H2O Retailing Corporation / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €4.06B +1.5% €137.19M +6.2% 3.4% +0.0015 pp €129.42M +10.6% 3.2% +0.0026 pp
    (estimated) €4.00B +1.3% €129.14M +21.5% 3.2% +0.0054 pp €116.99M -29.1% 2.9% -0.013 pp
    (estimated) €3.95B +2.5% €106.25M -46.0% 2.7% -0.024 pp €165.03M -56.1% 4.2% -0.056 pp
    €3.85B +3.7% €196.91M +59.1% 5.1% +0.018 pp €375.74M -16.8% 9.8% -0.024 pp
    €3.72B +4.7% €123.80M +33.7% 3.3% +0.0072 pp €451.65M +31.0% 12.2% +0.024 pp
    €3.55B +21.1% €92.59M +65.9% 2.6% +0.0070 pp €344.79M +66.5% 9.7% +0.026 pp
    €2.93B -29.9% €55.79M -139.8% 1.9% +0.053 pp €207.09M +19.0% 7.1% +0.029 pp
    €4.18B -17.6% -€140.11M +88.5% -3.4% -0.019 pp €174.04M -29.2% 4.2% -0.0068 pp
    €5.07B -3.2% -€74.32M -708.2% -1.5% -0.017 pp €245.76M -12.0% 4.8% -0.0048 pp
    €5.24B +0.5% €12.22M -85.2% 0.2% -0.014 pp €279.16M -11.7% 5.3% -0.0074 pp
    €5.21B +2.3% €82.72M +2.4% 1.6% +0.000011 pp €316.18M -15.3% 6.1% -0.013 pp
    €5.09B -1.6% €80.81M +1.7% 1.6% +0.00052 pp €373.38M +44.9% 7.3% +0.024 pp
    €5.18B +8.4% €79.42M +21.3% 1.5% +0.0016 pp €257.66M -25.2% 5.0% -0.022 pp
    €4.77B +46.5% €65.48M +3,827.5% 1.4% +0.013 pp €344.27M +35.9% 7.2% -0.0056 pp
    €3.26B +9.8% €1.67M -95.2% 0.1% -0.011 pp €253.29M -20.4% 7.8% -0.030 pp
    €2.97B +3.9% €35.04M +486.6% 1.2% +0.0097 pp €318.31M +42.5% 10.7% +0.029 pp
    €2.86B +8.7% €5.97M -66.0% 0.2% -0.0046 pp €223.41M +22.6% 7.8% +0.0089 pp
    €2.63B -1.1% €17.57M +3.1% 0.7% +0.00027 pp €182.18M -16.1% 6.9% -0.012 pp
    €2.66B -7.7% €17.05M -52.7% 0.6% -0.0061 pp €217.06M +13.0% 8.2% +0.015 pp
    €2.88B +8.0% €36.06M -32.5% 1.3% -0.0075 pp €192.07M +6.8% 6.7% -0.00076 pp
    €2.67B +19.1% €53.41M +16.7% 2.0% -0.00042 pp €179.80M +27.5% 6.7% +0.0044 pp
    €2.24B +3.8% €45.77M +2.2% 2.0% -0.00032 pp €141.05M -2.5% 6.3% -0.0041 pp
    €2.15B €44.77M 2.1% €144.63M 6.7%

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