Rexford Industrial Realty, Inc. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) N/A €318.94M +9.2% N/A N/A N/A
    (estimated) €1.05B +11.8% €292.11M +23.8% 27.9% +0.027 pp €572.65M +7.4% 54.8% -0.022 pp
    (estimated) €935.00M +6.6% €235.92M -4.2% 25.2% -0.028 pp €533.03M +8.8% 57.0% +0.011 pp
    (estimated) €877.19M +4.1% €246.27M -11.9% 28.1% -0.051 pp €490.05M +18.7% 55.9% +0.069 pp
    (estimated) €842.84M +5.5% €279.61M +19.7% 33.2% +0.039 pp €412.94M -43.2% 49.0% -0.42 pp
    €798.71M +17.4% €233.54M +15.0% 29.2% -0.0059 pp €726.98M +22.8% 91.0% +0.040 pp
    €680.51M +26.4% €203.02M +42.0% 29.8% +0.033 pp €592.04M +50.0% 87.0% +0.14 pp
    €538.39M +39.6% €142.94M +30.7% 26.5% -0.018 pp €394.74M +38.6% 73.3% -0.0052 pp
    €385.74M +37.0% €109.38M +67.8% 28.4% +0.052 pp €284.83M +27.6% 73.8% -0.054 pp
    €281.59M +23.5% €65.17M +19.4% 23.1% -0.0081 pp €223.27M +40.2% 79.3% +0.094 pp
    €227.92M +25.8% €54.59M +38.5% 24.0% +0.022 pp €159.23M +16.1% 69.9% -0.058 pp
    €181.25M +31.7% €39.41M +13.5% 21.7% -0.035 pp €137.09M +35.1% 75.6% +0.019 pp
    €137.63M +27.9% €34.73M +62.0% 25.2% +0.053 pp €101.47M +34.6% 73.7% +0.037 pp
    €107.64M +34.4% €21.43M +1,240.8% 19.9% +0.18 pp €75.37M +40.9% 70.0% +0.033 pp
    €80.09M +41.0% €1.60M +109.2% 2.0% +0.0065 pp €53.47M +63.0% 66.8% +0.090 pp
    €56.79M +50.1% €764.24K -118.3% 1.3% +0.12 pp €32.81M +129.9% 57.8% +0.20 pp
    €37.84M +30.2% -€4.17M +0.0% -11.0% +0.033 pp €14.27M +193.5% 37.7% +0.21 pp
    €29.06M +22.8% -€4.17M +30.4% -14.4% -0.0083 pp €4.86M -381.1% 16.7% +0.24 pp
    €23.66M -€3.20M -13.5% -€1.73M -7.3%

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