The RMR Group Inc. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    €774.67M -6.7% €19.96M -59.5% 2.6% -0.034 pp €56.30M -42.4% 7.3% -0.045 pp
    €830.51M +15.6% €49.32M -26.2% 5.9% -0.034 pp €97.69M +10.6% 11.8% -0.0054 pp
    €718.48M +37.1% €66.86M -4.4% 9.3% -0.040 pp €88.37M +40.4% 12.3% +0.0029 pp
    €524.07M +3.0% €69.92M +22.1% 13.3% +0.021 pp €62.95M -6.6% 12.0% -0.012 pp
    €508.76M -17.4% €57.25M -60.8% 11.3% -0.12 pp €67.40M -60.7% 13.2% -0.15 pp
    €615.66M +76.1% €145.89M +76.0% 23.7% -0.00018 pp €171.67M -13.2% 27.9% -0.29 pp
    €349.51M +49.0% €82.89M +127.1% 23.7% +0.082 pp €197.74M +80.7% 56.6% +0.099 pp
    €234.51M +1.8% €36.50M +13.6% 15.6% +0.016 pp €109.40M +26.9% 46.7% +0.092 pp
    €230.38M +38.4% €32.14M +409.9% 14.0% +0.10 pp €86.21M -3.5% 37.4% -0.16 pp
    €166.51M -32.3% €6.30M -29.0% 3.8% +0.0017 pp €89.31M +212.7% 53.6% +0.42 pp
    €246.01M +9.6% €8.88M -132.3% 3.6% +0.16 pp €28.56M +264.3% 11.6% +0.081 pp
    €224.38M -€27.47M -12.2% €7.84M 3.5%

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