Clas Ohlson AB (publ) / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €1.13B +6.1% €100.62M +24.5% 8.9% +0.013 pp €90.42M -50.2% 8.0% -0.090 pp
    €1.06B +13.6% €80.79M +73.5% 7.6% +0.026 pp €181.52M +23.3% 17.0% +0.013 pp
    €937.05M +13.4% €46.58M +181.6% 5.0% +0.030 pp €147.24M +51.1% 15.7% +0.039 pp
    €826.45M +2.7% €16.54M -65.4% 2.0% -0.039 pp €97.46M -6.5% 11.8% -0.012 pp
    €804.42M +6.0% €47.85M +24.0% 5.9% +0.0086 pp €104.26M -24.9% 13.0% -0.053 pp
    €758.69M -5.4% €38.58M +12.1% 5.1% +0.0079 pp €138.85M +1.9% 18.3% +0.013 pp
    €802.09M -0.2% €34.43M +425.0% 4.3% +0.035 pp €136.29M +184.7% 17.0% +0.11 pp
    €803.38M +6.8% €6.56M -80.0% 0.8% -0.035 pp €47.87M -19.0% 6.0% -0.019 pp
    €751.94M +2.8% €32.77M -25.3% 4.4% -0.016 pp €59.12M -32.9% 7.9% -0.042 pp
    €731.74M +5.1% €43.84M +26.4% 6.0% +0.010 pp €88.14M -1.7% 12.0% -0.0083 pp
    €696.16M +3.7% €34.69M -17.5% 5.0% -0.013 pp €89.66M +16.6% 12.9% +0.014 pp
    €671.27M +7.7% €42.03M +13.2% 6.3% +0.0031 pp €76.90M -2.5% 11.5% -0.012 pp
    €623.46M +4.4% €37.13M +22.3% 6.0% +0.0087 pp €78.87M +25.7% 12.7% +0.021 pp
    €597.01M +4.1% €30.36M -17.2% 5.1% -0.013 pp €62.72M -41.6% 10.5% -0.082 pp
    €573.30M +7.4% €36.68M +9.9% 6.4% +0.0015 pp €107.31M +81.2% 18.7% +0.076 pp
    €533.73M +4.9% €33.37M -15.8% 6.3% -0.015 pp €59.23M -29.7% 11.1% -0.055 pp
    €508.81M +12.7% €39.64M +18.4% 7.8% +0.0038 pp €84.21M +18.8% 16.6% +0.0085 pp
    €451.51M +5.8% €33.47M -13.3% 7.4% -0.016 pp €70.88M +5.8% 15.7% +0.000050 pp
    €426.91M +13.7% €38.63M +9.3% 9.0% -0.0036 pp €67.00M +37.7% 15.7% +0.027 pp
    €375.59M +15.0% €35.33M +9.6% 9.4% -0.0046 pp €48.67M +61.8% 13.0% +0.037 pp
    €326.72M +20.7% €32.25M +15.3% 9.9% -0.0046 pp €30.08M -40.7% 9.2% -0.095 pp
    €270.60M +17.7% €27.96M +17.0% 10.3% -0.00064 pp €50.74M +20.6% 18.7% +0.0044 pp
    €229.82M +17.8% €23.89M +9.3% 10.4% -0.0081 pp €42.08M +26.4% 18.3% +0.013 pp
    €195.14M €21.87M 11.2% €33.28M 17.1%

    Notifications