Hazer Group Limited / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €5.07M +101.1% -€2.74M -46.7% -54.0% +1.5 pp N/A N/A
    (estimated) €2.52M +0.0% -€5.14M +14.1% -203.8% -0.25 pp N/A N/A
    (estimated) €2.52M +632.6% -€4.50M +5.5% -178.7% +11 pp N/A N/A
    €344.07K -81.5% -€4.27M -60.0% -1,240.5% -6.7 pp -€2.08M -55.4% -603.4% -3.5 pp
    €1.86M +38.0% -€10.68M +56.2% -575.2% -0.67 pp -€4.66M -358.3% -250.9% -3.8 pp
    €1.35M +93.5% -€6.84M -25.6% -507.9% +8.1 pp €1.80M -70.2% 134.0% -7.4 pp
    €695.72K -47.1% -€9.20M +40.8% -1,321.7% -8.2 pp €6.06M -7.5% 871.5% +3.7 pp
    €1.31M +68.8% -€6.53M +261.4% -496.8% -2.6 pp €6.56M -869.4% 499.0% +6.1 pp
    €778.62K -15.2% -€1.81M -26.6% -232.0% +0.36 pp -€852.35K -39.8% -109.5% +0.45 pp
    €918.10K +116.1% -€2.46M -60.1% -268.2% +12 pp -€1.42M -35.9% -154.2% +3.7 pp
    €424.88K +169.6% -€6.17M +183.9% -1,451.4% -0.73 pp -€2.21M +162.3% -520.0% +0.15 pp
    €157.61K +∞% -€2.17M +110.3% -1,378.3% -14 pp -€842.49K +3.4% -534.5% -5.3 pp
    €0.00 +NaN% -€1.03M +253.3% N/A -€815.11K +515.6% N/A
    €0.00 +NaN% -€292.40K +214.5% N/A -€132.41K +426.9% N/A
    €0.00 +NaN% -€92.99K +15,785.2% N/A -€25.13K +5,445.1% N/A
    €0.00 -€585.37 N/A -€453.17 N/A

    Notifications