RLX Technology Inc. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €5.95B +16.3% €1.35B +47.0% 22.8% +0.048 pp N/A N/A
    (estimated) €5.12B +31.5% €920.91M +19.5% 18.0% -0.018 pp N/A N/A
    (estimated) €3.89B +1,224.1% €770.41M +1,061.5% 19.8% -0.028 pp N/A N/A
    €293.83M +96.5% €66.33M +3.3% 22.6% -0.20 pp €102.69M +269.7% 34.9% +0.16 pp
    €149.53M -76.7% €64.23M -62.9% 43.0% +0.16 pp €27.78M -56.0% 18.6% +0.087 pp
    €640.99M -37.4% €173.23M -28.8% 27.0% +0.033 pp €63.16M -72.9% 9.9% -0.13 pp
    €1.02B +123.1% €243.37M -1,680.6% 23.8% +0.27 pp €233.03M -25.6% 22.8% -0.45 pp
    €459.12M +146.5% -€15.40M -368.3% -3.4% -0.064 pp €313.34M +505.5% 68.2% +0.40 pp
    €186.23M +1,068.3% €5.74M -16,736.9% 3.1% +0.033 pp €51.75M -74,327.6% 27.8% +0.28 pp
    €15.94M -€34.50K -0.2% -€69.71K -0.4%

    Notifications