Kao Corporation / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) N/A N/A N/A N/A N/A
    (estimated) N/A N/A N/A N/A N/A
    (estimated) N/A N/A N/A N/A N/A
    (estimated) N/A N/A N/A N/A N/A
    (estimated) N/A N/A N/A N/A N/A
    €9.41B +6.3% €622.53M +145.7% 6.6% +0.038 pp €1.55B +0.0% 16.5% -0.010 pp
    €8.85B -1.2% €253.42M -49.0% 2.9% -0.027 pp €1.55B +29.2% 17.5% +0.041 pp
    €8.96B +9.3% €497.01M -21.5% 5.5% -0.022 pp €1.20B -15.8% 13.4% -0.040 pp
    €8.20B +2.7% €633.33M -13.1% 7.7% -0.014 pp €1.43B -13.2% 17.4% -0.032 pp
    €7.98B -8.0% €728.68M -14.9% 9.1% -0.0074 pp €1.64B -15.9% 20.6% -0.019 pp
    €8.68B -0.4% €856.18M -3.6% 9.9% -0.0033 pp €1.95B +19.3% 22.5% +0.037 pp
    €8.71B +1.2% €887.86M +4.5% 10.2% +0.0032 pp €1.64B +2.8% 18.8% +0.0029 pp
    €8.60B +2.2% €849.23M +16.2% 9.9% +0.012 pp €1.59B +4.5% 18.5% +0.0040 pp
    €8.42B -1.0% €731.04M +28.0% 8.7% +0.020 pp €1.53B +5.4% 18.1% +0.011 pp
    €8.50B +5.0% €571.09M +24.2% 6.7% +0.010 pp €1.45B +24.8% 17.0% +0.027 pp
    €8.10B +6.6% €459.77M +22.9% 5.7% +0.0075 pp €1.16B -16.1% 14.3% -0.039 pp
    €7.60B +8.2% €374.12M +23.5% 4.9% +0.0061 pp €1.38B +40.7% 18.2% +0.042 pp
    €7.02B +2.5% €302.89M +12.2% 4.3% +0.0037 pp €982.55M -7.1% 14.0% -0.014 pp
    €6.86B +0.2% €269.98M +15.4% 3.9% +0.0052 pp €1.06B -14.0% 15.4% -0.025 pp
    €6.84B -7.2% €233.99M -37.2% 3.4% -0.016 pp €1.23B +31.3% 18.0% +0.053 pp
    €7.37B -3.2% €372.38M -3.2% 5.1% +0.000024 pp €936.20M -27.6% 12.7% -0.043 pp
    €7.62B +7.0% €384.51M -5.6% 5.0% -0.0068 pp €1.29B -2.8% 17.0% -0.017 pp
    €7.12B +26.8% €407.42M -0.9% 5.7% -0.016 pp €1.33B -27.6% 18.7% -0.14 pp
    €5.61B +3.7% €410.95M -1.4% 7.3% -0.0038 pp €1.84B +93.8% 32.8% +0.15 pp
    €5.41B €416.96M 7.7% €949.22M 17.5%

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