Gold Road Resources Limited / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) N/A N/A N/A N/A N/A
    (estimated) N/A N/A N/A N/A N/A
    (estimated) €549.56M +4.1% €216.87M +9.7% 39.5% +0.020 pp €200.02M +9.8% 36.4% +0.019 pp
    (estimated) €527.97M +19.3% €197.74M +35.6% 37.5% +0.045 pp €182.18M +51.8% 34.5% +0.074 pp
    (estimated) €442.38M +49.6% €145.81M +82.4% 33.0% +0.059 pp €119.99M -43.8% 27.1% -0.45 pp
    €295.74M +11.8% €79.93M +23.3% 27.0% +0.025 pp €213.56M +21.2% 72.2% +0.056 pp
    €264.47M +23.3% €64.82M +81.7% 24.5% +0.079 pp €176.19M +71.5% 66.6% +0.19 pp
    €214.51M +39.4% €35.68M +73.1% 16.6% +0.032 pp €102.71M +22.3% 47.9% -0.067 pp
    €153.91M -6.8% €20.61M -54.5% 13.4% -0.14 pp €84.02M -20.1% 54.6% -0.091 pp
    €165.05M +290.6% €45.27M -1,836.2% 27.4% +0.34 pp €105.18M +134.6% 63.7% -0.42 pp
    €42.26M +∞% -€2.61M -80.5% -6.2% -0.062 pp €44.83M -51.6% 106.1% +1.1 pp
    €0.00 +NaN% -€13.36M -110.4% N/A €92.68M -911.8% N/A
    €0.00 +NaN% €128.73M -2,591.2% N/A -€11.42M -175.2% N/A
    €0.00 -100.0% -€5.17M +137.8% N/A €15.18M +54.0% N/A
    €562.96K +29.4% -€2.17M -1,046.9% -386.1% -4.4 pp €9.86M +22.1% 1,751.2% -1.0 pp
    €435.09K +82.2% €229.53K -101.8% 52.8% +54 pp €8.07M +80.9% 1,855.6% -0.14 pp
    €238.76K +∞% -€12.71M +684.4% -5,324.1% -53 pp €4.46M -50.3% 1,869.1% +19 pp
    €0.00 +NaN% -€1.62M -4.5% N/A €8.98M +214.4% N/A
    €0.00 -100.0% -€1.70M +47.3% N/A €2.85M +268.0% N/A
    €8.26K +∞% -€1.15M -30.9% -13,954.3% -140 pp €775.74K +347.1% 9,394.5% +94 pp
    €0.00 +NaN% -€1.67M -12.0% N/A €173.50K -71.1% N/A
    €0.00 +NaN% -€1.90M +270.8% N/A €600.98K -34.3% N/A
    €0.00 +NaN% -€511.43K -∞% N/A €914.91K +∞% N/A
    €0.00 €0.00 N/A €0.00 N/A

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