Cassiar Gold Corp. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    €0.00 +NaN% -€4.70M +332.7% N/A -€5.08M -119,242.7% N/A
    €0.00 +NaN% -€1.09M -28.2% N/A €4.27K -99.9% N/A
    €0.00 +NaN% -€1.51M -5.4% N/A €6.50M +183.3% N/A
    €0.00 +NaN% -€1.60M -2.5% N/A €2.29M +467.0% N/A
    €0.00 +NaN% -€1.64M +38.7% N/A €404.43K -1,524.7% N/A
    €0.00 +NaN% -€1.18M -75.4% N/A -€28.39K -103.1% N/A
    €0.00 +NaN% -€4.81M +175.8% N/A €916.68K +134.2% N/A
    €0.00 +NaN% -€1.74M +408.9% N/A €391.35K -374.6% N/A
    €0.00 -100.0% -€342.69K +39.1% N/A -€142.52K -140.7% N/A
    €126.60 -99.7% -€246.43K -43.4% -194,656.7% -1.9K pp €350.19K +92.8% 276,616.3% +2.8K pp
    €43.46K -78.0% -€435.39K -30.9% -1,001.9% -6.8 pp €181.63K -167.7% 418.0% +5.5 pp
    €197.77K -49.2% -€630.24K -82.5% -318.7% +6.1 pp -€268.36K -109.7% -135.7% -8.5 pp
    €388.97K +1,246.1% -€3.60M +650.4% -924.6% +7.3 pp €2.77M +292.0% 712.2% -17 pp
    €28.90K -€479.22K -1,658.5% €706.62K 2,445.4%

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