Victorian Plumbing Group plc / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €436.85M +8.0% €23.01M +33.8% 5.3% +0.010 pp €27.27M +13.8% 6.2% +0.0031 pp
    (estimated) €404.33M +6.5% €17.20M +17.9% 4.3% +0.0041 pp €23.97M +17.0% 5.9% +0.0053 pp
    (estimated) €379.67M +6.4% €14.59M +49.2% 3.8% +0.011 pp €20.48M +79.6% 5.4% +0.022 pp
    (estimated) €356.69M +4.8% €9.78M +54.5% 2.7% +0.0088 pp €11.40M -76.5% 3.2% -0.11 pp
    €340.24M +3.7% €6.33M -53.4% 1.9% -0.023 pp €48.56M +85.9% 14.3% +0.063 pp
    €328.04M +5.8% €13.58M +28.3% 4.1% +0.0072 pp €26.12M +14.6% 8.0% +0.0061 pp
    €309.98M +0.2% €10.59M -35.7% 3.4% -0.019 pp €22.78M -28.3% 7.3% -0.029 pp
    €309.29M +28.8% €16.45M -27.4% 5.3% -0.041 pp €31.76M +2.2% 10.3% -0.027 pp
    €240.13M +37.8% €22.67M +152.6% 9.4% +0.043 pp €31.07M +172.7% 12.9% +0.064 pp
    €174.20M +29.0% €8.97M +310.5% 5.2% +0.035 pp €11.39M +70.7% 6.5% +0.016 pp
    €135.08M €2.19M 1.6% €6.67M 4.9%

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