Montrose Environmental Group, Inc. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €821.88M +7.4% €6.52M +∞% 0.8% +0.0079 pp €55.77M +25.7% 6.8% +0.0098 pp
    (estimated) €765.01M +6.1% N/A N/A €44.38M +44.0% 5.8% +0.015 pp
    (estimated) €721.11M +3.3% €1.59M +∞% 0.2% +0.0022 pp €30.82M -30.7% 4.3% -0.021 pp
    (estimated) €698.38M +16.9% N/A N/A €44.44M +18.9% 6.4% +0.0011 pp
    €597.51M +11.6% -€53.47M +101.9% -8.9% -0.040 pp €37.38M -51.0% 6.3% -0.080 pp
    €535.57M +14.7% -€26.48M -3.0% -4.9% +0.0090 pp €76.32M +190.2% 14.3% +0.086 pp
    €467.11M -0.4% -€27.30M +25.6% -5.8% -0.012 pp €26.30M -32.1% 5.6% -0.026 pp
    €468.82M +66.5% -€21.73M -56.3% -4.6% +0.13 pp €38.75M +369.2% 8.3% +0.053 pp
    €281.63M +40.4% -€49.72M +146.0% -17.7% -0.076 pp €8.26M -55.8% 2.9% -0.064 pp
    €200.65M +23.9% -€20.21M +42.8% -10.1% -0.013 pp €18.67M +1,621.1% 9.3% +0.086 pp
    €161.99M -€14.15M -8.7% €1.08M 0.7%

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