6.7%

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