Vår Energi AS / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €7.85B -3.2% €935.49M -0.2% 11.9% +0.0036 pp €1.07B -1.3% 13.6% +0.0026 pp
    (estimated) €8.11B +1.9% €937.25M +13.6% 11.6% +0.012 pp €1.08B -3.6% 13.4% -0.0076 pp
    (estimated) €7.96B -1.4% €825.17M +1.9% 10.4% +0.0034 pp €1.12B -24.9% 14.1% -0.044 pp
    (estimated) €8.08B +10.4% €810.08M -18.2% 10.0% -0.035 pp €1.50B -5.4% 18.5% -0.031 pp
    (estimated) €7.32B +15.0% €990.19M +250.7% 13.5% +0.091 pp €1.58B -71.1% 21.6% -0.64 pp
    €6.36B +8.2% €282.31M -46.4% 4.4% -0.045 pp €5.48B +4.7% 86.1% -0.028 pp
    €5.88B -30.3% €526.65M -34.8% 9.0% -0.0062 pp €5.23B -26.8% 88.9% +0.043 pp
    €8.44B +61.8% €808.15M +43.1% 9.6% -0.013 pp €7.14B +15.5% 84.6% -0.34 pp
    €5.22B +110.7% €564.73M -140.2% 10.8% +0.68 pp €6.18B +101.5% 118.6% -0.054 pp
    €2.48B +1.7% -€1.40B -2,174.1% -56.7% -0.59 pp €3.07B +27.8% 124.0% +0.25 pp
    €2.43B €67.69M 2.8% €2.40B 98.6%

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