Tesoro Gold Ltd / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €203.90M +∞% €71.70M +∞% 35.2% +0.35 pp N/A N/A
    (estimated) N/A N/A N/A N/A N/A
    (estimated) N/A N/A N/A N/A N/A
    (estimated) N/A -€3.76M -∞% N/A N/A N/A
    (estimated) N/A N/A N/A N/A N/A
    €0.00 -100.0% -€190.81K -89.2% N/A €2.99M -20.3% N/A
    €20.65K +4,363.1% -€1.76M -37.7% -8,546.7% +6.0K pp €3.76M -55.3% 18,192.5% -18K pp
    €462.69 -64.4% -€2.83M -5.4% -612,633.1% -3.8K pp €8.41M +33.4% 1,817,639.0% +13K pp
    €1.30K +∞% -€3.00M +13.6% -230,211.4% -2.3K pp €6.31M +2,606.1% 484,586.3% +4.8K pp
    €0.00 +NaN% -€2.64M +770.9% N/A €233.02K -24.7% N/A
    €0.00 -100.0% -€302.79K -60.2% N/A €309.43K +49.7% N/A
    €294.73K -70.8% -€761.37K -62.0% -258.3% -0.60 pp €206.67K -111.2% 70.1% +2.5 pp
    €1.01M -4.1% -€2.01M -61.6% -198.6% +3.0 pp -€1.84M -11.1% -182.3% +0.14 pp
    €1.05M +∞% -€5.22M +4,456.1% -495.8% -5.0 pp -€2.07M -∞% -196.7% -2.0 pp
    €0.00 +NaN% -€114.60K -14.8% N/A €0.00 +NaN% N/A
    €0.00 +NaN% -€134.55K -8.3% N/A €0.00 +NaN% N/A
    €0.00 +NaN% -€146.75K -50.4% N/A €0.00 +NaN% N/A
    €0.00 +NaN% -€295.57K -86.5% N/A €0.00 +NaN% N/A
    €0.00 +NaN% -€2.19M -146.3% N/A €0.00 +NaN% N/A
    €0.00 +NaN% €4.73M -143.0% N/A €0.00 +NaN% N/A
    €0.00 +NaN% -€11.00M +18.7% N/A €0.00 +NaN% N/A
    €0.00 +NaN% -€9.27M -177.3% N/A €0.00 +NaN% N/A
    €0.00 +NaN% €12.00M +53.0% N/A €0.00 +NaN% N/A
    €0.00 +NaN% €7.84M +79.1% N/A €0.00 +NaN% N/A
    €0.00 +NaN% €4.38M +167.0% N/A €0.00 +NaN% N/A
    €0.00 €1.64M N/A €0.00 N/A

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