Rimoni Industries Ltd. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    €46.50M -14.1% €10.49M -1.5% 22.6% +0.029 pp €13.45M -15.6% 28.9% -0.0050 pp
    €54.16M -0.1% €10.65M -12.4% 19.7% -0.028 pp €15.94M +1.9% 29.4% +0.0056 pp
    €54.21M +3.7% €12.16M +1.6% 22.4% -0.0047 pp €15.65M +23.8% 28.9% +0.047 pp
    €52.30M +18.6% €11.97M +13.7% 22.9% -0.0098 pp €12.64M -2.2% 24.2% -0.051 pp
    €44.10M +3.3% €10.53M +36.9% 23.9% +0.059 pp €12.93M +1.5% 29.3% -0.0052 pp
    €42.67M -17.0% €7.69M -27.0% 18.0% -0.025 pp €12.73M -2.9% 29.8% +0.043 pp
    €51.41M +37.7% €10.53M -4.1% 20.5% -0.089 pp €13.12M -3.5% 25.5% -0.11 pp
    €37.32M +36.5% €10.98M +44.7% 29.4% +0.017 pp €13.59M -18.6% 36.4% -0.25 pp
    €27.34M -4.8% €7.59M +28.4% 27.8% +0.072 pp €16.71M +42.8% 61.1% +0.20 pp
    €28.71M -24.8% €5.91M -23.7% 20.6% +0.0030 pp €11.69M +8.5% 40.7% +0.13 pp
    €38.19M -13.9% €7.75M -2.4% 20.3% +0.024 pp €10.78M +11.2% 28.2% +0.064 pp
    €44.37M +6.5% €7.94M +24.2% 17.9% +0.026 pp €9.69M -11.6% 21.8% -0.045 pp
    €41.67M €6.39M 15.3% €10.96M 26.3%

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