Titan Cement International S.A. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €3.25B +3.8% €376.70M +4.0% 11.6% +0.00023 pp €197.90M -2.8% 6.1% -0.0042 pp
    (estimated) €3.13B +7.9% €362.20M +5.0% 11.6% -0.0032 pp €203.70M -20.4% 6.5% -0.023 pp
    (estimated) €2.90B +3.3% €344.83M +6.1% 11.9% +0.0031 pp €255.87M +21.6% 8.8% +0.013 pp
    (estimated) €2.81B +4.4% €325.04M +13.3% 11.6% +0.0091 pp €210.45M -32.9% 7.5% -0.042 pp
    (estimated) €2.69B +1.8% €286.99M -0.8% 10.7% -0.0028 pp €313.84M -55.4% 11.7% -0.15 pp
    €2.64B +3.8% €289.16M +7.6% 10.9% +0.0039 pp €703.39M +4.4% 26.6% +0.0016 pp
    €2.55B +11.6% €268.69M +145.0% 10.5% +0.057 pp €673.57M +38.6% 26.4% +0.052 pp
    €2.28B +33.1% €109.66M +19.3% 4.8% -0.0056 pp €485.86M +41.0% 21.3% +0.012 pp
    €1.71B +6.7% €91.92M +5,955.5% 5.4% +0.053 pp €344.64M -10.2% 20.1% -0.038 pp
    €1.61B -0.2% €1.52M -97.0% 0.1% -0.031 pp €383.72M +0.0% 23.9% +0.00044 pp
    €1.61B +8.0% €50.91M -5.4% 3.2% -0.0045 pp €383.67M +1.0% 23.8% -0.017 pp
    €1.49B -1.0% €53.80M +26.0% 3.6% +0.0077 pp €379.81M +8.9% 25.5% +0.023 pp
    €1.51B -0.2% €42.70M -66.5% 2.8% -0.056 pp €348.62M -16.9% 23.2% -0.047 pp
    €1.51B +8.0% €127.40M +277.4% 8.4% +0.060 pp €419.76M +7.8% 27.8% -0.00050 pp
    €1.40B +20.7% €33.75M +9.1% 2.4% -0.0026 pp €389.48M +65.9% 27.9% +0.076 pp
    €1.16B +2.7% €30.95M -185.8% 2.7% +0.059 pp €234.78M +11.3% 20.3% +0.016 pp
    €1.13B -0.2% -€36.07M +47.1% -3.2% -0.010 pp €210.94M +2.4% 18.7% +0.0047 pp
    €1.13B -€24.52M -2.2% €206.10M 18.2%

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