Tasmea Ltd / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €535.83M +11.3% €53.60M +9.5% 10.0% -0.0017 pp €44.03M +0.4% 8.2% -0.0090 pp
    (estimated) €481.35M +7.9% €48.96M +9.9% 10.2% +0.0018 pp €43.88M +7.0% 9.1% -0.00077 pp
    (estimated) €445.91M +11.2% €44.53M +12.0% 10.0% +0.00072 pp €40.99M +7.3% 9.2% -0.0033 pp
    (estimated) €401.15M +79.1% €39.77M +134.1% 9.9% +0.023 pp €38.20M +4.7% 9.5% -0.068 pp
    €223.94M +25.0% €16.99M +55.9% 7.6% +0.015 pp €36.49M +490.3% 16.3% +0.13 pp
    €179.14M +30.7% €10.90M +42.8% 6.1% +0.0052 pp €6.18M +195.2% 3.5% +0.019 pp
    €137.06M +43.5% €7.63M +39.4% 5.6% -0.0016 pp €2.09M +21,967.5% 1.5% +0.015 pp
    €95.53M €5.47M 5.7% €9.49K 0.0%

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