Troilus Gold Corp. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    €0.00 +NaN% -€21.37M +514.6% N/A -€12.10M -36.4% N/A
    €0.00 +NaN% -€3.48M -84.6% N/A -€19.03M -26.6% N/A
    €0.00 +NaN% -€22.58M -55.5% N/A -€25.92M -15.5% N/A
    €0.00 +NaN% -€50.75M +299.5% N/A -€30.69M +299.0% N/A
    €0.00 +NaN% -€12.71M -14.4% N/A -€7.69M -37.2% N/A
    €0.00 +NaN% -€14.84M -21.8% N/A -€12.25M +84.3% N/A
    €0.00 +NaN% -€18.98M +4,960.9% N/A -€6.65M +5,897.2% N/A
    €0.00 +NaN% -€374.99K +256,863.2% N/A -€110.85K -13.1% N/A
    €0.00 +NaN% -€145.93 -100.0% N/A -€127.53K -28.6% N/A
    €0.00 +NaN% -€424.44K -40.1% N/A -€178.70K -58.3% N/A
    €0.00 +NaN% -€708.93K -84.2% N/A -€428.86K +539.2% N/A
    €0.00 +NaN% -€4.49M +16.7% N/A -€67.09K -88.0% N/A
    €0.00 +NaN% -€3.84M +354.3% N/A -€557.76K +18.6% N/A
    €0.00 +NaN% -€845.94K +366.7% N/A -€470.42K +494.2% N/A
    €0.00 +NaN% -€181.28K -99.4% N/A -€79.17K -105.2% N/A
    €0.00 +NaN% -€30.27M -15,082.6% N/A €1.54M -84.9% N/A
    €0.00 +NaN% €202.00K -113.0% N/A €10.14M +117.6% N/A
    €0.00 +NaN% -€1.56M -4,919.3% N/A €4.66M +120.9% N/A
    €0.00 +NaN% €32.35K -123.5% N/A €2.11M -2,579.8% N/A
    €0.00 +NaN% -€137.64K +201.3% N/A -€85.08K -402.6% N/A
    €0.00 +NaN% -€45.68K -97.9% N/A €28.11K -6,110.7% N/A
    €0.00 +NaN% -€2.14M +567.1% N/A -€467.73 -98.4% N/A
    €0.00 +NaN% -€320.62K +160.2% N/A -€29.41K -48.3% N/A
    €0.00 -€123.21K N/A -€56.93K N/A

    Notifications