PT Haloni Jane Tbk / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    €9.22M -23.6% -€425.89K -148.0% -4.6% -0.12 pp €1.06M -131.2% 11.5% +0.40 pp
    €12.06M -24.4% €887.34K -0.7% 7.4% +0.018 pp -€3.41M +57.7% -28.3% -0.15 pp
    €15.95M -32.9% €893.34K -81.8% 5.6% -0.15 pp -€2.16M -131.2% -13.6% -0.43 pp
    €23.76M +54.5% €4.91M +75.3% 20.7% +0.025 pp €6.93M +108.4% 29.2% +0.075 pp
    €15.38M +376.4% €2.80M +10,767.5% 18.2% +0.17 pp €3.32M +641.9% 21.6% +0.077 pp
    €3.23M €25.79K 0.8% €447.98K 13.9%

    Notifications