Cadre Holdings, 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) €627.34M +7.1% €54.45M +7.9% 8.7% +0.00061 pp €76.48M +14.5% 12.2% +0.0079 pp
    (estimated) €585.50M +8.3% €50.46M +15.9% 8.6% +0.0056 pp €66.77M +48.2% 11.4% +0.031 pp
    (estimated) €540.54M +10.5% €43.55M +39.9% 8.1% +0.017 pp €45.05M +39.6% 8.3% +0.017 pp
    €488.98M +17.6% €31.13M -6.5% 6.4% -0.016 pp €32.26M -53.2% 6.6% -0.10 pp
    €415.72M +5.4% €33.29M +563.9% 8.0% +0.067 pp €68.87M +57.0% 16.6% +0.054 pp
    €394.45M +7.1% €5.01M -54.0% 1.3% -0.017 pp €43.86M +18.6% 11.1% +0.011 pp
    €368.13M +5.6% €10.91M -67.1% 3.0% -0.065 pp €36.98M -14.4% 10.0% -0.023 pp
    €348.62M -3.8% €33.13M -2,094.5% 9.5% +0.10 pp €43.19M +377.6% 12.4% +0.099 pp
    €362.48M -€1.66M -0.5% €9.04M 2.5%

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