KPX Chemical Co.,Ltd. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    €564.02M +0.2% €39.65M -1.0% 7.0% -0.00090 pp €46.28M -30.9% 8.2% -0.037 pp
    €562.63M -7.4% €40.06M +126.8% 7.1% +0.042 pp €67.01M -18.3% 11.9% -0.016 pp
    €607.37M -3.6% €17.66M -40.6% 2.9% -0.018 pp €82.01M +120.2% 13.5% +0.076 pp
    €630.35M +36.7% €29.73M -23.9% 4.7% -0.038 pp €37.24M -52.0% 5.9% -0.11 pp
    €461.07M -2.5% €39.07M +55.3% 8.5% +0.032 pp €77.51M +41.1% 16.8% +0.052 pp
    €472.84M -0.1% €25.17M +268.6% 5.3% +0.039 pp €54.92M +63.3% 11.6% +0.045 pp
    €473.44M +9.0% €6.83M -58.3% 1.4% -0.023 pp €33.64M -13.4% 7.1% -0.018 pp
    €434.53M +8.7% €16.36M -19.3% 3.8% -0.013 pp €38.86M -28.4% 8.9% -0.046 pp
    €399.75M -13.0% €20.27M -2.7% 5.1% +0.0054 pp €54.25M +31.6% 13.6% +0.046 pp
    €459.40M -10.0% €20.83M -15.5% 4.5% -0.0029 pp €41.21M +14.3% 9.0% +0.019 pp
    €510.52M +5.8% €24.64M +58.8% 4.8% +0.016 pp €36.05M +40.4% 7.1% +0.017 pp
    €482.61M +2.6% €15.51M -31.7% 3.2% -0.016 pp €25.68M -2.7% 5.3% -0.0029 pp
    €470.54M -2.4% €22.72M -27.6% 4.8% -0.017 pp €26.40M +19.8% 5.6% +0.010 pp
    €481.90M +28.4% €31.40M +5.4% 6.5% -0.014 pp €22.04M -49.9% 4.6% -0.072 pp
    €375.19M +20.1% €29.79M +22.0% 7.9% +0.0013 pp €44.00M +33.1% 11.7% +0.011 pp
    €312.40M -5.8% €24.41M +55.2% 7.8% +0.031 pp €33.06M -10.6% 10.6% -0.0057 pp
    €331.60M +17.6% €15.72M -19.0% 4.7% -0.021 pp €36.97M +26.3% 11.1% +0.0077 pp
    €281.95M €19.42M 6.9% €29.26M 10.4%

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