Sheffield Resources Limited / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) N/A €15.15M +234.6% N/A N/A N/A
    (estimated) N/A €4.53M -121.4% N/A -€1.73M +29.2% N/A
    (estimated) N/A -€21.14M +24.3% N/A -€1.34M +9.1% N/A
    (estimated) €111.83K +∞% -€17.00M -5.6% -15,200.0% -150 pp -€1.23M +4,788.9% -1,100.0% -11 pp
    €0.00 +NaN% -€18.00M +273.9% N/A -€25.16K -98.0% N/A
    €0.00 +NaN% -€4.81M -133.0% N/A -€1.24M -108.5% N/A
    €0.00 -100.0% €14.58M -6.9% N/A €14.69M -1,634.7% N/A
    €120.21 +9.7% €15.66M -434.6% 13,026,976.7% +170K pp -€957.23K -174.6% -796,279.1% -20K pp
    €109.59 +∞% -€4.68M -18.3% -4,270,408.2% -43K pp €1.28M -89.0% 1,170,918.4% +12K pp
    €0.00 +NaN% -€5.73M +493.5% N/A €11.68M +168.3% N/A
    €0.00 +NaN% -€965.61K -81.3% N/A €4.36M +13.8% N/A
    €0.00 -100.0% -€5.15M +425.3% N/A €3.83M -8.7% N/A
    €100.76K +255.2% -€980.71K -375.6% -973.3% -22 pp €4.19M -28.0% 4,156.4% -160 pp
    €28.37K -70.3% €355.88K -124.9% 1,254.5% +27 pp €5.82M +25.0% 20,497.5% +160 pp
    €95.61K -41.1% -€1.43M -2,211.8% -1,493.6% -15 pp €4.65M +22.6% 4,866.2% +25 pp
    €162.31K +6.9% €67.62K -110.6% 41.7% +4.6 pp €3.80M +98.4% 2,338.5% +11 pp
    €151.90K +54.9% -€640.20K +46.8% -421.5% +0.23 pp €1.91M +27.4% 1,259.2% -2.7 pp
    €98.04K +15,971.9% -€436.12K +348.3% -444.8% +160 pp €1.50M +1,354.8% 1,531.2% -150 pp
    €610.01 +∞% -€97.29K -78.6% -15,948.7% -160 pp €103.19K -77.8% 16,916.3% +170 pp
    €0.00 +NaN% -€455.13K +8.8% N/A €464.14K +87.4% N/A
    €0.00 +NaN% -€418.23K +5.6% N/A €247.73K -673.8% N/A
    €0.00 -100.0% -€395.86K +157.5% N/A -€43.17K -40.6% N/A
    €50.62K -64.4% -€153.76K -42.8% -303.8% -1.1 pp -€72.64K -46.4% -143.5% -0.48 pp
    €142.19K -75.5% -€268.94K +69.4% -189.1% -1.6 pp -€135.49K -1,661.0% -95.3% -0.97 pp
    €581.49K -65.6% -€158.79K -23.7% -27.3% -0.15 pp €8.68K -171.8% 1.5% +0.022 pp
    €1.69M -€208.00K -12.3% -€12.09K -0.7%

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