Lufax Holding Ltd / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €29.85B +5.8% €3.77B +21.6% 12.6% +0.016 pp €5.76B -30.7% 19.3% -0.10 pp
    (estimated) €28.21B +∞% €3.10B +∞% 11.0% +0.11 pp €8.32B +∞% 29.5% +0.29 pp
    (estimated) N/A N/A N/A N/A N/A
    €4.96B -17.4% €105.52M -89.8% 2.1% -0.15 pp €1.79B +229.4% 36.2% +0.27 pp
    €6.00B -7.1% €1.04B -48.2% 17.2% -0.14 pp €544.72M -10.9% 9.1% -0.0039 pp
    €6.46B +25.9% €2.00B +36.0% 30.9% +0.023 pp €611.63M -29.8% 9.5% -0.075 pp
    €5.13B +5.4% €1.47B -7.3% 28.6% -0.039 pp €871.88M +208.7% 17.0% +0.11 pp
    €4.87B +16.3% €1.59B -2.1% 32.6% -0.061 pp €282.42M -300.7% 5.8% +0.092 pp
    €4.19B +48.8% €1.62B +128.3% 38.7% +0.13 pp -€140.69M -137.6% -3.4% -0.17 pp
    €2.81B €709.79M 25.2% €374.08M 13.3%

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