Crane NXT, Co. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €1.60B +7.9% €273.36M +27.2% 17.1% +0.026 pp N/A N/A
    (estimated) €1.48B +7.7% €214.96M +39.3% 14.5% +0.033 pp €239.54M +30.1% 16.2% +0.028 pp
    (estimated) €1.38B +8.1% €154.33M -2.1% 11.2% -0.012 pp €184.07M -17.1% 13.4% -0.041 pp
    €1.27B +6.9% €157.61M -2.2% 12.4% -0.012 pp €222.16M -15.6% 17.5% -0.046 pp
    €1.19B -58.8% €161.20M -53.1% 13.5% +0.016 pp €263.16M +653.4% 22.1% +0.21 pp
    €2.89B -1.0% €343.38M -7.9% 11.9% -0.0089 pp €34.93M -92.6% 1.2% -0.15 pp
    €2.92B +16.0% €372.74M +140.6% 12.8% +0.066 pp €472.90M +60.8% 16.2% +0.045 pp
    €2.51B -10.5% €154.95M +35.8% 6.2% +0.021 pp €294.15M -25.7% 11.7% -0.024 pp
    €2.81B -1.9% €114.12M -60.3% 4.1% -0.060 pp €396.11M -11.5% 14.1% -0.015 pp
    €2.86B +20.1% €287.30M +95.3% 10.0% +0.039 pp €447.39M +43.6% 15.6% +0.026 pp
    €2.39B +1.4% €147.08M +39.9% 6.2% +0.017 pp €311.53M -1.5% 13.1% -0.0039 pp
    €2.35B +0.3% €105.13M -46.4% 4.5% -0.039 pp €316.41M +37.4% 13.4% +0.036 pp
    €2.35B €195.96M 8.4% €230.20M 9.8%

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