Shaftesbury Capital PLC / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €269.78M +4.8% €304.53M +4.0% 112.9% -0.0085 pp N/A N/A
    (estimated) €257.49M +13.6% €292.84M +14.5% 113.7% +0.0093 pp N/A N/A
    (estimated) €226.71M +5.3% €255.73M +4.8% 112.8% -0.0054 pp €15.49M -49.6% 6.8% -0.074 pp
    (estimated) €215.24M +3.1% €243.96M -9.1% 113.3% -0.15 pp €30.74M +7.5% 14.3% +0.0059 pp
    (estimated) €208.78M +145.5% €268.27M -210.4% 128.5% +4.1 pp €28.58M +255.9% 13.7% +0.042 pp
    €85.03M +9.0% -€243.03M -822.9% -285.8% -3.3 pp €8.03M +1,300.0% 9.4% +0.087 pp
    €78.03M -8.0% €33.62M -104.2% 43.1% +10 pp €573.72K -100.9% 0.7% +0.75 pp
    €84.80M -4.8% -€807.46M +1,029.5% -952.2% -8.7 pp -€62.88M +153.7% -74.2% -0.46 pp
    €89.04M -3.1% -€71.49M -49.6% -80.3% +0.74 pp -€24.78M +50.0% -27.8% -0.099 pp
    €91.91M +0.1% -€141.82M +30,800.0% -154.3% -1.5 pp -€16.52M +157.1% -18.0% -0.11 pp
    €91.80M -23.1% -€458.98K -99.7% -0.5% +1.1 pp -€6.43M -81.0% -7.0% +0.21 pp
    €119.33M +4.3% -€136.09M -127.5% -114.0% -5.5 pp -€33.85M +1,182.6% -28.4% -0.26 pp
    €114.40M -0.6% €494.66M -3.9% 432.4% -0.15 pp -€2.64M -115.3% -2.3% -0.17 pp
    €115.09M +8.2% €514.74M +33.0% 447.3% +0.83 pp €17.21M +87.5% 15.0% +0.063 pp
    €106.37M -4.9% €387.15M +40.6% 364.0% +1.2 pp €9.18M +66.7% 8.6% +0.037 pp
    €111.88M -10.1% €275.39M +56.1% 246.2% +1.0 pp €5.51M -97.0% 4.9% -1.4 pp
    €124.38M -4.7% €176.36M +16.8% 141.8% +0.26 pp €182.90M +414.2% 147.0% +1.2 pp
    €130.46M -11.0% €151.00M -200.1% 115.7% +2.2 pp €35.57M -27.2% 27.3% -0.061 pp
    €146.53M -79.0% -€150.89M -94.9% -103.0% +3.2 pp €48.88M -63.6% 33.4% +0.14 pp
    €696.96M +11.1% -€2.96B +2,353.8% -424.2% -4.0 pp €134.25M -69.3% 19.3% -0.50 pp
    €627.31M -€120.48M -19.2% €437.41M 69.7%

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