ProFrac Holding Corp. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €1.54B -7.0% -€182.85M +48.5% -11.9% -0.044 pp N/A N/A
    (estimated) €1.66B +7.3% -€123.10M -41.4% -7.4% +0.062 pp N/A N/A
    (estimated) €1.55B -5.6% -€210.16M -5.2% -13.6% -0.00056 pp -€19.62M -465.6% -1.3% -0.016 pp
    (estimated) €1.64B -12.8% -€221.73M +17.5% -13.5% -0.035 pp €5.37M -99.0% 0.3% -0.28 pp
    €1.88B -16.7% -€188.77M +125.1% -10.0% -0.063 pp €534.21M -24.2% 28.4% -0.028 pp
    €2.26B +8.4% -€83.87M -128.5% -3.7% -0.18 pp €704.35M +6.4% 31.2% -0.0060 pp
    €2.08B +215.7% €294.19M -887.1% 14.1% +0.20 pp €662.20M +487.3% 31.8% +0.15 pp
    €659.59M +40.3% -€37.37M -63.3% -5.7% +0.16 pp €112.75M +41.1% 17.1% +0.00096 pp
    €470.17M -35.4% -€101.73M +207.4% -21.6% -0.17 pp €79.92M -73.7% 17.0% -0.25 pp
    €727.69M -€33.09M -4.5% €303.45M 41.7%

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