Canadian GoldCamps Corp. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    €0.00 +NaN% -€211.41K -83.1% N/A -€85.64K +30.2% N/A
    €0.00 +NaN% -€1.25M +132.8% N/A -€65.76K -80.9% N/A
    €0.00 +NaN% -€538.20K -113.0% N/A -€344.41K -9.4% N/A
    €0.00 +NaN% €4.15M -158.5% N/A -€379.96K -60.5% N/A
    €0.00 +NaN% -€7.08M +143.5% N/A -€961.84K +625.0% N/A
    €0.00 +NaN% -€2.91M +1,051.6% N/A -€132.67K -50.0% N/A
    €0.00 +NaN% -€252.57K -89.0% N/A -€265.16K -38.5% N/A
    €0.00 +NaN% -€2.29M +352.6% N/A -€431.30K +273.6% N/A
    €0.00 +NaN% -€506.39K +171.6% N/A -€115.45K +0.5% N/A
    €0.00 +NaN% -€186.47K -∞% N/A -€114.92K +85.6% N/A
    €0.00 €0.00 N/A -€61.91K N/A

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