PT Sekar Laut Tbk / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    €118.99M +27.8% €5.69M +40.9% 4.8% +0.0045 pp €11.02M +73.7% 9.3% +0.024 pp
    €93.10M +16.6% €4.04M +3.6% 4.3% -0.0054 pp €6.35M +85.1% 6.8% +0.025 pp
    €79.87M +13.4% €3.90M -11.1% 4.9% -0.013 pp €3.43M -54.5% 4.3% -0.064 pp
    €70.40M +8.2% €4.39M +98.8% 6.2% +0.028 pp €7.53M +32.4% 10.7% +0.020 pp
    €65.05M -2.1% €2.21M -5.5% 3.4% -0.0012 pp €5.69M +18.6% 8.7% +0.015 pp
    €66.47M +22.6% €2.33M +40.1% 3.5% +0.0044 pp €4.80M +97.9% 7.2% +0.027 pp
    €54.22M +14.3% €1.67M +39.0% 3.1% +0.0055 pp €2.42M +57.0% 4.5% +0.012 pp
    €47.43M +9.6% €1.20M +12.0% 2.5% +0.00053 pp €1.54M +116.1% 3.3% +0.016 pp
    €43.27M +11.9% €1.07M +1.1% 2.5% -0.0026 pp €714.41K -72.1% 1.7% -0.050 pp
    €38.66M +9.3% €1.06M +17.8% 2.7% +0.0020 pp €2.56M +8.0% 6.6% -0.00081 pp
    €35.36M +20.2% €899.55K +48.5% 2.5% +0.0049 pp €2.37M -22.8% 6.7% -0.037 pp
    €29.42M €605.66K 2.1% €3.07M 10.4%

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