Syrah Resources Limited / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €329.97M -6.7% €43.08M -22.6% 13.1% -0.027 pp -€54.28M -64.4% -16.4% +0.27 pp
    (estimated) €353.49M +33.7% €55.66M +49.4% 15.7% +0.017 pp -€152.49M +113.3% -43.1% -0.16 pp
    (estimated) €264.43M +40.9% €37.26M +6,657.8% 14.1% +0.14 pp -€71.51M -2,175.0% -27.0% -0.29 pp
    (estimated) €187.72M +495.3% €551.39K -100.7% 0.3% +2.5 pp €3.45M -104.0% 1.8% +2.8 pp
    (estimated) €31.53M +16.1% -€78.56M -27.2% -249.1% +1.5 pp -€86.15M +83.3% -273.2% -1.0 pp
    €27.15M +1.8% -€107.94M +52.7% -397.5% -1.3 pp -€47.01M -166.3% -173.2% -4.4 pp
    €26.68M -68.8% -€70.68M +251.2% -264.9% -2.4 pp €70.94M +31.4% 265.9% +2.0 pp
    €85.64M +295.8% -€20.13M -49.9% -23.5% +1.6 pp €53.99M -597.2% 63.0% +1.1 pp
    €21.64M +146.9% -€40.16M -18.8% -185.6% +3.8 pp -€10.86M -43.3% -50.2% +1.7 pp
    €8.76M -84.9% -€49.44M -52.9% -564.2% -3.8 pp -€19.16M -4,825.4% -218.7% -2.2 pp
    €58.08M +∞% -€105.04M +384.2% -180.9% -1.8 pp €405.50K -99.4% 0.7% +0.0070 pp
    €0.00 +NaN% -€21.69M +141.7% N/A €62.40M -24.7% N/A
    €0.00 +NaN% -€8.98M -17.6% N/A €82.84M +7.2% N/A
    €0.00 +NaN% -€10.90M +199.2% N/A €77.27M +980.9% N/A
    €0.00 +NaN% -€3.64M +2.5% N/A €7.15M +156.9% N/A
    €0.00 -100.0% -€3.55M +46.4% N/A €2.78M -32.4% N/A
    €2.25K -94.4% -€2.43M +105.9% -107,931.7% -1.1K pp €4.12M +276.1% 183,036.1% +1.8K pp
    €40.52K +∞% -€1.18M +100.3% -2,911.1% -29 pp €1.09M -611.0% 2,701.8% +27 pp
    €0.00 +NaN% -€589.06K -8.4% N/A -€214.27K -41.9% N/A
    €0.00 +NaN% -€642.88K -12.2% N/A -€368.60K +410.3% N/A
    €0.00 +NaN% -€732.62K +5.7% N/A -€72.23K -141.8% N/A
    €0.00 +NaN% -€692.94K -∞% N/A €172.63K +∞% N/A
    €0.00 €0.00 N/A €0.00 N/A

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