Waterdrop Inc. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €478.73M -6.1% N/A N/A N/A N/A
    (estimated) €509.81M +11.6% €75.09M +21.5% 14.7% +0.012 pp N/A N/A
    (estimated) €456.65M +12.1% €61.81M +20.8% 13.5% +0.0098 pp N/A N/A
    (estimated) €407.37M +21.4% €51.16M +15.0% 12.6% -0.0070 pp N/A N/A
    €335.60M +5.4% €44.50M +119.8% 13.3% +0.069 pp €52.94M +4.1% 15.8% -0.0019 pp
    €318.51M -6.1% €20.25M -72.5% 6.4% -0.15 pp €50.86M -46.0% 16.0% -0.12 pp
    €339.23M -12.6% €73.58M -138.6% 21.7% +0.71 pp €94.15M -173.3% 27.8% +0.61 pp
    €388.16M +5.9% -€190.58M +137.1% -49.1% -0.27 pp -€128.36M +41.3% -33.1% -0.083 pp
    €366.61M +100.4% -€80.38M +106.5% -21.9% -0.0065 pp -€90.86M +44.4% -24.8% +0.096 pp
    €182.94M +534.5% -€38.93M +53.7% -21.3% +0.67 pp -€62.91M +155.3% -34.4% +0.51 pp
    €28.83M -€25.33M -87.8% -€24.65M -85.5%

    Notifications