Petpal Pet Nutrition Technology Co., Ltd. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    €200.91M +17.6% €22.07M -1,742.8% 11.0% +0.12 pp €59.63M +53.7% 29.7% +0.070 pp
    €170.91M -18.5% -€1.34M -108.7% -0.8% -0.081 pp €38.79M -17.2% 22.7% +0.0036 pp
    €209.72M +36.3% €15.39M +111.8% 7.3% +0.026 pp €46.84M +119.2% 22.3% +0.085 pp
    €153.91M -5.1% €7.27M -47.7% 4.7% -0.038 pp €21.37M -65.6% 13.9% -0.24 pp
    €162.26M +32.9% €13.91M +129.6% 8.6% +0.036 pp €62.06M +478.2% 38.2% +0.29 pp
    €122.11M +16.0% €6.06M -64.4% 5.0% -0.11 pp €10.73M -51.4% 8.8% -0.12 pp
    €105.28M +37.6% €16.99M +31.4% 16.1% -0.0075 pp €22.09M +80.7% 21.0% +0.050 pp
    €76.54M +14.8% €12.93M +32.8% 16.9% +0.023 pp €12.23M +13.3% 16.0% -0.0021 pp
    €66.67M +10.7% €9.73M +38.0% 14.6% +0.029 pp €10.79M -24.3% 16.2% -0.075 pp
    €60.23M +25.2% €7.05M +106.8% 11.7% +0.046 pp €14.25M +679.7% 23.7% +0.20 pp
    €48.13M +2.6% €3.41M +8.3% 7.1% +0.0038 pp €1.83M -79.1% 3.8% -0.15 pp
    €46.93M -13.0% €3.15M +2.9% 6.7% +0.010 pp €8.74M -6.5% 18.6% +0.013 pp
    €53.96M €3.06M 5.7% €9.35M 17.3%

    Notifications