Tata Steel BSL Limited / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    €0.00 +NaN% €0.00 +NaN% N/A €0.00 +NaN% N/A
    €0.00 -100.0% €0.00 -100.0% N/A €0.00 -100.0% N/A
    €2.09B +17.8% €248.28M -500.7% 11.9% +0.15 pp €700.41M +516.0% 33.5% +0.27 pp
    €1.77B -12.9% -€61.97M -136.7% -3.5% -0.12 pp €113.70M -118.7% 6.4% +0.36 pp
    €2.03B +21.7% €168.79M -107.0% 8.3% +1.5 pp -€609.32M -393.9% -29.9% -0.42 pp
    €1.67B +23.8% -€2.42B +579.6% -144.8% -1.2 pp €207.29M +86.6% 12.4% +0.042 pp
    €1.35B +16.1% -€356.41M +24.2% -26.4% -0.017 pp €111.07M +118.6% 8.2% +0.039 pp
    €1.16B +10.9% -€287.05M +131.7% -24.7% -0.13 pp €50.82M -86.8% 4.4% -0.32 pp
    €1.05B +10.0% -€123.91M -2,224.9% -11.8% -0.12 pp €383.78M -45.8% 36.6% -0.38 pp
    €954.00M -9.9% €5.83M -93.5% 0.6% -0.078 pp €707.89M +66.3% 74.2% +0.34 pp
    €1.06B +7.9% €89.42M -10.5% 8.4% -0.017 pp €425.65M -42.0% 40.2% -0.35 pp
    €982.13M +42.9% €99.90M +0.6% 10.2% -0.043 pp €733.86M +11.6% 74.7% -0.21 pp
    €687.29M +24.4% €99.33M +19.5% 14.5% -0.0060 pp €657.81M +83.1% 95.7% +0.31 pp
    €552.46M +13.3% €83.14M +98.5% 15.0% +0.065 pp €359.27M +57.6% 65.0% +0.18 pp
    €487.76M +18.4% €41.88M +0.2% 8.6% -0.016 pp €227.94M -19.0% 46.7% -0.22 pp
    €411.87M +9.5% €41.78M +35.3% 10.1% +0.019 pp €281.44M +70.2% 68.3% +0.24 pp
    €376.14M +40.5% €30.89M +102.8% 8.2% +0.025 pp €165.38M +18.6% 44.0% -0.081 pp
    €267.68M +2.7% €15.23M +0.7% 5.7% -0.0011 pp €139.46M +92.0% 52.1% +0.24 pp
    €260.63M +70.4% €15.12M +69.8% 5.8% -0.00018 pp €72.65M +113.3% 27.9% +0.056 pp
    €152.98M €8.90M 5.8% €34.06M 22.3%

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