TSS, Inc. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    €127.79M +172.3% €5.15M +7,975.7% 4.0% +0.039 pp €20.51M -396.8% 16.1% +0.31 pp
    €46.92M +77.6% €63.83K -201.4% 0.1% +0.0037 pp -€6.91M -152.5% -14.7% -0.64 pp
    €26.43M +11.8% -€62.97K -94.4% -0.2% +0.045 pp €13.15M -246.8% 49.8% +0.88 pp
    €23.64M -39.2% -€1.12M -1,741.8% -4.7% -0.049 pp -€8.96M -200.0% -37.9% -0.61 pp
    €38.87M +37.5% €68.14K -37.3% 0.2% -0.0021 pp €8.96M +188.0% 23.1% +0.12 pp
    €28.27M +46.8% €108.69K -94.8% 0.4% -0.11 pp €3.11M +68.5% 11.0% +0.014 pp
    €19.27M +21.9% €2.10M +218.1% 10.9% +0.067 pp €1.85M +1,182.6% 9.6% +0.087 pp
    €15.80M -33.1% €660.74K -174.9% 4.2% +0.079 pp €144.05K -93.4% 0.9% -0.083 pp
    €23.61M -7.2% -€882.43K -53.6% -3.7% +0.037 pp €2.18M -321.0% 9.2% +0.13 pp
    €25.44M +5.4% -€1.90M -21.3% -7.5% +0.025 pp -€984.21K -201.1% -3.9% -0.079 pp
    €24.14M -37.0% -€2.42M +0.3% -10.0% -0.037 pp €973.86K -166.3% 4.0% +0.079 pp
    €38.32M -6.8% -€2.41M -29.4% -6.3% +0.020 pp -€1.47M +740.5% -3.8% -0.034 pp
    €41.12M +29.4% -€3.42M -315.2% -8.3% -0.13 pp -€174.87K -94.2% -0.4% +0.091 pp
    €31.79M -50.8% €1.59M +116.1% 5.0% +0.039 pp -€3.03M -139.9% -9.5% -0.21 pp
    €64.61M +55.7% €734.29K -104.5% 1.1% +0.40 pp €7.59M -218.8% 11.8% +0.27 pp
    €41.50M -53.1% -€16.21M -42.9% -39.1% -0.069 pp -€6.39M -281.3% -15.4% -0.19 pp
    €88.44M +103.2% -€28.41M +346.4% -32.1% -0.18 pp €3.52M -197.3% 4.0% +0.12 pp
    €43.52M +∞% -€6.36M -1,243.3% -14.6% -0.15 pp -€3.62M +437.7% -8.3% -0.083 pp
    €0.00 +NaN% €556.60K +390.5% N/A -€673.25K +209.6% N/A
    €0.00 €113.47K N/A -€217.44K N/A

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