Valid Soluções S.A. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    €347.03M -3.7% €60.88M +78.6% 17.5% +0.081 pp €82.69M -26.1% 23.8% -0.072 pp
    €360.48M +20.0% €34.09M +119.1% 9.5% +0.043 pp €111.92M +10.3% 31.0% -0.027 pp
    €300.37M -14.5% €15.56M +63.1% 5.2% +0.025 pp €101.50M +103.0% 33.8% +0.20 pp
    €351.29M +13.3% €9.54M -129.6% 2.7% +0.13 pp €50.00M -24.3% 14.2% -0.071 pp
    €309.92M -3.4% -€32.23M -471.5% -10.4% -0.13 pp €66.02M +13.4% 21.3% +0.032 pp
    €320.91M +15.8% €8.68M -45.7% 2.7% -0.031 pp €58.24M +31.8% 18.1% +0.022 pp
    €277.18M +10.2% €15.99M +261.3% 5.8% +0.040 pp €44.18M +115.3% 15.9% +0.078 pp
    €251.63M -8.7% €4.42M -68.6% 1.8% -0.034 pp €20.52M -59.9% 8.2% -0.10 pp
    €275.51M +5.3% €14.11M -33.7% 5.1% -0.030 pp €51.23M -4.2% 18.6% -0.018 pp
    €261.69M +26.3% €21.27M +20.8% 8.1% -0.0037 pp €53.48M -3.7% 20.4% -0.064 pp
    €207.14M +10.3% €17.60M +20.1% 8.5% +0.0069 pp €55.55M +130.6% 26.8% +0.14 pp
    €187.79M +25.4% €14.66M -10.8% 7.8% -0.032 pp €24.10M -24.1% 12.8% -0.084 pp
    €149.77M +7.2% €16.43M +36.5% 11.0% +0.024 pp €31.75M +20.5% 21.2% +0.023 pp
    €139.67M +15.5% €12.04M -19.8% 8.6% -0.038 pp €26.35M -21.6% 18.9% -0.089 pp
    €120.95M +7.1% €15.01M +27.9% 12.4% +0.020 pp €33.60M +1.3% 27.8% -0.016 pp
    €112.89M +4.1% €11.73M +36.2% 10.4% +0.025 pp €33.15M -22.5% 29.4% -0.10 pp
    €108.47M +30.7% €8.61M -25.0% 7.9% -0.059 pp €42.75M +88.5% 39.4% +0.12 pp
    €83.00M +23.8% €11.49M +7.7% 13.8% -0.021 pp €22.67M +71.3% 27.3% +0.076 pp
    €67.06M +2.5% €10.67M +22.0% 15.9% +0.025 pp €13.24M -24.7% 19.7% -0.071 pp
    €65.42M €8.74M 13.4% €17.57M 26.9%

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