Castile Resources Limited / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    €151.60K +34.5% -€382.91K -50.9% -252.6% +4.4 pp €364.39K -72.3% 240.4% -9.2 pp
    €112.75K +235.0% -€779.44K -9.4% -691.3% +19 pp €1.31M -35.9% 1,165.1% -49 pp
    €33.66K -23.6% -€860.17K +45.5% -2,555.6% -12 pp €2.05M +7.6% 6,092.1% +18 pp
    €44.08K +46.1% -€591.06K +654.4% -1,340.8% -11 pp €1.91M +307.8% 4,321.7% +28 pp
    €30.17K +∞% -€78.35K -80.1% -259.7% -2.6 pp €467.13K +169.2% 1,548.5% +15 pp
    €0.00 +NaN% -€394.54K +4,184.0% N/A €173.51K -27.9% N/A
    €0.00 +NaN% -€9.21K -100.0% N/A €240.69K -29.8% N/A
    €0.00 €19.16M N/A €342.70K N/A

    Notifications