KGL Resources Limited / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €35.96M +21,300.0% -€9.52M +136.1% -26.5% +24 pp -€222.50M +191.2% -618.7% +450 pp
    (estimated) €168.05K +0.0% -€4.03M +166.7% -2,400.0% -15 pp -€76.41M +974.0% -45,466.7% -410 pp
    (estimated) €168.05K +∞% -€1.51M +1.1% -900.0% -9.0 pp -€7.11M -210.0% -4,233.3% -42 pp
    €0.00 +NaN% -€1.50M +11.1% N/A €6.47M +23.7% N/A
    €0.00 +NaN% -€1.35M -28.3% N/A €5.23M -51.8% N/A
    €0.00 +NaN% -€1.88M +168.6% N/A €10.85M +443.4% N/A
    €0.00 +NaN% -€699.16K -46.4% N/A €2.00M -73.1% N/A
    €0.00 -100.0% -€1.30M +89.4% N/A €7.41M +8.7% N/A
    €163.63K +250.3% -€688.48K -2.8% -420.8% +11 pp €6.81M +155.1% 4,163.5% -16 pp
    €46.71K -45.1% -€708.48K -44.1% -1,516.7% -0.27 pp €2.67M +4,257.2% 5,717.0% +56 pp
    €85.04K +∞% -€1.27M -6.9% -1,490.2% -15 pp €61.29K -97.0% 72.1% +0.72 pp
    €0.00 +NaN% -€1.36M -170.5% N/A €2.06M -37.5% N/A
    €0.00 +NaN% €1.93M -124.4% N/A €3.30M -39.1% N/A
    €0.00 -100.0% -€7.90M -81.6% N/A €5.42M -73.3% N/A
    €3.46M +2,569.3% -€42.97M +1,891.2% -1,242.2% +4.2 pp €20.27M +11.5% 585.9% -130 pp
    €129.59K +∞% -€2.16M -39.8% -1,665.2% -17 pp €18.18M +251.0% 14,032.2% +140 pp
    €0.00 -100.0% -€3.58M +17.9% N/A €5.18M -2,028.2% N/A
    €11.60K +107.1% -€3.04M +3.6% -26,192.6% +260 pp -€268.67K -142.2% -2,316.3% -140 pp
    €5.60K -79.9% -€2.93M +464.8% -52,336.3% -500 pp €636.04K -16.9% 11,354.7% +86 pp
    €27.87K -28.8% -€519.03K -36.2% -1,862.6% +2.2 pp €765.15K -153.9% 2,745.8% +64 pp
    €39.13K +∞% -€813.11K -2,820.2% -2,077.9% -21 pp -€1.42M -309.8% -3,624.7% -36 pp
    €0.00 -100.0% €29.89K -108.4% N/A €676.17K +∞% N/A
    €1.63K -€353.81K -21,742.4% €0.00 0.0%

    Notifications