Castle Minerals Limited / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    €35.91K +110.8% -€1.61M -48.7% -4,494.3% +140 pp -€1.69M -31.6% -4,693.6% +98 pp
    €17.04K +7,337.2% -€3.15M +160.4% -18,470.2% +5.1K pp -€2.46M +110.4% -14,456.3% +5.0K pp
    €229.11 +60.4% -€1.21M +8.4% -527,494.6% +2.5K pp -€1.17M +7.7% -511,016.1% +2.5K pp
    €142.84 +38.6% -€1.11M +156.8% -780,568.6% -3.6K pp -€1.09M +331.2% -760,728.6% -5.2K pp
    €103.07 -88.3% -€434.26K +56.7% -421,329.9% -3.9K pp -€252.03K +1.3% -244,524.5% -2.2K pp
    €880.57 -57.0% -€277.13K -69.4% -31,471.9% +130 pp -€248.88K -43.4% -28,263.5% -68 pp
    €2.05K +385.8% -€904.94K -18,229.2% -44,223.7% -450 pp -€440.06K +48.1% -21,505.5% +490 pp
    €421.24 -71.1% €4.99K -101.9% 1,185.0% +200 pp -€297.07K +213.0% -70,521.8% -640 pp
    €1.46K -51.8% -€269.04K -38.1% -18,480.1% -41 pp -€94.90K -8.6% -6,518.2% -31 pp
    €3.02K -90.3% -€434.64K -48.3% -14,379.6% -120 pp -€103.87K -85.1% -3,436.3% -12 pp
    €31.02K +369.2% -€840.42K -28.5% -2,709.7% +150 pp -€696.62K -46.4% -2,246.0% +170 pp
    €6.61K +∞% -€1.18M -53.7% -17,795.1% -180 pp -€1.30M -44.0% -19,654.9% -200 pp
    €0.00 +NaN% -€2.54M -10.2% N/A -€2.32M -11.4% N/A
    €0.00 +NaN% -€2.83M +69.7% N/A -€2.62M +137.0% N/A
    €0.00 +NaN% -€1.67M +69.0% N/A -€1.11M +50.1% N/A
    €0.00 -100.0% -€987.03K -28.5% N/A -€736.09K -40.0% N/A
    €3.75K +∞% -€1.38M +3.3% -36,817.3% -370 pp -€1.23M -2.4% -32,716.0% -330 pp
    €0.00 +NaN% -€1.34M +313.3% N/A -€1.26M +536.1% N/A
    €0.00 -€323.05K N/A -€197.52K N/A

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