Concrete Pumping Holdings, Inc. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €362.71M +7.4% €14.82M +88.0% 4.1% +0.018 pp €723.70K -96.1% 0.2% -0.053 pp
    (estimated) €337.87M +1.2% €7.88M +64.0% 2.3% +0.0089 pp €18.51M -5.3% 5.5% -0.0038 pp
    (estimated) €333.72M -9.0% €4.81M -65.6% 1.4% -0.024 pp €19.55M -82.6% 5.9% -0.25 pp
    €366.91M -3.7% €13.96M -49.0% 3.8% -0.034 pp €112.61M -14.1% 30.7% -0.037 pp
    €381.01M +10.2% €27.39M +10.9% 7.2% +0.00042 pp €131.11M -15.5% 34.4% -0.10 pp
    €345.73M +27.1% €24.71M -290.2% 7.1% +0.12 pp €155.15M +29.2% 44.9% +0.0074 pp
    €272.08M +3.8% -€12.99M -75.4% -4.8% +0.15 pp €120.08M +17.8% 44.1% +0.053 pp
    €262.17M +7.5% -€52.77M +88.5% -20.1% -0.086 pp €101.93M +76.8% 38.9% +0.15 pp
    €243.78M +16.3% -€27.99M -214.5% -11.5% -0.23 pp €57.67M -6.2% 23.7% -0.057 pp
    €209.55M +15.2% €24.45M -9,034.5% 11.7% +0.12 pp €61.48M +207.5% 29.3% +0.18 pp
    €181.97M +22.5% -€273.68K -109.2% -0.2% -0.022 pp €20.00M -60.2% 11.0% -0.23 pp
    €148.55M €2.99M 2.0% €50.25M 33.8%

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