Elixirr International plc / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €222.86M +7.9% €40.91M +10.2% 18.4% +0.0039 pp €46.61M +12.7% 20.9% +0.0088 pp
    (estimated) €206.50M +20.3% €37.11M +48.4% 18.0% +0.034 pp €41.37M +35.2% 20.0% +0.022 pp
    (estimated) €171.64M +33.8% €25.01M +32.5% 14.6% -0.0014 pp €30.59M -8.2% 17.8% -0.082 pp
    €128.31M +29.6% €18.87M -5.0% 14.7% -0.054 pp €33.33M +71.6% 26.0% +0.064 pp
    €98.97M +21.5% €19.86M +33.9% 20.1% +0.019 pp €19.42M +5.0% 19.6% -0.031 pp
    €81.47M +39.7% €14.83M +26.9% 18.2% -0.018 pp €18.50M +11.3% 22.7% -0.058 pp
    €58.32M +66.9% €11.69M +111.6% 20.0% +0.042 pp €16.62M +18.4% 28.5% -0.12 pp
    €34.94M +130.9% €5.52M +305.4% 15.8% +0.068 pp €14.04M +803.2% 40.2% +0.30 pp
    €15.13M -22.8% €1.36M -36.8% 9.0% -0.020 pp €1.55M -155.4% 10.3% +0.25 pp
    €19.61M +30.0% €2.15M +224.7% 11.0% +0.066 pp -€2.81M +381.7% -14.3% -0.10 pp
    €15.09M €663.73K 4.4% -€582.48K -3.9%

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