PGUUF Dividend: Prosegur Cash SA Yield Insights
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Stock
PGUUF
Prosegur Cash SA (PGUUF) Price
PGUUF Stock Price Chart
PGUUF Financial
Prosegur Cash SA
$0.61
0%
$0
At close: Dec 04, 16:00:00 GMT-5
$0.61
0%
$0
Post-market: Dec 04, 20:00:00 GMT-5
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Ask AI About PGUUF
Income
Balance sheet
Cash flow
Annual
Quarterly
PGUUF Income
Financials in millions USD. Fiscal year is February - January.
Breakdown
TTM
12/31/2024
12/31/2023
12/31/2022
12/31/2021
12/31/2020
Revenue
3,096
2,089
1,861
1,872
1,518
1,507
Revenue Growth (YoY)
8%
12%
-1%
23%
1%
-16%
Cost of Revenue
--
1,333
1,219
1,232
1,009
1,010
Gross Profit
--
756
641
639
509
496
Selling, General & Admin
--
427
361
330
271
271
Research & Development
--
--
--
--
--
--
Operating Expenses
2,767
526
453
401
342
331
Other Non Operating Income (Expenses)
-8
-11
-13
0
0
-18
Pretax Income
259
165
117
184
107
88
Income Tax Expense
116
74
54
90
74
72
Net Income
138
89
62
94
33
15
Net Income Growth
28.99%
44%
-34%
185%
120%
-91%
Shares Outstanding (Diluted)
1,457.5
1,472.74
1,478.2
1,573.15
1,512.84
1,508.97
Shares Change (YoY)
-1%
0%
-6%
4%
0%
-1%
EPS (Diluted)
0.09
0.06
0.04
0.06
0.02
0.01
EPS Growth
28.99%
42%
-28.99%
174%
109%
-91%
Free Cash Flow
152
169
127
173
173
167
Free Cash Flow Per Share
0.1
0.11
0.08
0.1
0.11
0.11
Gross Margin
--
36.18%
34.44%
34.13%
33.53%
32.91%
Operating Margin
10.59%
11.01%
10.1%
12.71%
10.93%
10.94%
Profit Margin
4.45%
4.26%
3.33%
5.02%
2.17%
0.99%
Free Cash Flow Margin
4.9%
8.08%
6.82%
9.24%
11.39%
11.08%
EBITDA
488
327
270
313
237
231
EBITDA Margin
15.76%
15.65%
14.5%
16.72%
15.61%
15.32%
D&A For EBITDA
160
97
82
75
71
66
EBIT
328
230
188
238
166
165
EBIT Margin
10.59%
11.01%
10.1%
12.71%
10.93%
10.94%
Effective Tax Rate
44.78%
44.84%
46.15%
48.91%
69.15%
81.81%
Follow-Up Questions
Prosegur Cash SA의 주요 재무제표는 무엇인가요?
PGUUF의 주요 재무 비율은 무엇인가요?
Prosegur Cash SA의 매출은 부문 또는 지역별로 어떻게 나뉘나요?
Prosegur Cash SA은 수익성이 있나요?
Prosegur Cash SA에 부채가 있나요?
Prosegur Cash SA의 발행 주식은 몇 주인가요?