Chicago Atlantic Real Estate Finance
REFI
#7488
Rank
โ‚ฌ0.29 B
Marketcap
13,60 โ‚ฌ
Share price
-0.88%
Change (1 day)
-5.86%
Change (1 year)

Operating Margin for Chicago Atlantic Real Estate Finance (REFI)

Operating Margin as of April 2025 (TTM): 67.62%

According to Chicago Atlantic Real Estate Finance's latest financial reports and stock price the company's current Operating Margin is 67.62%. At the end of 2024 the company had an Operating Margin of 67.62%.

Operating Margin history for Chicago Atlantic Real Estate Finance from 2022 to 2024

20232024202565 %70 %75 %80 %85 %companiesmarketcap.com

Operating Margin at the end of each year

Year Operating Margin Change
202467.62%0.14%
202367.52%2.16%
202266.10%

What is a company's Operating Margin?

The operating margin is a key indicator to assess the profitability of a company. Higher operating margins are generaly better as they show that a company is able to sell its products or services for much more than their production costs. The operating margin is calculated by dividing a company's earnings by its revenue.