Texas Roadhouse, Inc. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) N/A N/A N/A N/A N/A
    (estimated) N/A N/A N/A €385.79M +32.1% N/A
    (estimated) N/A N/A N/A €291.95M +16.0% N/A
    (estimated) €5.02B +9.5% N/A N/A €251.60M -73.4% 5.0% -0.16 pp
    €4.58B +16.0% €369.83M +42.2% 8.1% +0.015 pp €945.04M +21.5% 20.6% +0.0093 pp
    €3.95B +15.4% €260.04M +13.0% 6.6% -0.0014 pp €777.91M +20.3% 19.7% +0.0082 pp
    €3.42B +15.9% €230.14M +10.0% 6.7% -0.0036 pp €646.41M +13.2% 18.9% -0.0045 pp
    €2.95B +25.7% €209.22M +40.6% 7.1% +0.0075 pp €571.07M +13.7% 19.3% -0.020 pp
    €2.35B +12.2% €148.80M +10.3% 6.3% -0.0011 pp €502.08M +15.7% 21.4% +0.0065 pp
    €2.10B +10.7% €134.96M +20.3% 6.4% +0.0051 pp €434.02M +13.6% 20.7% +0.0052 pp
    €1.89B +22.8% €112.19M +35.7% 5.9% +0.0056 pp €382.12M +11.6% 20.2% -0.020 pp
    €1.54B +14.2% €82.65M +11.3% 5.4% -0.0014 pp €342.39M +26.6% 22.2% +0.022 pp
    €1.35B +11.2% €74.23M +8.2% 5.5% -0.0015 pp €270.52M +11.6% 20.0% +0.00073 pp
    €1.21B +28.3% €68.60M +25.7% 5.7% -0.0011 pp €242.35M +29.6% 20.0% +0.0021 pp
    €946.12M +10.4% €54.56M +9.7% 5.8% -0.00033 pp €187.02M +32.9% 19.8% +0.034 pp
    €857.21M +6.6% €49.72M +22.8% 5.8% +0.0076 pp €140.70M +2.7% 16.4% -0.0063 pp
    €803.76M +7.0% €40.50M +24.4% 5.0% +0.0070 pp €137.02M -21.2% 17.0% -0.061 pp
    €750.99M +19.8% €32.56M -2.9% 4.3% -0.010 pp €173.79M +14.2% 23.1% -0.011 pp
    €627.00M +23.1% €33.54M +15.6% 5.3% -0.0035 pp €152.24M -6.5% 24.3% -0.077 pp
    €509.32M +30.2% €29.01M +12.2% 5.7% -0.0091 pp €162.87M +52.2% 32.0% +0.046 pp
    €391.32M +60.2% €25.86M +31.0% 6.6% -0.015 pp €106.98M +2.7% 27.3% -0.15 pp
    €244.33M +23.0% €19.74M +36.5% 8.1% +0.0080 pp €104.14M -10.1% 42.6% -0.16 pp
    €198.60M +45.6% €14.46M +132.5% 7.3% +0.027 pp €115.84M +503.5% 58.3% +0.44 pp
    €136.40M €6.22M 4.6% €19.19M 14.1%

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