PHSC plc / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    €3.71M -14.8% -€145.24K -150.7% -3.9% -0.11 pp €155.43K -70.3% 4.2% -0.078 pp
    €4.35M +9.9% €286.30K +2.3% 6.6% -0.0049 pp €523.04K +49.3% 12.0% +0.032 pp
    €3.96M -3.7% €279.96K -138.6% 7.1% +0.25 pp €350.36K +23.5% 8.9% +0.020 pp
    €4.11M +8.5% -€726.21K -819.1% -17.7% -0.20 pp €283.62K -63.5% 6.9% -0.14 pp
    €3.79M -25.9% €100.99K -664.3% 2.7% +0.030 pp €776.55K +90.4% 20.5% +0.13 pp
    €5.11M -14.9% -€17.90K -2,324.5% -0.4% -0.0036 pp €407.82K -7.8% 8.0% +0.0062 pp
    €6.00M -21.4% €804.47 -100.4% 0.0% +0.024 pp €442.29K +141.8% 7.4% +0.050 pp
    €7.64M -7.4% -€184.94K -76.8% -2.4% +0.072 pp €182.92K +540.0% 2.4% +0.020 pp
    €8.24M +2.3% -€795.49K +67.1% -9.7% -0.037 pp €28.58K -93.2% 0.3% -0.049 pp
    €8.06M -9.4% -€476.05K -218.6% -5.9% -0.10 pp €421.99K -40.9% 5.2% -0.028 pp
    €8.90M +1.8% €401.34K -29.4% 4.5% -0.020 pp €714.15K -8.0% 8.0% -0.0086 pp
    €8.74M +31.1% €568.63K +29.2% 6.5% -0.00096 pp €776.26K +150.8% 8.9% +0.042 pp
    €6.67M +30.6% €440.04K +27.8% 6.6% -0.0014 pp €309.50K -42.0% 4.6% -0.058 pp
    €5.10M -7.9% €344.20K +25.1% 6.7% +0.018 pp €533.96K +4.0% 10.5% +0.012 pp
    €5.54M -2.2% €275.06K -30.1% 5.0% -0.020 pp €513.29K -11.3% 9.3% -0.0095 pp
    €5.66M -2.0% €393.60K +4.9% 6.9% +0.0046 pp €578.89K +246.9% 10.2% +0.073 pp
    €5.78M -1.1% €375.19K -37.4% 6.5% -0.038 pp €166.88K -78.5% 2.9% -0.10 pp
    €5.84M +10.7% €599.61K +12.8% 10.3% +0.0019 pp €775.69K +10.5% 13.3% -0.00020 pp
    €5.28M +23.9% €531.71K +86.3% 10.1% +0.034 pp €702.04K +53.3% 13.3% +0.026 pp
    €4.26M +67.1% €285.42K -21.5% 6.7% -0.076 pp €458.05K -31.4% 10.7% -0.15 pp
    €2.55M +77.5% €363.68K +34.5% 14.3% -0.046 pp €667.51K +653.2% 26.2% +0.20 pp
    €1.44M +9.9% €270.46K -16.4% 18.8% -0.059 pp €88.62K -75.4% 6.2% -0.21 pp
    €1.31M €323.40K 24.7% €360.23K 27.5%

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