Xos, Inc. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €82.69M +10.9% -€23.36M -0.8% -28.2% +0.033 pp N/A N/A
    (estimated) €74.54M +11.7% -€23.54M +0.3% -31.6% +0.036 pp N/A N/A
    (estimated) €66.76M +5.6% -€23.48M -3.0% -35.2% +0.031 pp N/A N/A
    (estimated) €63.20M +27.5% -€24.21M -9.1% -38.3% +0.15 pp N/A N/A
    (estimated) €49.58M +2.8% -€26.64M -38.4% -53.7% +0.36 pp N/A N/A
    €48.21M +25.7% -€43.21M -33.9% -89.6% +0.81 pp -€41.78M +27.9% -86.7% -0.015 pp
    €38.36M +22.4% -€65.34M +3.4% -170.3% +0.31 pp -€32.65M -66.7% -85.1% +2.3 pp
    €31.34M +620.6% -€63.17M -413.3% -201.6% -6.7 pp -€98.08M +35.6% -313.0% +14 pp
    €4.35M +91.1% €20.16M -228.7% 463.6% +12 pp -€72.35M +603.9% -1,663.6% -12 pp
    €2.28M +130.3% -€15.66M +268.5% -688.3% -2.6 pp -€10.28M +527.9% -451.8% -2.9 pp
    €988.20K +272.4% -€4.25M +24.9% -430.1% +8.5 pp -€1.64M -14.4% -165.6% +5.6 pp
    €265.36K -€3.40M -1,281.8% -€1.91M -720.8%

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