BTS Group AB (publ) / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    €256.69M +4.4% €35.45M +80.1% 13.8% +0.058 pp €35.36M +120.8% 13.8% +0.073 pp
    €245.78M +6.1% €19.68M +8.3% 8.0% +0.0016 pp €16.02M -32.6% 6.5% -0.037 pp
    €231.74M +32.0% €18.18M -7.6% 7.8% -0.034 pp €23.75M -21.8% 10.2% -0.070 pp
    €175.59M +30.9% €19.67M +509.5% 11.2% +0.088 pp €30.36M +26.2% 17.3% -0.0064 pp
    €134.13M -21.5% €3.23M -76.6% 2.4% -0.057 pp €24.05M +7.8% 17.9% +0.049 pp
    €170.90M +16.7% €13.81M +19.5% 8.1% +0.0019 pp €22.31M +37.3% 13.1% +0.020 pp
    €146.43M +28.6% €11.55M +28.5% 7.9% -0.000063 pp €16.25M +53.0% 11.1% +0.018 pp
    €113.83M +12.2% €8.99M +32.9% 7.9% +0.012 pp €10.62M +90.8% 9.3% +0.038 pp
    €101.47M +6.1% €6.76M +1.7% 6.7% -0.0029 pp €5.57M -21.0% 5.5% -0.019 pp
    €95.63M +33.6% €6.65M +29.4% 7.0% -0.0023 pp €7.04M +16.7% 7.4% -0.011 pp
    €71.59M +13.5% €5.14M +17.2% 7.2% +0.0023 pp €6.03M +4.3% 8.4% -0.0075 pp
    €63.05M -10.7% €4.38M -25.0% 7.0% -0.013 pp €5.79M -12.5% 9.2% -0.0019 pp
    €70.59M +10.4% €5.84M +10.5% 8.3% +0.000041 pp €6.61M +23.8% 9.4% +0.010 pp
    €63.92M +0.4% €5.28M -2.6% 8.3% -0.0026 pp €5.34M -15.8% 8.4% -0.016 pp
    €63.64M +16.7% €5.43M +33.7% 8.5% +0.011 pp €6.34M +6.8% 10.0% -0.0093 pp
    €54.51M +8.5% €4.06M -1.7% 7.4% -0.0077 pp €5.94M +50.9% 10.9% +0.031 pp
    €50.24M +4.8% €4.13M -7.8% 8.2% -0.011 pp €3.94M -20.5% 7.8% -0.025 pp
    €47.93M +38.0% €4.47M +26.6% 9.3% -0.0084 pp €4.95M -70.1% 10.3% -0.37 pp
    €34.73M +32.5% €3.53M +5.3% 10.2% -0.026 pp €16.54M +143.0% 47.6% +0.22 pp
    €26.21M +38.9% €3.36M +89.8% 12.8% +0.034 pp €6.81M +125.9% 26.0% +0.10 pp
    €18.87M +27.0% €1.77M +166.4% 9.4% +0.049 pp €3.01M +67.1% 16.0% +0.038 pp
    €14.86M -5.8% €663.89K +13.0% 4.5% +0.0074 pp €1.80M +20.1% 12.1% +0.026 pp
    €15.78M €587.49K 3.7% €1.50M 9.5%

    Notifications