TX Group AG / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    €1.02B -4.3% -€3.46M -113.1% -0.3% -0.028 pp €326.01M +25.4% 32.0% +0.076 pp
    €1.06B +6.6% €26.41M -155.1% 2.5% +0.073 pp €259.88M +67.6% 24.4% +0.089 pp
    €998.05M -3.2% -€47.95M -105.5% -4.8% -0.89 pp €155.10M -25.2% 15.5% -0.046 pp
    €1.03B +2.3% €868.06M -814.2% 84.2% +0.96 pp €207.22M +16.9% 20.1% +0.025 pp
    €1.01B -13.2% -€121.55M -273.4% -12.1% -0.18 pp €177.30M -15.3% 17.6% -0.0045 pp
    €1.16B +6.3% €70.09M -32.9% 6.0% -0.035 pp €209.39M -5.3% 18.1% -0.022 pp
    €1.09B +4.1% €104.41M -34.3% 9.6% -0.056 pp €221.19M -11.1% 20.3% -0.035 pp
    €1.05B -3.2% €159.04M +40.3% 15.2% +0.047 pp €248.83M +25.1% 23.7% +0.054 pp
    €1.08B -5.7% €113.37M -67.4% 10.5% -0.20 pp €198.96M -10.7% 18.4% -0.010 pp
    €1.15B -4.1% €347.86M +119.6% 30.3% +0.17 pp €222.84M -0.3% 19.4% +0.0074 pp
    €1.20B +4.3% €158.40M +29.3% 13.2% +0.026 pp €223.51M -1.1% 18.6% -0.010 pp
    €1.15B +3.7% €122.52M -26.5% 10.7% -0.044 pp €225.95M -23.8% 19.7% -0.071 pp
    €1.11B -4.6% €166.59M -13.9% 15.0% -0.016 pp €296.45M +14.2% 26.8% +0.044 pp
    €1.16B +39.7% €193.53M +61.4% 16.7% +0.022 pp €259.64M +0.1% 22.3% -0.088 pp
    €831.60M +0.3% €119.91M +137.3% 14.4% +0.083 pp €259.36M +185.8% 31.2% +0.20 pp
    €829.04M -11.5% €50.54M -55.8% 6.1% -0.061 pp €90.74M -47.3% 10.9% -0.074 pp
    €936.51M +18.3% €114.46M -25.8% 12.2% -0.073 pp €172.16M -2.2% 18.4% -0.039 pp
    €791.52M +16.8% €154.21M +44.7% 19.5% +0.038 pp €175.99M +32.4% 22.2% +0.026 pp
    €677.71M -3.7% €106.60M +23.5% 15.7% +0.035 pp €132.88M -17.7% 19.6% -0.034 pp
    €703.59M +14.7% €86.31M +55.6% 12.3% +0.032 pp €161.53M +12.2% 23.0% -0.0053 pp
    €613.25M -0.4% €55.46M -357.3% 9.0% +0.13 pp €144.02M +29.4% 23.5% +0.054 pp
    €615.73M -11.2% -€21.56M -204.1% -3.5% -0.065 pp €111.33M +1.6% 18.1% +0.023 pp
    €693.01M €20.71M 3.0% €109.56M 15.8%

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