Carmila S.A. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €499.17M +4.3% €631.49M +1.3% 126.5% -0.038 pp N/A N/A
    (estimated) €478.42M +1.4% €623.25M +79.4% 130.3% +0.57 pp N/A N/A
    (estimated) €471.81M -0.7% €347.33M +20.1% 73.6% +0.13 pp €302.52M +4.0% 64.1% +0.029 pp
    (estimated) €475.21M +3.1% €289.14M +1.2% 60.8% -0.011 pp €291.02M -1.1% 61.2% -0.026 pp
    (estimated) €461.10M -9.0% €285.83M -8.9% 62.0% +0.00080 pp €294.24M -1.7% 63.8% +0.048 pp
    €506.94M +4.3% €313.84M +11,197.3% 61.9% +0.61 pp €299.34M +3.0% 59.0% -0.0072 pp
    €486.12M +2.8% €2.78M -98.7% 0.6% -0.46 pp €290.56M +1.4% 59.8% -0.0083 pp
    €472.69M +6.4% €219.33M +14.2% 46.4% +0.032 pp €286.44M +0.2% 60.6% -0.037 pp
    €444.34M +1.0% €192.12M -196.7% 43.2% +0.88 pp €285.89M +144.0% 64.3% +0.38 pp
    €439.95M -2.7% -€198.76M -283.7% -45.2% -0.69 pp €117.16M -48.6% 26.6% -0.24 pp
    €452.15M +6.8% €108.21M -33.8% 23.9% -0.15 pp €228.03M -6.0% 50.4% -0.069 pp
    €423.53M +33.7% €163.56M -47.9% 38.6% -0.60 pp €242.62M -8.2% 57.3% -0.26 pp
    €316.77M +11.8% €313.79M +6.5% 99.1% -0.049 pp €264.27M +47.5% 83.4% +0.20 pp
    €283.40M +6,631.7% €294.53M +2,763.7% 103.9% -1.4 pp €179.23M -3,830.0% 63.2% +1.8 pp
    €4.21M +112.6% €10.29M +64.9% 244.3% -0.71 pp -€4.81M -165.4% -114.1% -4.8 pp
    €1.98M -89.6% €6.24M -45.0% 314.9% +2.6 pp €7.34M -69.1% 370.8% +2.5 pp
    €18.98M +730.1% €11.33M +11.6% 59.7% -3.8 pp €23.78M +1,357.8% 125.2% +0.54 pp
    €2.29M -3.6% €10.15M +515.3% 443.9% +3.7 pp €1.63M -48.6% 71.3% -0.62 pp
    €2.37M +4.6% €1.65M +42.9% 69.6% +0.19 pp €3.17M -20.7% 133.8% -0.43 pp
    €2.27M -2.9% €1.16M -121.1% 50.9% +2.9 pp €4.00M +95.2% 176.5% +0.89 pp
    €2.34M -€5.47M -234.3% €2.05M 87.8%

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