VEON Ltd. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €4.67B +4.4% €649.10M +2.8% 13.9% -0.0021 pp €974.07M +9.7% 20.9% +0.010 pp
    (estimated) €4.47B +6.5% €631.61M +20.1% 14.1% +0.016 pp €887.92M +11.9% 19.9% +0.0095 pp
    (estimated) €4.20B +5.6% €526.06M +17.2% 12.5% +0.012 pp €793.53M +14.8% 18.9% +0.015 pp
    (estimated) €3.97B +7.6% €448.99M -7.2% 11.3% -0.018 pp €691.17M +21.1% 17.4% +0.019 pp
    (estimated) €3.69B +8.1% €483.62M +36.6% 13.1% +0.027 pp €570.62M -67.5% 15.5% -0.36 pp
    €3.42B +8.3% €353.97M -116.4% 10.4% +0.79 pp €1.75B -22.1% 51.4% -0.20 pp
    €3.15B -1.5% -€2.16B -443.0% -68.4% -0.88 pp €2.25B -25.9% 71.4% -0.24 pp
    €3.20B -51.8% €628.63M +9.3% 19.6% +0.11 pp €3.04B -19.6% 95.0% +0.38 pp
    €6.64B -2.4% €574.89M -313.3% 8.7% +0.13 pp €3.78B +5.1% 56.9% +0.041 pp
    €6.81B -10.0% -€269.53M -150.9% -4.0% -0.11 pp €3.60B -8.9% 52.9% +0.0063 pp
    €7.56B -2.5% €529.68M +6.7% 7.0% +0.0060 pp €3.95B +3.8% 52.3% +0.031 pp
    €7.75B -4.1% €496.42M -220.5% 6.4% +0.12 pp €3.81B -1.1% 49.1% +0.015 pp
    €8.08B +6.6% -€411.98M -120.0% -5.1% -0.32 pp €3.85B +27.9% 47.6% +0.079 pp
    €7.58B -7.7% €2.06B -449.3% 27.2% +0.34 pp €3.01B -16.8% 39.7% -0.044 pp
    €8.21B -51.0% -€589.39M +0.0% -7.2% -0.037 pp €3.62B -56.6% 44.1% -0.057 pp
    €16.74B -13.0% -€589.39M -51.5% -3.5% +0.028 pp €8.33B -5.2% 49.8% +0.041 pp
    €19.23B -2.2% -€1.21B -166.4% -6.3% -0.16 pp €8.79B -7.5% 45.7% -0.026 pp
    €19.67B +13.9% €1.83B +339.2% 9.3% +0.069 pp €9.50B -6.2% 48.3% -0.10 pp
    €17.27B +92.6% €416.59M -70.8% 2.4% -0.14 pp €10.14B +119.0% 58.7% +0.071 pp
    €8.97B +20.8% €1.43B +49.2% 15.9% +0.030 pp €4.63B +23.2% 51.6% +0.010 pp
    €7.42B -14.0% €956.87M +114.0% 12.9% +0.077 pp €3.76B -24.2% 50.6% -0.068 pp
    €8.63B +41.1% €447.23M -64.2% 5.2% -0.15 pp €4.96B +25.2% 57.5% -0.073 pp
    €6.12B €1.25B 20.4% €3.96B 64.8%

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