Redox Limited / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €931.14M +10.2% €59.72M +11.3% 6.4% +0.00062 pp N/A N/A
    (estimated) €844.80M +10.9% €53.66M +11.4% 6.4% +0.00027 pp N/A N/A
    (estimated) €761.49M +9.3% €48.16M +11.5% 6.3% +0.0013 pp N/A N/A
    €696.73M +9.4% €43.19M -14.6% 6.2% -0.017 pp €29.66M -55.8% 4.3% -0.063 pp
    €637.09M -9.6% €50.55M +11.8% 7.9% +0.015 pp €67.06M -13.2% 10.5% -0.0044 pp
    €704.41M +16.2% €45.22M -8.3% 6.4% -0.017 pp €77.22M -390.9% 11.0% +0.15 pp
    €605.99M +35.8% €49.31M +85.0% 8.1% +0.022 pp -€26.55M -237.0% -4.4% -0.087 pp
    €446.08M +10.8% €26.65M +43.5% 6.0% +0.014 pp €19.38M +233.1% 4.3% +0.029 pp
    €402.46M +1.9% €18.57M +16.2% 4.6% +0.0057 pp €5.82M -76.0% 1.4% -0.047 pp
    €394.88M €15.99M 4.0% €24.28M 6.1%

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