Byggmax Group AB (publ) / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €614.60M +6.2% €24.73M +49.6% 4.0% +0.012 pp €43.33M +25.8% 7.1% +0.011 pp
    (estimated) €578.88M +5.6% €16.53M +169.3% 2.9% +0.017 pp €34.44M -60.0% 6.0% -0.098 pp
    €548.37M -2.1% €6.14M +157.7% 1.1% +0.0069 pp €86.11M +1.4% 15.7% +0.0054 pp
    €560.00M -15.8% €2.38M -91.7% 0.4% -0.039 pp €84.92M +17.2% 15.2% +0.043 pp
    €665.08M -5.0% €28.67M -49.6% 4.3% -0.038 pp €72.46M -24.2% 10.9% -0.027 pp
    €700.35M +12.4% €56.89M +28.0% 8.1% +0.0099 pp €95.55M -23.9% 13.6% -0.065 pp
    €623.03M +28.9% €44.43M +242.0% 7.1% +0.044 pp €125.50M +209.3% 20.1% +0.12 pp
    €483.46M +3.3% €12.99M +3.1% 2.7% -0.000070 pp €40.57M -21.8% 8.4% -0.027 pp
    €467.92M -4.0% €12.61M -29.3% 2.7% -0.0096 pp €51.91M +29.9% 11.1% +0.029 pp
    €487.49M +2.0% €17.83M -31.6% 3.7% -0.018 pp €39.98M -13.9% 8.2% -0.015 pp
    €478.13M +26.3% €26.07M +9.5% 5.5% -0.0084 pp €46.45M -22.7% 9.7% -0.062 pp
    €378.44M +16.5% €23.80M +19.2% 6.3% +0.0015 pp €60.10M +43.2% 15.9% +0.030 pp
    €324.95M +10.3% €19.96M +18.4% 6.1% +0.0042 pp €41.98M +59.6% 12.9% +0.040 pp
    €294.65M +4.1% €16.86M +2.3% 5.7% -0.00097 pp €26.30M +0.6% 8.9% -0.0031 pp
    €283.11M +3.5% €16.47M -1.3% 5.8% -0.0028 pp €26.15M +120.8% 9.2% +0.049 pp
    €273.64M +7.6% €16.69M +5.8% 6.1% -0.0010 pp €11.84M -46.1% 4.3% -0.043 pp
    €254.31M +13.6% €15.78M +6.8% 6.2% -0.0039 pp €21.98M +35.3% 8.6% +0.014 pp
    €223.85M +16.0% €14.77M -1,258.0% 6.6% +0.073 pp €16.24M +17.4% 7.3% +0.00091 pp
    €193.02M +19.0% -€1.28M -43.7% -0.7% +0.0073 pp €13.83M +58.4% 7.2% +0.018 pp
    €162.25M -€2.26M -1.4% €8.73M 5.4%

    Notifications