Talanx AG / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) N/A N/A N/A N/A N/A
    (estimated) N/A N/A N/A N/A N/A
    (estimated) N/A N/A N/A N/A N/A
    (estimated) N/A N/A N/A N/A N/A
    (estimated) N/A N/A N/A N/A N/A
    €25.58B -43.1% €1.98B +25.0% 7.7% +0.042 pp €8.43B -1.5% 33.0% +0.14 pp
    €44.98B -8.2% €1.58B -35.8% 3.5% -0.015 pp €8.56B +38.9% 19.0% +0.064 pp
    €48.99B +13.6% €2.46B +42.4% 5.0% +0.010 pp €6.16B -47.4% 12.6% -0.15 pp
    €43.13B +10.2% €1.73B +44.6% 4.0% +0.0096 pp €11.71B +73.1% 27.2% +0.099 pp
    €39.14B +3.6% €1.20B -28.6% 3.1% -0.014 pp €6.77B -10.6% 17.3% -0.027 pp
    €37.78B +11.8% €1.68B +138.3% 4.4% +0.024 pp €7.57B +79.6% 20.0% +0.076 pp
    €33.78B +4.6% €703.00M +4.6% 2.1% +0.000011 pp €4.21B -25.9% 12.5% -0.051 pp
    €32.31B +7.2% €672.00M -25.9% 2.1% -0.0093 pp €5.69B +21.4% 17.6% +0.021 pp
    €30.15B -0.6% €907.00M +23.6% 3.0% +0.0059 pp €4.68B -28.9% 15.5% -0.062 pp
    €30.33B +6.8% €734.00M -4.6% 2.4% -0.0029 pp €6.59B +4.1% 21.7% -0.0057 pp
    €28.40B +4.4% €769.00M +0.9% 2.7% -0.00095 pp €6.33B -2.5% 22.3% -0.016 pp
    €27.20B +4.6% €762.00M +21.0% 2.8% +0.0038 pp €6.49B +5.9% 23.9% +0.0029 pp
    €26.00B +11.0% €630.00M +21.2% 2.4% +0.0020 pp €6.13B +48.8% 23.6% +0.060 pp
    €23.42B +6.8% €520.00M +136.4% 2.2% +0.012 pp €4.12B -14.0% 17.6% -0.042 pp
    €21.93B +3.5% €220.00M -58.2% 1.0% -0.015 pp €4.79B -15.9% 21.8% -0.050 pp
    €21.20B +21.0% €526.00M +187.4% 2.5% +0.014 pp €5.70B +434.9% 26.9% +0.21 pp
    €17.52B €183.00M 1.0% €1.07B 6.1%

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