Jamieson Wellness Inc. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €661.99M +10.6% N/A N/A €38.70M -46.0% 5.8% -0.061 pp
    (estimated) €598.44M +8.1% €69.09M +21.4% 11.5% +0.013 pp €71.67M +31.0% 12.0% +0.021 pp
    (estimated) €553.46M +9.5% €56.90M +16.5% 10.3% +0.0062 pp €54.71M +50.5% 9.9% +0.027 pp
    (estimated) €505.40M +12.0% €48.84M +52.9% 9.7% +0.026 pp €36.35M -17.6% 7.2% -0.026 pp
    €451.45M +8.5% €31.94M +8.4% 7.1% -0.000065 pp €44.14M +74.9% 9.8% +0.037 pp
    €416.00M +23.5% €29.46M -9.3% 7.1% -0.026 pp €25.24M -37.0% 6.1% -0.058 pp
    €336.76M +21.4% €32.49M +1.4% 9.6% -0.019 pp €40.09M -2.3% 11.9% -0.029 pp
    €277.49M +11.7% €32.04M +25.2% 11.5% +0.012 pp €41.03M +24.0% 14.8% +0.015 pp
    €248.35M +17.0% €25.59M +31.4% 10.3% +0.011 pp €33.08M +107.6% 13.3% +0.058 pp
    €212.24M +7.9% €19.48M +18.7% 9.2% +0.0084 pp €15.93M -34.2% 7.5% -0.048 pp
    €196.74M +6.4% €16.41M -212.1% 8.3% +0.16 pp €24.20M +72.3% 12.3% +0.047 pp
    €184.95M +21.1% -€14.63M -5.5% -7.9% +0.022 pp €14.05M -32.3% 7.6% -0.060 pp
    €152.78M +7.6% -€15.48M -73.6% -10.1% +0.31 pp €20.75M +47.4% 13.6% +0.037 pp
    €142.04M +19.5% -€58.68M +187.5% -41.3% -0.24 pp €14.08M +94.0% 9.9% +0.038 pp
    €118.87M -€20.41M -17.2% €7.26M 6.1%

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