Oxford Lane Capital Corp. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €612.11M +23.3% €397.57M +28.0% 65.0% +0.024 pp N/A N/A
    (estimated) €496.53M +505.6% €310.68M +648.9% 62.6% +0.12 pp N/A N/A
    €81.98M -67.1% €41.48M -79.4% 50.6% -0.30 pp -€602.51M +468.5% -734.9% -6.9 pp
    €248.82M +20.2% €201.27M -237.3% 80.9% +1.5 pp -€105.98M +35.2% -42.6% -0.047 pp
    €207.04M +20.5% -€146.64M -236.1% -70.8% -1.3 pp -€78.39M -76.2% -37.9% +1.5 pp
    €171.76M +244.4% €107.76M -56.6% 62.7% -4.3 pp -€330.02M +4,755.5% -192.1% -1.8 pp
    €49.88M -49.8% €248.21M -199.6% 497.7% +7.5 pp -€6.80M -97.1% -13.6% +2.2 pp
    €99.30M +34.1% -€249.24M +1,287.5% -251.0% -2.3 pp -€232.19M +225.2% -233.8% -1.4 pp
    €74.05M +14.7% -€17.96M -155.2% -24.3% -0.75 pp -€71.40M +17.2% -96.4% -0.021 pp
    €64.58M +44.2% €32.54M -63.9% 50.4% -1.5 pp -€60.91M +9,318.0% -94.3% -0.93 pp
    €44.78M +47.1% €90.06M -222.6% 201.1% +4.4 pp -€646.72K -102.4% -1.4% -0.90 pp
    €30.44M -36.3% -€73.43M -2,674.9% -241.2% -2.5 pp €26.90M -123.3% 88.4% +3.3 pp
    €47.77M +80.1% €2.85M -85.3% 6.0% -0.67 pp -€115.66M +84.0% -242.1% -0.051 pp
    €26.53M +121.8% €19.40M -6.8% 73.1% -1.0 pp -€62.87M +28.4% -237.0% +1.7 pp
    €11.96M +178.8% €20.82M +450.4% 174.0% +0.86 pp -€48.96M +654.5% -409.3% -2.6 pp
    €4.29M +870.8% €3.78M +5,310.6% 88.1% +0.72 pp -€6.49M -73.1% -151.2% +53 pp
    €441.99K €69.90K 15.8% -€24.14M -5,462.1%

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