Main Street Capital Corporation / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) N/A €292.53M -8.0% N/A N/A N/A
    (estimated) €496.90M +3.4% €317.93M -11.3% 64.0% -0.11 pp N/A N/A
    (estimated) €480.69M -22.2% €358.26M -17.3% 74.5% +0.044 pp N/A N/A
    €618.12M +44.8% €433.37M +18.6% 70.1% -0.16 pp -€74.31M -130.5% -12.0% -0.69 pp
    €426.80M +26.2% €365.44M +77.3% 85.6% +0.25 pp €243.37M -215.5% 57.0% +1.2 pp
    €338.16M +15.0% €206.08M -27.0% 60.9% -0.35 pp -€210.62M -52.1% -62.3% +0.87 pp
    €293.98M +575.8% €282.12M +1,025.7% 96.0% +0.38 pp -€439.59M +852.9% -149.5% -0.43 pp
    €43.50M -69.6% €25.06M -77.3% 57.6% -0.20 pp -€46.13M +59.9% -106.1% -0.86 pp
    €143.12M -33.6% €110.52M -23.0% 77.2% +0.11 pp -€28.86M -69.0% -20.2% +0.23 pp
    €215.52M +22.8% €143.48M -1.4% 66.6% -0.16 pp -€93.03M -249.6% -43.2% -0.79 pp
    €175.49M +2.3% €145.53M +22.8% 82.9% +0.14 pp €62.18M -270.6% 35.4% +0.57 pp
    €171.57M +30.5% €118.47M +33.0% 69.1% +0.013 pp -€36.45M -67.5% -21.2% +0.64 pp
    €131.48M -5.5% €89.08M +3.7% 67.8% +0.060 pp -€112.07M -31.2% -85.2% +0.32 pp
    €139.20M +25.2% €85.93M +4.0% 61.7% -0.13 pp -€162.84M -20.7% -117.0% +0.68 pp
    €111.15M -7.3% €82.61M -7.2% 74.3% +0.00048 pp -€205.31M -592.6% -184.7% -2.2 pp
    €119.87M +104.0% €89.04M +65.8% 74.3% -0.17 pp €41.68M +31.5% 34.8% -0.19 pp
    €58.75M +104.8% €53.71M +86.0% 91.4% -0.093 pp €31.69M +99.7% 53.9% -0.014 pp
    €28.68M +178.2% €28.87M +183.1% 100.7% +0.017 pp €15.87M +131.3% 55.3% -0.11 pp
    €10.31M -11.9% €10.20M +9.3% 98.9% +0.19 pp €6.86M -26.3% 66.6% -0.13 pp
    €11.71M +33.8% €9.33M +329.6% 79.7% +0.55 pp €9.31M +101.9% 79.5% +0.27 pp
    €8.75M -45.2% €2.17M -83.9% 24.8% -0.60 pp €4.61M +27.4% 52.7% +0.30 pp
    €15.98M €13.50M 84.4% €3.62M 22.6%

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