Shaoxing BSM Chemical Co., Ltd. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    €158.04M +90.0% -€3.91M -137.2% -2.5% -0.15 pp €34.35M -38.9% 21.7% -0.46 pp
    €83.19M -9.0% €10.52M -42.2% 12.6% -0.073 pp €56.22M +3.5% 67.6% +0.082 pp
    €91.39M +44.9% €18.19M +171.1% 19.9% +0.093 pp €54.31M +46.6% 59.4% +0.0069 pp
    €63.06M +31.0% €6.71M +46.8% 10.6% +0.011 pp €37.04M +30.2% 58.7% -0.0036 pp
    €48.13M -18.1% €4.57M -39.7% 9.5% -0.034 pp €28.45M +73.1% 59.1% +0.31 pp
    €58.79M +6.2% €7.57M -18.3% 12.9% -0.039 pp €16.43M +26.7% 27.9% +0.045 pp
    €55.35M +7.2% €9.27M +6.5% 16.8% -0.00097 pp €12.96M -700.6% 23.4% +0.28 pp
    €51.66M +28.5% €8.71M +98.2% 16.9% +0.059 pp -€2.16M -131.1% -4.2% -0.21 pp
    €40.22M +22.1% €4.39M +49.5% 10.9% +0.020 pp €6.94M -239.9% 17.3% +0.32 pp
    €32.95M €2.94M 8.9% -€4.96M -15.1%

    Notifications