Canterbury Resources Limited / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    €241.92K +102.3% -€392.53K -13.8% -162.3% +2.2 pp -€310.36K -27.0% -128.3% +2.3 pp
    €119.61K +∞% -€455.23K -50.3% -380.6% -3.8 pp -€425.36K -43.1% -355.6% -3.6 pp
    €0.00 +NaN% -€915.89K +25.3% N/A -€747.16K -665.6% N/A
    €0.00 -100.0% -€731.08K -8.3% N/A €132.09K -89.2% N/A
    €3.34K -83.5% -€797.10K +44.9% -23,850.7% -210 pp €1.23M -2.1% 36,723.3% +310 pp
    €20.26K +77.5% -€550.05K +57.6% -2,714.9% +3.4 pp €1.25M -1,834.0% 6,189.4% +68 pp
    €11.42K -77.1% -€349.11K +359.1% -3,058.2% -29 pp -€72.32K -147.8% -633.5% -9.4 pp
    €49.82K +223,642.5% -€76.04K +97.4% -152.6% +1.7K pp €151.36K +3.0% 303.8% -6.6K pp
    €22.27 -83.7% -€38.52K -32.9% -173,020.0% -1.3K pp €146.89K +381.9% 659,702.5% +6.4K pp
    €136.93 -96.9% -€57.37K -28.0% -41,896.7% -400 pp €30.48K -70.2% 22,259.8% +200 pp
    €4.47K +132.8% -€79.66K +26.2% -1,782.4% +15 pp €102.43K -696.1% 2,292.0% +32 pp
    €1.92K -€63.12K -3,287.7% -€17.18K -895.0%

    Notifications