Kadmon Holdings, Inc. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    €7.15M +62.7% -€94.00M +77.5% -1,314.1% -1.1 pp -€75.16M +9.5% -1,050.7% +5.1 pp
    €4.40M +265.0% -€52.96M +13.1% -1,204.5% +27 pp -€68.66M +13.1% -1,561.4% +35 pp
    €1.20M -88.6% -€46.82M -32.0% -3,886.2% -32 pp -€60.73M +10.6% -5,040.3% -45 pp
    €10.58M -52.9% -€68.85M -61.8% -650.5% +1.5 pp -€54.91M +21.4% -518.7% -3.2 pp
    €22.49M -27.1% -€180.16M +41.9% -801.2% -3.9 pp -€45.23M -14.4% -201.2% -0.30 pp
    €30.83M -62.4% -€126.94M +128.5% -411.8% -3.4 pp -€52.87M +852.6% -171.5% -1.6 pp
    €82.00M -€55.54M -67.7% -€5.55M -6.8%

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