Equities
  • Price (EUR)0.513
  • Today's Change-0.007 / -1.35%
  • Shares traded0.00
  • 1 Year change+4.16%
  • Beta--
Data delayed at least 15 minutes, as of Nov 13 2024 07:15 GMT.
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Financials data is unavailable for this security.

Inc stmt in EURIncome statement in EURView more

Year on year Prosegur Cash SA's net income fell -33.33% from 94.39m to 62.93m despite flat revenues. A contributing factor has been an increase in the selling, general and administrative costs as a percentage of sales from 17.64% to 19.45%.
Gross margin--
Net profit margin3.46%
Operating margin8.89%
Return on assets3.05%
Return on equity27.90%
Return on investment4.81%
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Cash flow in EURView more

In 2023, cash reserves at Prosegur Cash SA fell by 135.79m. However, the company earned 233.45m from its operations for a Cash Flow Margin of 12.54%. In addition the company used 126.52m on investing activities and also paid 156.25m in financing cash flows.
Cash flow per share0.1438
Price/Cash flow per share3.65
Book value per share0.1577
Tangible book value per share-0.3519
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Balance sheet in EURView more

Prosegur Cash SA has a Debt to Total Capital ratio of 83.82%, a lower figure than the previous year's 400.53%.
Current ratio0.9613
Quick ratio0.9255
Total debt/total equity5.18
Total debt/total capital0.8382
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Growth rates in EUR

SmartText is unavailable
Div yield(5 year avg)5.67%
Div growth rate (5 year)-17.91%
Payout ratio (TTM)84.45%
EPS growth(5 years)-17.97
EPS (TTM) vs
TTM 1 year ago
-31.82
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