Xponential Fitness, 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) €293.70M +9.8% €30.95M +4.7% 10.5% -0.0051 pp N/A N/A
    (estimated) €267.48M +2.4% €29.56M +738.1% 11.1% +0.097 pp €46.87M +110.4% 17.5% +0.090 pp
    (estimated) €261.09M -4.8% €3.53M -106.3% 1.4% +0.22 pp €22.28M +58.8% 8.5% +0.034 pp
    €274.25M +0.5% -€55.60M +271.6% -20.3% -0.15 pp €14.03M -63.4% 5.1% -0.089 pp
    €272.80M +30.1% -€14.96M -707.9% -5.5% -0.067 pp €38.35M -33.9% 14.1% -0.14 pp
    €209.70M +58.0% €2.46M -105.6% 1.2% +0.34 pp €58.04M +251.1% 27.7% +0.15 pp
    €132.76M +45.5% -€44.04M +277.1% -33.2% -0.20 pp €16.53M +793.1% 12.5% +0.10 pp
    €91.25M -17.5% -€11.68M -63.3% -12.8% +0.16 pp €1.85M -76.1% 2.0% -0.050 pp
    €110.55M +117.9% -€31.79M -12.6% -28.8% +0.43 pp €7.75M -2.8% 7.0% -0.087 pp
    €50.74M -€36.37M -71.7% €7.98M 15.7%

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