ThredUp Inc. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) N/A N/A N/A N/A N/A
    (estimated) €312.87M +10.1% -€17.27M +3.8% -5.5% +0.0034 pp N/A N/A
    (estimated) €284.21M +9.5% -€16.65M -3.0% -5.9% +0.0076 pp €7.38M +322.2% 2.6% +0.019 pp
    (estimated) €259.46M +15.8% -€17.16M -74.1% -6.6% +0.23 pp €1.75M -82.3% 0.7% -0.037 pp
    €224.03M -19.3% -€66.33M +8.1% -29.6% -0.075 pp €9.90M -273.9% 4.4% +0.065 pp
    €277.44M +11.7% -€61.38M -22.8% -22.1% +0.099 pp -€5.69M -25.4% -2.1% +0.010 pp
    €248.45M +14.5% -€79.51M +46.1% -32.0% -0.069 pp -€7.63M -41.7% -3.1% +0.030 pp
    €216.93M +35.4% -€54.43M +32.0% -25.1% +0.0065 pp -€13.09M -4,862.1% -6.0% -0.062 pp
    €160.26M +13.6% -€41.25M +25.3% -25.7% -0.024 pp €274.83K -154.4% 0.2% +0.0053 pp
    €141.13M +26.4% -€32.91M +11.7% -23.3% +0.031 pp -€504.87K -93.2% -0.4% +0.063 pp
    €111.61M -€29.45M -26.4% -€7.38M -6.6%

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