Ctp N.V. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €1.28B +10.0% €1.62B +2.8% 126.3% -0.089 pp N/A N/A
    (estimated) €1.16B +9.0% €1.57B +14.3% 135.2% +0.062 pp N/A N/A
    (estimated) €1.07B +12.2% €1.38B +∞% 129.0% +1.3 pp €232.77M +139.7% 21.8% +0.12 pp
    (estimated) €950.74M +16.1% N/A N/A €97.12M -961.0% 10.2% +0.12 pp
    (estimated) €818.68M -6.0% N/A N/A -€11.28M -103.0% -1.4% -0.44 pp
    €870.70M +29.2% €1.08B +17.2% 124.2% -0.13 pp €373.40M -1.8% 42.9% -0.14 pp
    €673.80M +14.4% €922.60M +20.3% 136.9% +0.068 pp €380.30M +10.5% 56.4% -0.020 pp
    €589.11M +44.6% €766.60M -25.3% 130.1% -1.2 pp €344.22M +124.9% 58.4% +0.21 pp
    €407.37M +9.2% €1.03B +306.9% 251.8% +1.8 pp €153.03M -18.5% 37.6% -0.13 pp
    €372.98M +23.4% €252.12M -35.7% 67.6% -0.62 pp €187.66M +47.5% 50.3% +0.082 pp
    €302.16M +7.8% €392.18M +7.5% 129.8% -0.0045 pp €127.19M -27.0% 42.1% -0.20 pp
    €280.18M €364.90M 130.2% €174.31M 62.2%

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