Target Healthcare REIT PLC / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    €90.30M +15.8% €84.02M -1,211.1% 93.0% +1.0 pp €48.72M +42.7% 54.0% +0.10 pp
    €77.95M +6.1% -€7.56M -113.4% -9.7% -0.87 pp €34.13M -2.4% 43.8% -0.038 pp
    €73.48M +27.8% €56.49M +11.9% 76.9% -0.11 pp €34.97M +21.8% 47.6% -0.023 pp
    €57.51M +12.9% €50.49M +38.8% 87.8% +0.16 pp €28.71M +16.2% 49.9% +0.014 pp
    €50.93M +29.1% €36.38M +5.8% 71.4% -0.16 pp €24.70M +18.2% 48.5% -0.045 pp
    €39.44M +20.8% €34.38M +8.2% 87.2% -0.10 pp €20.90M -18.0% 53.0% -0.25 pp
    €32.64M +22.8% €31.77M +44.4% 97.3% +0.15 pp €25.47M -138.3% 78.0% +3.3 pp
    €26.59M +36.9% €22.00M +63.4% 82.8% +0.13 pp -€66.56M -738.5% -250.3% -3.0 pp
    €19.42M +23.0% €13.46M +22.5% 69.3% -0.0025 pp €10.42M +20.5% 53.7% -0.011 pp
    €15.79M +206.6% €10.99M +1,623.8% 69.6% +0.57 pp €8.65M +137.3% 54.8% -0.16 pp
    €5.15M €637.58K 12.4% €3.65M 70.8%

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