Cannae Holdings, Inc. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €356.46M -1.8% -€70.87M -78.6% -19.9% +0.71 pp N/A N/A
    (estimated) €362.93M -6.5% -€331.32M +26.8% -91.3% -0.24 pp N/A N/A
    €388.25M -20.6% -€261.35M -2.8% -67.3% -0.12 pp -€71.30M +6.8% -18.4% -0.047 pp
    €489.06M -13.9% -€268.90M +27.6% -55.0% -0.18 pp -€66.75M -59.2% -13.6% +0.15 pp
    €568.08M -10.8% -€210.81M -31.6% -37.1% +0.11 pp -€163.71M +17.5% -28.8% -0.069 pp
    €636.81M +26.7% -€308.02M -120.1% -48.4% -3.5 pp -€139.34M +77.3% -21.9% -0.062 pp
    €502.53M -45.3% €1.53B +735.8% 305.0% +2.8 pp -€78.59M +63.9% -15.6% -0.10 pp
    €918.06M -11.2% €183.35M +674.3% 20.0% +0.18 pp -€47.96M +698.6% -5.2% -0.046 pp
    €1.03B +3.1% €23.68M -74.6% 2.3% -0.070 pp -€6.01M -86.2% -0.6% +0.037 pp
    €1.00B -0.8% €93.35M -977.4% 9.3% +0.10 pp -€43.41M -143.8% -4.3% -0.14 pp
    €1.01B -16.7% -€10.64M -45.9% -1.1% +0.0057 pp €99.10M +61.3% 9.8% +0.047 pp
    €1.21B -€19.65M -1.6% €61.43M 5.1%

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