Taparia Tools Ltd. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    €89.11M +10.2% €11.96M +22.8% 13.4% +0.014 pp €8.42M -27.2% 9.4% -0.049 pp
    €80.88M +8.4% €9.74M +38.0% 12.0% +0.026 pp €11.57M +37.1% 14.3% +0.030 pp
    €74.62M +14.5% €7.06M +11.1% 9.5% -0.0029 pp €8.44M +136.0% 11.3% +0.058 pp
    €65.17M +24.5% €6.35M +34.7% 9.7% +0.0073 pp €3.58M +46.0% 5.5% +0.0081 pp
    €52.33M +13.7% €4.72M +58.0% 9.0% +0.025 pp €2.45M -15.4% 4.7% -0.016 pp
    €46.02M +0.1% €2.99M +30.1% 6.5% +0.015 pp €2.89M +364.5% 6.3% +0.049 pp
    €45.99M +16.2% €2.29M +61.6% 5.0% +0.014 pp €623.06K -72.1% 1.4% -0.043 pp
    €39.57M +8.9% €1.42M +33.3% 3.6% +0.0066 pp €2.24M +13.2% 5.7% +0.0021 pp
    €36.33M +10.3% €1.07M -13.7% 2.9% -0.0082 pp €1.98M -918.2% 5.4% +0.062 pp
    €32.95M +13.5% €1.24M +30.0% 3.7% +0.0048 pp -€241.59K -210.5% -0.7% -0.015 pp
    €29.02M +11.7% €949.76K -18.3% 3.3% -0.012 pp €218.68K -57.4% 0.8% -0.012 pp
    €25.98M +10.5% €1.16M +24.4% 4.5% +0.0050 pp €513.91K -43.1% 2.0% -0.019 pp
    €23.51M +8.2% €934.69K +31.6% 4.0% +0.0071 pp €902.60K -198.3% 3.8% +0.081 pp
    €21.74M +22.2% €710.06K +25.3% 3.3% +0.00080 pp -€917.85K +277.6% -4.2% -0.029 pp
    €17.78M +25.8% €566.59K -0.5% 3.2% -0.0084 pp -€243.11K -167.4% -1.4% -0.039 pp
    €14.14M +22.4% €569.56K +47.9% 4.0% +0.0069 pp €360.44K -137.5% 2.5% +0.11 pp
    €11.55M €385.20K 3.3% -€961.00K -8.3%

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