Prosegur Compañía ...
BME:PSG
2,60
+ €0,02 (0,78%)
2,60
+€0,02 (0,78%)
End-of-day quote: 03/25/2026

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

€0,22
Earnings Per Share
-
Revenue Per Share
94,47%
Gross Margin %
€1,39 B
Market Cap
€1,38 B
Long-Term Debt
Earnings Per Share
€0,22
Revenue Per Share
-
Gross Margin %
94,47%
Market Cap
€1,39 B
Long-Term Debt
€1,38 B

Financials

Year Year 2026 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
EPS Earnings Per Share €0,22 €0,15 €0,12 €0,12 €0,08 €0,11 €0,19 €0,22 €0,25 €0,22 €0,31 €0,26 €0,27 €0,30 €0,28 €0,27 €0,25 €0,21 €0,16 €0,13
Earnings Earnings €117,14M €79,87M €63,79M €63,76M €43,01M €59,77M €108,03M €131,69M €149,63M €131,65M €185,49M €155,58M €154,83M €172,02M €160,32M €161,35M €149,35M €126,58M €98,05M €79,92M
RPS Revenue Per Share €0,00 N/A €9,22 €8,11 €7,86 €6,51 €6,57 €7,38 €6,58 €7,17 €6,52 €6,62 €6,32 €6,44 €6,40 €4,91 €4,28 €3,66 €3,40 €3,01 €2,65
Revenue Revenue €0,00M €4,93B €4,91B €4,31B €4,17B €3,50B €3,57B €4,20B €3,94B €4,29B €3,90B €3,96B €3,78B €3,70B €3,67B €2,81B €2,56B €2,19B €2,05B €1,84B €1,63B
OCF Operating Cash Flow €0,00M €374,53M €327,00M €313,00M €307,57M €330,30M €324,31M €366,73M €276,32M €278,60M €268,09M €298,70M €247,15M €287,44M €212,00M €162,71M €235,38M €185,31M €234,33M €170,99M €116,81M
FCF Free Cash Flow €0,00M €145,38M €133,00M €91,60M €139,76M €186,17M €210,32M €194,97M €85,23M €91,94M €116,86M €175,13M €125,26M €167,67M €116,00M €62,27M €0,00M €0,00M €0,00M €0,00M €0,00M
OM Operating Margin 0,00% 6,57% 6,10% 5,84% 6,50% 5,07% 3,91% 8,17% 7,80% 9,23% 8,87% 8,46% 8,23% 8,21% 9,42% 10,15% 10,26% 10,64% 10,39% 9,03% 6,44%
GM % Gross Margin % 0,00% 94,47% 25,01% 23,48% 23,77% 23,10% 22,68% 24,54% 24,16% 24,01% 23,38% 23,55% 23,16% 23,40% 23,19% 24,59% 25,42% 25,38% 30,34% 27,77% 24,69%
FCFS Free Cash Flow Per Share €0,00 €0,00 €0,30 €0,18 €0,26 €0,35 €0,33 €0,27 €0,10 €0,11 €0,17 €0,26 €0,18 €0,26 €0,06 €0,07 €0,20 €0,14 €0,18 €0,15 €0,10
LT Debt Long-Term Debt N/A €1,38B €1,59B €1,56B €1,51B €1,43B €1,58B €1,36B €1,39B €705,35M €1,21B €604,97M €693,82M €848,14M €724,52M €463,90M €167,91M €163,44M €213,67M €204,33M €253,74M
Sha. Stocks 532,44M 532,44M 532,44M 531,55M 531,31M 537,67M 543,34M 568,6M 598,58M 598,5M 598,43M 598,37M 598,37M 573,44M 573,4M 572,56M 597,59M 597,38M 602,78M 612,81M 614,76M
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