Traeger, Inc. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €702.06M +10.0% €39.77M +64.6% 5.7% +0.019 pp N/A N/A
    (estimated) €638.23M +10.0% €24.15M +124.0% 3.8% +0.019 pp N/A N/A
    (estimated) €580.26M +20.3% €10.78M -355.6% 1.9% +0.027 pp N/A N/A
    (estimated) €482.25M +2.2% -€4.22M -76.4% -0.9% +0.029 pp €20.14M +51.1% 4.2% +0.014 pp
    (estimated) €471.80M -9.5% -€17.84M -39.2% -3.8% +0.018 pp €13.33M -56.9% 2.8% -0.031 pp
    €521.07M -0.3% -€29.33M -59.7% -5.6% +0.083 pp €30.95M -57.5% 5.9% -0.080 pp
    €522.63M -7.6% -€72.80M -77.9% -13.9% +0.44 pp €72.84M +251.9% 13.9% +0.10 pp
    €565.77M -16.5% -€329.63M +330.2% -58.3% -0.47 pp €20.70M -923.3% 3.7% +0.040 pp
    €677.60M +43.9% -€76.62M -386.1% -11.3% -0.17 pp -€2.51M -104.8% -0.4% -0.12 pp
    €470.78M +50.2% €26.78M -204.9% 5.7% +0.14 pp €52.82M +131.2% 11.2% +0.039 pp
    €313.40M -€25.53M -8.1% €22.85M 7.3%

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