Mie Kotsu Group Holdings, Inc. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €641.21M +0.7% €35.24M +0.0% 5.5% -0.00040 pp €15.59M -240.3% 2.4% +0.042 pp
    (estimated) €636.59M +1.8% €35.24M +1.7% 5.5% -0.000048 pp -€11.11M -134.4% -1.7% -0.069 pp
    (estimated) €625.61M +4.3% €34.66M -1.0% 5.5% -0.0029 pp €32.31M -71.7% 5.2% -0.14 pp
    €599.90M +5.7% €35.00M +27.5% 5.8% +0.010 pp €114.27M +56.3% 19.0% +0.062 pp
    €567.38M +5.5% €27.44M +26.0% 4.8% +0.0079 pp €73.13M +16.8% 12.9% +0.013 pp
    €537.95M +10.4% €21.77M +70.5% 4.0% +0.014 pp €62.60M -15.7% 11.6% -0.036 pp
    €487.27M +3.9% €12.77M -226.5% 2.6% +0.048 pp €74.21M -31.4% 15.2% -0.078 pp
    €468.95M -21.9% -€10.09M -146.4% -2.2% -0.058 pp €108.22M +35.3% 23.1% +0.098 pp
    €600.35M -2.2% €21.72M -17.4% 3.6% -0.0067 pp €80.00M -19.7% 13.3% -0.029 pp
    €613.74M +1.7% €26.29M +9.1% 4.3% +0.0029 pp €99.67M -11.7% 16.2% -0.025 pp
    €603.30M +1.6% €24.10M +18.2% 4.0% +0.0056 pp €112.84M -1.6% 18.7% -0.0063 pp
    €593.51M +6.6% €20.39M +16.5% 3.4% +0.0029 pp €114.73M +135.6% 19.3% +0.11 pp
    €556.85M -8.9% €17.49M +8.5% 3.1% +0.0050 pp €48.70M -56.4% 8.7% -0.095 pp
    €611.42M -9.9% €16.13M +9.0% 2.6% +0.0046 pp €111.78M -14.4% 18.3% -0.0095 pp
    €678.74M +12.1% €14.80M +25.6% 2.2% +0.0023 pp €130.53M +29.2% 19.2% +0.025 pp
    €605.47M -1.8% €11.79M +51.2% 1.9% +0.0068 pp €101.01M +32.8% 16.7% +0.043 pp
    €616.51M -1.3% €7.79M -9.2% 1.3% -0.0011 pp €76.07M +4.7% 12.3% +0.0071 pp
    €624.48M -1.9% €8.59M -19.3% 1.4% -0.0030 pp €72.64M -9.8% 11.6% -0.010 pp
    €636.80M -1.6% €10.64M +776.6% 1.7% +0.015 pp €80.58M +212.4% 12.7% +0.087 pp
    €647.18M -1.3% €1.21M -87.8% 0.2% -0.013 pp €25.79M +610.4% 4.0% +0.034 pp
    €655.77M -4.3% €9.91M -15.5% 1.5% -0.0020 pp €3.63M -97.1% 0.6% -0.18 pp
    €685.25M +16.1% €11.74M -282.0% 1.7% +0.028 pp €123.86M +160.1% 18.1% +0.10 pp
    €590.30M -€6.45M -1.1% €47.63M 8.1%

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