Rhetan TMT Limited / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    €3.66M -42.6% €487.95K +27.9% 13.3% +0.073 pp €640.31K -71.4% 17.5% -0.18 pp
    €6.39M -24.7% €381.61K -28.6% 6.0% -0.0032 pp €2.24M -150.7% 35.0% +0.87 pp
    €8.48M +28.3% €534.16K +131.1% 6.3% +0.028 pp -€4.41M +186.8% -52.0% -0.29 pp
    €6.61M +28.7% €231.14K +1,644.3% 3.5% +0.032 pp -€1.54M +100.5% -23.3% -0.083 pp
    €5.14M +160.3% €13.25K -123.2% 0.3% +0.032 pp -€767.41K -11.1% -14.9% +0.29 pp
    €1.97M +∞% -€57.23K +15,809.7% -2.9% -0.029 pp -€863.16K -403.0% -43.8% -0.44 pp
    €0.00 -€359.69 N/A €284.89K N/A

    Notifications