VAT Group AG / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) N/A N/A N/A N/A N/A
    (estimated) N/A N/A N/A N/A N/A
    (estimated) N/A N/A N/A N/A N/A
    (estimated) N/A N/A N/A N/A N/A
    €1.02B +6.4% €229.00M +11.3% 22.5% +0.0098 pp €320.37M -9.0% 31.4% -0.053 pp
    €957.20M -22.7% €205.76M -38.0% 21.5% -0.053 pp €352.08M -8.5% 36.8% +0.057 pp
    €1.24B +27.1% €331.69M +41.1% 26.8% +0.027 pp €384.88M +28.1% 31.1% +0.0023 pp
    €974.33M +30.1% €235.10M +70.0% 24.1% +0.057 pp €300.51M +54.1% 30.8% +0.048 pp
    €748.65M +21.4% €138.33M +71.0% 18.5% +0.054 pp €195.02M +9.7% 26.0% -0.028 pp
    €616.69M -18.3% €80.90M -44.9% 13.1% -0.063 pp €177.73M -23.1% 28.8% -0.018 pp
    €754.82M +0.8% €146.70M +17.3% 19.4% +0.027 pp €231.01M +7.2% 30.6% +0.018 pp
    €748.64M +36.3% €125.07M +72.1% 16.7% +0.035 pp €215.56M +22.9% 28.8% -0.031 pp
    €549.14M +23.6% €72.69M +852.2% 13.2% +0.12 pp €175.38M +27.3% 31.9% +0.0094 pp
    €444.33M €7.63M 1.7% €137.73M 31.0%

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