Grupo Mexicano de Desarrollo, S.A.B. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    €231.45M -2.7% €27.84M +46.8% 12.0% +0.041 pp €88.43M +151.7% 38.2% +0.23 pp
    €237.97M +4.9% €18.96M -23.1% 8.0% -0.029 pp €35.13M -35.7% 14.8% -0.093 pp
    €226.93M +22.4% €24.67M -35.9% 10.9% -0.099 pp €54.65M +11.5% 24.1% -0.024 pp
    €185.45M +7.8% €38.50M +250.5% 20.8% +0.14 pp €49.03M +55.4% 26.4% +0.081 pp
    €172.00M -11.4% €10.99M -11.1% 6.4% +0.00017 pp €31.55M -21.1% 18.3% -0.023 pp
    €194.07M +5.3% €12.36M +46.1% 6.4% +0.018 pp €40.00M -8.1% 20.6% -0.030 pp
    €184.28M +6.5% €8.47M +89.9% 4.6% +0.020 pp €43.53M +80.0% 23.6% +0.096 pp
    €173.03M +7.0% €4.46M -1,771.6% 2.6% +0.027 pp €24.18M +10.2% 14.0% +0.0041 pp
    €161.73M +14.3% -€266.65K -43.5% -0.2% +0.0017 pp €21.95M +30.3% 13.6% +0.017 pp
    €141.50M +29.7% -€472.14K -84.2% -0.3% +0.024 pp €16.85M -146.9% 11.9% +0.45 pp
    €109.07M -2.8% -€2.99M -196.1% -2.7% -0.055 pp -€35.94M -469.1% -32.9% -0.42 pp
    €112.26M -12.1% €3.11M +239.3% 2.8% +0.021 pp €9.74M +42.3% 8.7% +0.033 pp
    €127.73M +7.5% €916.76K -81.3% 0.7% -0.034 pp €6.84M -76.6% 5.4% -0.19 pp
    €118.78M +8.0% €4.91M -39.2% 4.1% -0.032 pp €29.26M +157.6% 24.6% +0.14 pp
    €109.95M +8.5% €8.08M +47.5% 7.4% +0.019 pp €11.36M +20.2% 10.3% +0.010 pp
    €101.35M +23.8% €5.48M +458.0% 5.4% +0.042 pp €9.45M -48.7% 9.3% -0.13 pp
    €81.84M +9.9% €982.04K +51.6% 1.2% +0.0033 pp €18.42M +13.5% 22.5% +0.0071 pp
    €74.45M +23.0% €647.81K -93.2% 0.9% -0.15 pp €16.23M -9.6% 21.8% -0.079 pp
    €60.52M +19.7% €9.48M -12.1% 15.7% -0.057 pp €17.95M +73.0% 29.7% +0.091 pp
    €50.54M €10.78M 21.3% €10.38M 20.5%

    Notifications