Carter Bankshares, Inc. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €149.61M +14.6% €37.62M -4.4% 25.1% -0.050 pp N/A N/A
    (estimated) €130.57M -36.1% €39.35M +88.1% 30.1% +0.20 pp N/A N/A
    €204.43M +13.1% €20.92M +4.9% 10.2% -0.0081 pp €38.44M -20.3% 18.8% -0.079 pp
    €180.67M +18.2% €19.95M -53.3% 11.0% -0.17 pp €48.22M -26.3% 26.7% -0.16 pp
    €152.81M +14.6% €42.75M +58.7% 28.0% +0.078 pp €65.41M -10.9% 42.8% -0.12 pp
    €133.38M -4.5% €26.94M -168.9% 20.2% +0.48 pp €73.37M +382.6% 55.0% +0.44 pp
    €139.69M -2.7% -€39.11M -272.6% -28.0% -0.44 pp €15.20M -61.9% 10.9% -0.17 pp
    €143.62M +6.6% €22.67M +123.2% 15.8% +0.082 pp €39.87M -26.7% 27.8% -0.13 pp
    €134.67M +9.4% €10.15M -1,848.2% 7.5% +0.080 pp €54.38M +33.4% 40.4% +0.073 pp
    €123.11M -1.6% -€580.86K -104.3% -0.5% -0.11 pp €40.77M +42.7% 33.1% +0.10 pp
    €125.09M -10.9% €13.63M -59.2% 10.9% -0.13 pp €28.57M -38.3% 22.8% -0.10 pp
    €140.37M +3.4% €33.40M +17.0% 23.8% +0.028 pp €46.28M +21.5% 33.0% +0.049 pp
    €135.72M +0.6% €28.54M +28.3% 21.0% +0.045 pp €38.08M +17.0% 28.1% +0.039 pp
    €134.95M -5.9% €22.24M -14.1% 16.5% -0.016 pp €32.55M -14.8% 24.1% -0.025 pp
    €143.42M +2.2% €25.88M +0.8% 18.0% -0.0024 pp €38.23M +21.8% 26.7% +0.043 pp
    €140.39M -0.7% €25.67M +32.1% 18.3% +0.045 pp €31.39M -20.2% 22.4% -0.055 pp
    €141.40M +4.9% €19.43M +28.2% 13.7% +0.025 pp €39.35M +506.3% 27.8% +0.23 pp
    €134.86M +4.8% €15.16M +83.1% 11.2% +0.048 pp €6.49M -86.4% 4.8% -0.32 pp
    €128.70M -4.0% €8.28M -26.3% 6.4% -0.019 pp €47.85M +113.0% 37.2% +0.20 pp
    €134.10M €11.23M 8.4% €22.46M 16.8%

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