Cloudflare, Inc. (NET) Discounted Future Market Cap - Discounting Cash Flows
Cloudflare, Inc.
NET (NYSE)

Estimated Value

USD

Market Price USD

* Values are not guaranteed, please do your own
research before making investment decisions.

Discounted Future Market Cap

This model estimates the intrinsic value of a common share by projecting the Future Market Capitalization using the estimated PE Ratio and then discounting it to the Present using an Annual Required Rate of Return.

Interactive Assumptions

Results

Present Value 1.91 Thou. USD
Estimated net income -1.42 Bil. USD
Estimated market capitalization 1,173 Bil. USD
Market capitalization discounted to present 659.9 Bil. USD
Shares Outstanding 345.7 Mil.
Earnings Per Share (EPS) -0.236 USD
Market Price 195.8 USD
Price to Earnings (PE) Ratio -828.6

Historical and forecasted data

In Millions of USD

Edit Chart Values 2025 2026 2027 2028 2029

amounts of USD except for #

2024 LTM 2025 2026 2027 2028 2029
Revenue 1,670 1,770 1,616 2,280 3,217 4,538 6,402
Revenue Growth Rate 28.76% 6.02% -3.19% 41.07% 41.07% 41.07% 41.07%
Net Income -78.8 -81.71 -357.6 -504.4 -711.6 -1,004 -1,416

amounts of USD except for #

Average LTM 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015
Revenue 749.9 1,770 1,670 1,297 975.2 656.4 431.1 287 192.7 134.9 84.79
Cost of Revenue 173.5 409.2 378.7 307 232.6 147.1 101.1 63.42 43.54 28.79 23.96
Gross Profit 576.3 1,361 1,291 989.7 742.6 509.3 330 223.6 149.1 106.1 60.83
Gross Margin 76.65% 76.88% 77.32% 76.32% 76.15% 77.59% 76.56% 77.9% 77.4% 78.66% 71.74%
Operating Income -114.9 -153.3 -154.8 -185.5 -201.2 -127.7 -106.8 -107.9 -84.9 -9.73 -17.03
Operating Margin -20.6% -8.66% -9.27% -14.3% -20.63% -19.45% -24.77% -37.61% -44.06% -7.21% -20.08%
Net Income -113.9 -81.71 -78.8 -183.9 -193.4 -260.3 -119.4 -105.8 -87.16 -10.75 -17.33
Net Margin -22.12% -4.62% -4.72% -14.19% -19.83% -39.66% -27.69% -36.87% -45.24% -7.97% -20.44%

amounts of USD except for #

Average LTM 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015
Revenue 749.9 1,770 1,670 1,297 975.2 656.4 431.1 287 192.7 134.9 84.79
Revenue Growth Rate 41.07% 6.02% 28.76% 32.97% 48.57% 52.28% 50.18% 48.97% 42.81% 59.11%
Net Income -113.9 -81.71 -78.8 -183.9 -193.4 -260.3 -119.4 -105.8 -87.16 -10.75 -17.33
Net Margin -22.12% -4.62% -4.72% -14.19% -19.83% -39.66% -27.69% -36.87% -45.24% -7.97% -20.44%
Net Income Growth Rate 82.36% 3.69% -57.16% -4.88% -25.71% 118.1% 12.8% 21.41% 711% -37.99%
Stockholders Equity 671.6 1,426 1,046 763 624 815.8 816.9 725.8 -113.5 -59.83
Equity Growth Rate -70.65% 36.29% 37.11% 22.29% -23.51% -0.14% 12.55% -739.5% 89.7%
Return on Invested Capital (ROIC) -13.07% -6.25% -7.29% -9.11% -10.27% -7.57% -9.02% -17.94% -40.56% -9.65%
After-tax Operating Income -119.5 -168.5 -172.1 -191.8 -204 -134 -102 -109.1 -85.96 -10.76 -17.1
Income Tax Rate -3.97% -9.89% -11.19% -3.42% -1.39% -4.97% 4.48% -1.06% -1.25% -10.63% -0.4%
Invested Capital 1,442 2,696 2,360 2,106 1,986 1,770 1,130 608 211.9 111.5
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Discounting Cash Flows

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