Matador Resources Company / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €3.86B +3.5% €983.45M +6.5% 25.5% +0.0071 pp €920.05M +6.5% 23.9% +0.0067 pp
    (estimated) €3.73B +6.4% €923.56M +18.5% 24.8% +0.025 pp €864.04M -3.6% 23.2% -0.024 pp
    (estimated) €3.50B +7.1% €779.61M +16.9% 22.3% +0.019 pp €896.28M +32.0% 25.6% +0.048 pp
    (estimated) €3.27B +3.6% €667.08M +5.3% 20.4% +0.0033 pp €679.11M +8.2% 20.8% +0.0088 pp
    (estimated) €3.16B +6.4% €633.35M -16.1% 20.1% -0.054 pp €627.51M -82.5% 19.9% -1.0 pp
    €2.97B +23.5% €755.14M +4.6% 25.4% -0.046 pp €3.59B +23.3% 121.1% -0.0017 pp
    €2.40B -7.9% €721.66M -30.3% 30.0% -0.097 pp €2.92B +11.6% 121.3% +0.21 pp
    €2.61B +83.9% €1.04B +107.6% 39.7% +0.045 pp €2.61B +71.4% 100.2% -0.073 pp
    €1.42B +92.9% €498.95M -205.7% 35.2% +0.99 pp €1.52B +42.0% 107.4% -0.38 pp
    €735.35M -12.4% -€472.16M -550.1% -64.2% -0.77 pp €1.07B -14.9% 145.9% -0.043 pp
    €839.02M +9.3% €104.90M -55.1% 12.5% -0.18 pp €1.26B -30.7% 150.2% -0.87 pp
    €767.31M +65.3% €233.89M +117.9% 30.5% +0.074 pp €1.82B +90.5% 237.0% +0.31 pp
    €464.24M +105.8% €107.36M -229.2% 23.1% +0.60 pp €954.78M +90.4% 205.7% -0.17 pp
    €225.54M -16.4% -€83.10M -85.7% -36.8% +1.8 pp €501.53M -16.7% 222.4% -0.0085 pp
    €269.68M -26.6% -€579.82M -713.7% -215.0% -2.4 pp €601.97M -14.1% 223.2% +0.33 pp
    €367.65M +65.2% €94.48M +145.6% 25.7% +0.084 pp €700.68M +50.3% 190.6% -0.19 pp
    €222.53M +58.0% €38.46M -235.6% 17.3% +0.37 pp €466.26M +26.5% 209.5% -0.52 pp
    €140.87M +146.5% -€28.37M +222.6% -20.1% -0.048 pp €368.69M +93.9% 261.7% -0.71 pp
    €57.15M +96.8% -€8.79M -261.7% -15.4% -0.34 pp €190.18M +18.6% 332.8% -2.2 pp
    €29.04M +78.8% €5.44M -144.2% 18.7% +0.95 pp €160.30M +233.6% 552.1% +2.6 pp
    €16.24M -€12.30M -75.8% €48.06M 295.9%

    Notifications