Revolve Group, Inc. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €1.22B +10.1% €60.23M +43.4% 4.9% +0.011 pp N/A N/A
    (estimated) €1.11B +6.6% €41.99M +27.5% 3.8% +0.0062 pp €46.59M +1.5% 4.2% -0.0021 pp
    (estimated) €1.04B +7.1% €32.93M -22.9% 3.2% -0.012 pp €45.89M +64.7% 4.4% +0.015 pp
    €973.47M +5.7% €42.70M +76.1% 4.4% +0.018 pp €27.86M -32.0% 2.9% -0.016 pp
    €920.75M -3.0% €24.25M -52.0% 2.6% -0.027 pp €40.96M +66.2% 4.4% +0.019 pp
    €948.92M +23.6% €50.57M -41.2% 5.3% -0.059 pp €24.64M -55.7% 2.6% -0.046 pp
    €767.98M +53.5% €86.02M +75.8% 11.2% +0.014 pp €55.58M -15.2% 7.2% -0.059 pp
    €500.26M -3.4% €48.93M +59.2% 9.8% +0.038 pp €65.56M +30.1% 13.1% +0.034 pp
    €517.78M +20.5% €30.73M +16.2% 5.9% -0.0022 pp €50.41M +97.0% 9.7% +0.038 pp
    €429.69M +24.8% €26.44M +473.9% 6.2% +0.048 pp €25.59M +58.5% 6.0% +0.013 pp
    €344.27M +28.0% €4.61M +122.5% 1.3% +0.0057 pp €16.15M +1,120.1% 4.7% +0.042 pp
    €268.87M €2.07M 0.8% €1.32M 0.5%

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