TCC Concept Ltd. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    €8.15M +7.9% €4.12M +107.6% 50.6% +0.24 pp €15.24M +362.7% 187.0% +1.4 pp
    €7.56M +6,329.4% €1.99M +2,384.0% 26.3% -0.42 pp €3.29M -2,068.0% 43.6% +1.9 pp
    €117.52K +∞% €79.97K -408,400.0% 68.1% +0.68 pp -€167.42K +4,798.3% -142.5% -1.4 pp
    €0.00 +NaN% -€19.59 -104.9% N/A -€3.42K -201.5% N/A
    €0.00 -100.0% €397.58 -96.6% N/A €3.37K -635.6% N/A
    €12.73K -96.4% €11.75K +4.7% 92.3% +0.89 pp -€628.76 -9.5% -4.9% -0.047 pp
    €357.70K +33.7% €11.23K -3,445.7% 3.1% +0.033 pp -€694.86 -275.0% -0.2% -0.0034 pp
    €267.58K -47.0% -€335.58 -141.4% -0.1% -0.0029 pp €397.00 -196.7% 0.1% +0.0023 pp
    €504.77K +6.1% €811.35 -108.8% 0.2% +0.021 pp -€410.48 -100.3% -0.1% -0.29 pp
    €475.71K -0.7% -€9.22K -8.2% -1.9% +0.0016 pp €136.06K -204.8% 28.6% +0.56 pp
    €478.87K -€10.05K -2.1% -€129.83K -27.1%

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