Prosegur Cash
BME:CASH
0,61
€0,00 (0,00%)
0,61
€0,00 (0,00%)
End-of-day quote: 03/23/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

€0,06
Earnings Per Share
€1,36
Revenue Per Share
34,49%
Gross Margin %
€0,89 B
Market Cap
€0,71 B
Long-Term Debt
Earnings Per Share
€0,06
Revenue Per Share
€1,36
Gross Margin %
34,49%
Market Cap
€0,89 B
Long-Term Debt
€0,71 B

Financials

Year Year 2026 2025 2024 2023 2022 2021 2020 2019 2018 2017
EPS Earnings Per Share €0,06 €0,06 €0,04 €0,06 €0,02 €0,01 €0,11 €0,12 €0,20
Earnings Earnings €87,75M €88,41M €58,83M €89,20M €30,10M €15,21M €164,88M €179,87M €299,84M
RPS Revenue Per Share €0,00 €1,36 €1,42 €1,27 €1,26 €1,01 €0,99 €1,20 €1,16 €1,28
Revenue Revenue €0,00M €1,99B €2,09B €1,86B €1,87B €1,52B €1,51B €1,80B €1,73B €1,92B
OCF Operating Cash Flow €0,00M €243,35M €270,58M €233,45M €250,78M €241,07M €237,37M €313,04M €225,69M €182,50M
FCF Free Cash Flow €0,00M €87,00M €169,26M €127,45M €173,99M €181,34M €167,67M €208,55M €123,06M €85,06M
OM Operating Margin 0,00% 10,27% 11,15% 11,03% 12,71% 11,72% 10,41% 16,17% 15,64% 18,89%
GM % Gross Margin % 0,00% 34,49% 36,19% 34,46% 34,18% 33,53% 32,94% 35,29% 34,64% 36,04%
FCFS Free Cash Flow Per Share €0,00 €0,08 €0,11 €0,09 €0,12 €0,11 €0,11 €0,14 €0,08 €0,08
LT Debt Long-Term Debt N/A €705,70M €817,31M €812,20M €827,16M €716,40M €826,53M €646,57M €682,80M €686,88M
Sha. Stocks 1.473,54M 1.462,55M 1.473,54M 1.470,73M 1.486,64M 1.504,75M 1.521,1M 1.498,88M 1.498,94M 1.499,21M
×