Gastar Exploration Inc. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    €62.22M +18.0% -€70.24M -34.5% -112.9% +0.91 pp €158.30M +180.1% 254.4% +1.5 pp
    €52.72M -43.0% -€107.23M -75.9% -203.4% +2.8 pp €56.51M -73.3% 107.2% -1.2 pp
    €92.55M -37.4% -€444.06M -13,576.3% -479.8% -4.8 pp €211.41M +11.3% 228.4% +1.0 pp
    €147.86M +85.3% €3.30M -92.3% 2.2% -0.51 pp €190.01M -44.2% 128.5% -3.0 pp
    €79.80M +66.7% €42.56M -130.7% 53.3% +3.4 pp €340.74M +127.5% 427.0% +1.1 pp
    €47.88M +38.0% -€138.76M +9,019.5% -289.8% -2.9 pp €149.80M +105.7% 312.9% +1.0 pp
    €34.71M -€1.52M -4.4% €72.82M 209.8%

    Notifications