Haidemenos S.A. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    €17.05M -4.1% -€1.34M +266.6% -7.8% -0.058 pp €2.18M -193.0% 12.8% +0.26 pp
    €17.77M +18.9% -€364.61K -261.9% -2.1% -0.036 pp -€2.34M -530.7% -13.2% -0.17 pp
    €14.95M +8.6% €225.18K -117.1% 1.5% +0.11 pp €544.19K +21.7% 3.6% +0.0039 pp
    €13.77M -21.4% -€1.32M +161.0% -9.6% -0.067 pp €447.26K -80.9% 3.2% -0.10 pp
    €17.52M -11.0% -€504.10K +38.4% -2.9% -0.010 pp €2.34M +26.1% 13.4% +0.039 pp
    €19.68M +4.6% -€364.33K -50.2% -1.9% +0.020 pp €1.86M +870.5% 9.4% +0.084 pp
    €18.81M +10.3% -€731.84K -51.1% -3.9% +0.049 pp €191.36K -27.3% 1.0% -0.0053 pp
    €17.06M -2.8% -€1.50M -2.7% -8.8% -0.000094 pp €263.20K -85.5% 1.5% -0.088 pp
    €17.56M -3.6% -€1.54M +27.6% -8.8% -0.021 pp €1.81M -25.8% 10.3% -0.031 pp
    €18.22M -14.1% -€1.21M -22.6% -6.6% +0.0072 pp €2.45M +84.5% 13.4% +0.072 pp
    €21.22M -19.5% -€1.56M +7.1% -7.3% -0.018 pp €1.33M -64.4% 6.2% -0.079 pp
    €26.37M -€1.45M -5.5% €3.72M 14.1%

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