PetVivo Holdings, Inc. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    €977.42K +16.9% -€7.25M -23.3% -741.6% +3.9 pp -€4.11M -33.1% -420.2% +3.1 pp
    €836.03K +5.6% -€9.45M +25.9% -1,130.9% -1.8 pp -€6.14M +11.6% -734.0% -0.39 pp
    €791.54K +693.5% -€7.51M +76.1% -948.8% +33 pp -€5.50M +59.6% -694.6% +28 pp
    €99.75K +819.0% -€4.26M +31.7% -4,275.4% +260 pp -€3.45M +349.9% -3,453.5% +36 pp
    €10.86K +250.6% -€3.24M +77.4% -29,824.9% +290 pp -€765.66K +111.0% -7,053.3% +47 pp
    €3.10K -95.4% -€1.83M -55.5% -58,944.2% -530 pp -€362.83K -33.3% -11,717.2% -110 pp
    €67.26K +5,061.3% -€4.11M +103.6% -6,104.7% +1.5K pp -€544.26K +19.8% -809.2% +340 pp
    €1.30K -78.8% -€2.02M -85.0% -154,790.6% +630 pp -€454.33K +394.1% -34,863.2% -330 pp
    €6.15K -90.5% -€13.40M +325.3% -218,017.0% -2.1K pp -€91.96K -84.6% -1,495.7% -5.8 pp
    €64.73K +∞% -€3.15M +133.2% -4,869.0% -49 pp -€595.78K +1,605.6% -920.4% -9.2 pp
    €0.00 +NaN% -€1.35M -95.8% N/A -€34.93K -54.6% N/A
    €0.00 +NaN% -€31.93M +42,810.1% N/A -€76.93K +26.4% N/A
    €0.00 +NaN% -€74.40K -16.0% N/A -€60.85K +42.9% N/A
    €0.00 +NaN% -€88.57K -61.0% N/A -€42.59K -71.4% N/A
    €0.00 -€227.36K N/A -€148.81K N/A

    Notifications