B2Gold Corp. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) N/A €544.64M -6.3% N/A €1.06B +9.2% N/A
    (estimated) €2.83B -10.0% €581.03M -33.9% 20.5% -0.074 pp €969.63M -9.3% 34.2% +0.0027 pp
    (estimated) €3.15B +1.6% €878.62M +11.7% 27.9% +0.025 pp €1.07B +60.5% 34.0% +0.12 pp
    (estimated) €3.10B +14.4% €786.57M +29.0% 25.4% +0.029 pp €666.27M +166.4% 21.5% +0.12 pp
    (estimated) €2.71B +67.0% €609.72M -213.5% 22.5% +0.56 pp €250.08M -67.2% 9.2% -0.38 pp
    €1.62B -1.7% -€537.27M -6,338.4% -33.1% -0.34 pp €762.94M +13.1% 47.0% +0.061 pp
    €1.65B +11.6% €8.61M -96.0% 0.5% -0.14 pp €674.53M -19.8% 40.9% -0.16 pp
    €1.48B -1.7% €215.69M -39.8% 14.6% -0.092 pp €841.12M -3.9% 56.9% -0.013 pp
    €1.50B -1.5% €358.29M -33.1% 23.8% -0.11 pp €875.50M -21.2% 58.2% -0.15 pp
    €1.53B +54.8% €535.71M +114.1% 35.1% +0.097 pp €1.11B +73.0% 72.8% +0.077 pp
    €985.70M -5.7% €250.24M +913.8% 25.4% +0.23 pp €642.39M +4.2% 65.2% +0.062 pp
    €1.04B +91.8% €24.68M -49.1% 2.4% -0.065 pp €616.22M +37.0% 59.0% -0.24 pp
    €544.76M -6.5% €48.49M +45.3% 8.9% +0.032 pp €449.84M -30.9% 82.6% -0.29 pp
    €582.82M +23.4% €33.38M -126.1% 5.7% +0.33 pp €650.60M +97.7% 111.6% +0.42 pp
    €472.24M +13.8% -€127.90M -77.5% -27.1% +1.1 pp €329.07M +7.8% 69.7% -0.039 pp
    €415.07M -10.6% -€567.45M -1,088.5% -136.7% -1.5 pp €305.29M -15.5% 73.6% -0.043 pp
    €464.24M +110.1% €57.41M +29.7% 12.4% -0.077 pp €361.43M +151.0% 77.9% +0.13 pp
    €220.96M +15.0% €44.27M -7.8% 20.0% -0.049 pp €143.99M -14.0% 65.2% -0.22 pp
    €192.21M +76.7% €48.02M +90.9% 25.0% +0.019 pp €167.51M +306.0% 87.1% +0.49 pp
    €108.77M +517.9% €25.15M -206.1% 23.1% +1.6 pp €41.26M -726.2% 37.9% +0.75 pp
    €17.60M +∞% -€23.70M -7.4% -134.6% -1.3 pp -€6.59M -179.8% -37.4% -0.37 pp
    €0.00 +NaN% -€25.58M +614.9% N/A €8.26M +91.6% N/A
    €0.00 -€3.58M N/A €4.31M N/A

    Notifications