GR Engineering Services Limited / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €303.76M +2.3% €22.22M +2.4% 7.3% +0.000096 pp €29.40M +13.5% 9.7% +0.0096 pp
    (estimated) €297.02M +4.4% €21.69M +5.6% 7.3% +0.00084 pp €25.89M -1.1% 8.7% -0.0048 pp
    (estimated) €284.60M +5.9% €20.55M +7.1% 7.2% +0.00079 pp €26.17M +15.0% 9.2% +0.0072 pp
    €268.74M +13.0% €19.19M +9.7% 7.1% -0.0021 pp €22.76M +17.2% 8.5% +0.0031 pp
    €237.90M -23.1% €17.49M +13.4% 7.4% +0.024 pp €19.42M +107.5% 8.2% +0.051 pp
    €309.32M -15.4% €15.42M -20.8% 5.0% -0.0034 pp €9.36M -77.2% 3.0% -0.082 pp
    €365.59M +66.1% €19.48M +49.4% 5.3% -0.0059 pp €40.97M +43.5% 11.2% -0.018 pp
    €220.13M +76.4% €13.04M -420.6% 5.9% +0.092 pp €28.55M +314.8% 13.0% +0.075 pp
    €124.77M +21.8% -€4.07M -211.0% -3.3% -0.068 pp €6.88M -52.2% 5.5% -0.085 pp
    €102.47M -35.6% €3.66M -43.9% 3.6% -0.0053 pp €14.40M +1,352.3% 14.1% +0.13 pp
    €159.07M +18.5% €6.53M -9.5% 4.1% -0.013 pp €991.64K -113.6% 0.6% +0.061 pp
    €134.20M -6.4% €7.22M -33.5% 5.4% -0.022 pp -€7.31M -168.1% -5.4% -0.13 pp
    €143.34M +17.8% €10.85M +49.5% 7.6% +0.016 pp €10.73M -56.8% 7.5% -0.13 pp
    €121.68M +90.0% €7.26M -8.7% 6.0% -0.064 pp €24.84M +135.0% 20.4% +0.039 pp
    €64.05M -0.5% €7.95M +87.9% 12.4% +0.058 pp €10.57M -3.2% 16.5% -0.0045 pp
    €64.40M -24.9% €4.23M -42.5% 6.6% -0.020 pp €10.92M +13.5% 16.9% +0.057 pp
    €85.81M +7.2% €7.36M -37.8% 8.6% -0.062 pp €9.62M +3.0% 11.2% -0.0045 pp
    €80.04M €11.84M 14.8% €9.34M 11.7%

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