Ringmetall SE / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    €174.90M -3.7% €10.60M +82.2% 6.1% +0.029 pp €25.44M -2.5% 14.5% +0.0018 pp
    €181.58M -15.0% €5.82M -61.8% 3.2% -0.039 pp €26.09M +23.8% 14.4% +0.045 pp
    €213.51M +23.9% €15.23M +5.4% 7.1% -0.013 pp €21.08M +22.4% 9.9% -0.0012 pp
    €172.34M +46.1% €14.45M +504.9% 8.4% +0.064 pp €17.22M +24.5% 10.0% -0.017 pp
    €117.97M -2.2% €2.39M -11.8% 2.0% -0.0022 pp €13.83M +16.6% 11.7% +0.019 pp
    €120.58M +9.1% €2.71M -44.2% 2.2% -0.021 pp €11.86M -7.1% 9.8% -0.017 pp
    €110.57M +8.0% €4.85M -28.4% 4.4% -0.022 pp €12.76M +13.4% 11.5% +0.0055 pp
    €102.35M +8.5% €6.77M +191.6% 6.6% +0.042 pp €11.25M +2.1% 11.0% -0.0069 pp
    €94.34M +41.5% €2.32M -461.0% 2.5% +0.034 pp €11.02M +65.5% 11.7% +0.017 pp
    €66.68M +1.3% -€642.65K -142.1% -1.0% -0.033 pp €6.66M +22.4% 10.0% +0.017 pp
    €65.83M +41.6% €1.53M -257.6% 2.3% +0.044 pp €5.44M -9.1% 8.3% -0.046 pp
    €46.50M -3.7% -€969.79K -39.8% -2.1% +0.013 pp €5.98M -34.8% 12.9% -0.061 pp
    €48.30M +12.9% -€1.61M -213.7% -3.3% -0.067 pp €9.17M +123.8% 19.0% +0.094 pp
    €42.78M +3.4% €1.42M -26.8% 3.3% -0.014 pp €4.10M +65.8% 9.6% +0.036 pp
    €41.39M +16.9% €1.94M -165.1% 4.7% +0.13 pp €2.47M -54.4% 6.0% -0.093 pp
    €35.41M -25.5% -€2.98M +314.0% -8.4% -0.069 pp €5.42M -18.2% 15.3% +0.014 pp
    €47.50M -3.4% -€719.29K -276.7% -1.5% -0.023 pp €6.63M +59.5% 14.0% +0.055 pp
    €49.15M +17.0% €407.00K -71.6% 0.8% -0.026 pp €4.16M +160.3% 8.5% +0.047 pp
    €42.03M €1.43M 3.4% €1.60M 3.8%

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