BRP Group, 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) €1.65B +13.4% €71.40M +47.5% 4.3% +0.010 pp €145.00M +17.3% 8.8% +0.0030 pp
    (estimated) €1.45B +11.7% €48.39M -1,033.1% 3.3% +0.037 pp €123.57M -250.3% 8.5% +0.15 pp
    (estimated) €1.30B +8.7% -€5.19M -75.4% -0.4% +0.014 pp -€82.21M -166.6% -6.3% -0.17 pp
    €1.20B +14.0% -€21.12M -72.8% -1.8% +0.056 pp €123.37M +116.9% 10.3% +0.049 pp
    €1.05B +24.3% -€77.66M +17.5% -7.4% +0.0043 pp €56.88M +238.3% 5.4% +0.034 pp
    €844.94M +72.9% -€66.12M +32.1% -7.8% +0.024 pp €16.81M -57.1% 2.0% -0.060 pp
    €488.75M +135.5% -€50.07M +94.5% -10.2% +0.022 pp €39.16M +7.5% 8.0% -0.095 pp
    €207.56M +74.8% -€25.75M +33.1% -12.4% +0.039 pp €36.43M +207.9% 17.6% +0.076 pp
    €118.76M +72.6% -€19.35M +3,499.6% -16.3% -0.16 pp €11.83M +11.5% 10.0% -0.055 pp
    €68.82M +66.4% -€537.43K -136.6% -0.8% -0.043 pp €10.61M +45.8% 15.4% -0.022 pp
    €41.37M €1.47M 3.5% €7.28M 17.6%

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