Shandong Taihe Water Treatment Technologies Co., Ltd. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    €280.61M +6.9% €14.35M -15.0% 5.1% -0.013 pp €78.99M -8.6% 28.1% -0.048 pp
    €262.42M -19.1% €16.88M -64.3% 6.4% -0.081 pp €86.38M -18.4% 32.9% +0.0029 pp
    €324.47M +23.4% €47.31M +42.8% 14.6% +0.020 pp €105.86M +139.4% 32.6% +0.16 pp
    €262.85M +44.5% €33.13M +42.7% 12.6% -0.0016 pp €44.22M +7.2% 16.8% -0.059 pp
    €181.91M +22.8% €23.22M +13.7% 12.8% -0.010 pp €41.25M -4.5% 22.7% -0.065 pp
    €148.16M +0.0% €20.42M -7.8% 13.8% -0.012 pp €43.18M +9.6% 29.1% +0.025 pp
    €148.10M +11.4% €22.15M +88.7% 15.0% +0.061 pp €39.39M +16.5% 26.6% +0.012 pp
    €132.97M +24.6% €11.74M +47.5% 8.8% +0.014 pp €33.79M +127.2% 25.4% +0.11 pp
    €106.71M -0.5% €7.96M +46.3% 7.5% +0.024 pp €14.87M -52.3% 13.9% -0.15 pp
    €107.25M -0.8% €5.44M -31.7% 5.1% -0.023 pp €31.22M +25.3% 29.1% +0.061 pp
    €108.16M +45.5% €7.97M +78.2% 7.4% +0.014 pp €24.92M +172.8% 23.0% +0.11 pp
    €74.35M +12.8% €4.47M -10.2% 6.0% -0.015 pp €9.13M +11.8% 12.3% -0.0012 pp
    €65.89M €4.98M 7.6% €8.17M 12.4%

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