CTS Co., Ltd. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    €66.99M +6.6% €12.41M +17.9% 18.5% +0.018 pp €16.89M -7.0% 25.2% -0.037 pp
    €62.85M +2.7% €10.53M +5.7% 16.8% +0.0047 pp €18.16M +19.6% 28.9% +0.041 pp
    €61.19M +2.4% €9.96M +1.6% 16.3% -0.0014 pp €15.18M -13.3% 24.8% -0.045 pp
    €59.74M +5.8% €9.81M +18.9% 16.4% +0.018 pp €17.52M +13.4% 29.3% +0.020 pp
    €56.49M +8.7% €8.25M +16.7% 14.6% +0.010 pp €15.45M +32.5% 27.3% +0.049 pp
    €51.98M +6.5% €7.07M +17.1% 13.6% +0.012 pp €11.66M +4.0% 22.4% -0.0053 pp
    €48.81M +0.4% €6.04M +3.8% 12.4% +0.0041 pp €11.21M -5.7% 23.0% -0.015 pp
    €48.62M +17.8% €5.82M +28.4% 12.0% +0.0099 pp €11.89M +16.7% 24.5% -0.0023 pp
    €41.28M +12.8% €4.53M +13.0% 11.0% +0.00028 pp €10.19M +52.0% 24.7% +0.064 pp
    €36.61M +5.1% €4.01M +15.6% 11.0% +0.0099 pp €6.70M -5.1% 18.3% -0.020 pp
    €34.82M +12.2% €3.47M +25.0% 10.0% +0.010 pp €7.06M +44.1% 20.3% +0.045 pp
    €31.03M +22.3% €2.78M +40.4% 8.9% +0.012 pp €4.90M -2.7% 15.8% -0.041 pp
    €25.37M +15.5% €1.98M +33.0% 7.8% +0.010 pp €5.04M +19.4% 19.9% +0.0065 pp
    €21.97M +8.6% €1.49M +30.7% 6.8% +0.011 pp €4.22M +84.6% 19.2% +0.079 pp
    €20.24M +3.3% €1.14M -10.0% 5.6% -0.0083 pp €2.29M -37.1% 11.3% -0.073 pp
    €19.59M +7.5% €1.26M +23.1% 6.4% +0.0082 pp €3.64M +64.6% 18.6% +0.064 pp
    €18.23M -3.1% €1.03M -20.3% 5.6% -0.012 pp €2.21M +3.1% 12.1% +0.0072 pp
    €18.81M €1.29M 6.8% €2.14M 11.4%

    Notifications