Tile Shop Holdings, Inc. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    €299.53M -8.0% €2.00M -77.0% 0.7% -0.020 pp €35.94M -46.2% 12.0% -0.085 pp
    €325.49M -4.4% €8.69M -35.9% 2.7% -0.013 pp €66.78M +362.1% 20.5% +0.16 pp
    €340.64M +6.5% €13.55M +6.3% 4.0% -0.000070 pp €14.45M -67.0% 4.2% -0.095 pp
    €319.93M +14.0% €12.75M +145.0% 4.0% +0.021 pp €43.81M -24.9% 13.7% -0.071 pp
    €280.54M -4.5% €5.20M -235.1% 1.9% +0.032 pp €58.31M +3.1% 20.8% +0.015 pp
    €293.74M -4.7% -€3.85M -142.7% -1.3% -0.042 pp €56.58M +22.6% 19.3% +0.043 pp
    €308.32M +3.7% €9.01M -3.5% 2.9% -0.0022 pp €46.14M -38.0% 15.0% -0.10 pp
    €297.40M +6.3% €9.34M -41.4% 3.1% -0.026 pp €74.43M +6.7% 25.0% +0.00099 pp
    €279.76M +10.6% €15.93M +17.6% 5.7% +0.0034 pp €69.74M +2.0% 24.9% -0.021 pp
    €252.86M +13.9% €13.55M +48.8% 5.4% +0.013 pp €68.40M -10.4% 27.1% -0.073 pp
    €221.97M +12.0% €9.10M -129.6% 4.1% +0.20 pp €76.32M +19.4% 34.4% +0.021 pp
    €198.12M +25.7% -€30.78M -23.9% -15.5% +0.10 pp €63.93M -2.9% 32.3% -0.095 pp
    €157.63M +19.6% -€40.47M -249.5% -25.7% -0.46 pp €65.83M -26,239.2% 41.8% +0.42 pp
    €131.80M +12.8% €27.06M +5.6% 20.5% -0.014 pp -€251.84K +105.0% -0.2% -0.00086 pp
    €116.80M €25.64M 22.0% -€122.83K -0.1%

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