Prosegur Compañía de Seguridad, S.A.

Sümbol: PSG.MC

BME

1.662

EUR

Turuhind täna

  • 13.4788

    P/E suhe

  • 0.5931

    PEG suhe

  • 883.43M

    MRK Cap

  • 0.04%

    DIV tootlus

Prosegur Compañía de Seguridad, S.A. (PSG-MC) Finantsaruanded

Diagrammil näete Prosegur Compañía de Seguridad, S.A. (PSG.MC) vaikimisi numbreid dünaamikates. Companys revenue näitab keskmist NaN M, mis on NaN % gowth. Kogu perioodi keskmine brutokasum on NaN M, mis on NaN %. Keskmine brutokasumi suhtarv on NaN %. Ettevõtte eelmise aasta tulemuse puhaskasv on NaN %, mis on võrdne NaN % % keskmiselt kogu ettevõtte ajaloo jooksul.,

Bilanss

Sukeldudes Prosegur Compañía de Seguridad, S.A. fiskaalkäiguteele, täheldame keskmist varade kasvu. See määr on huvitaval kombel , mis kajastab nii ettevõtte kõrg- kui ka madalseisusid. Kui võrrelda kvartalite lõikes, siis kohandub see näitaja . Kui vaadata tagasi möödunud aastale, siis on varade kogumuutus NaN. Aktsionäride väärtus, mida näitab aktsionäride kogu omakapital, on hinnatud NaN aruandlusvaluutas. Selle aspekti aastane muutus on NaN%.

common:word.in-mln

USD
Growth
TTM202320222021202020192018201720162015201420132012201120102009200820072006200520042003

balance-sheet.row.cash-and-short-term-investments

0440.41177.4585.9
767
850.3
1047.6
1121.2
824.6
317.2
293.5
294.1
169.3
189.1
170
78
92.7
98.3
71.3
49.1
565.6
155.9

balance-sheet.row.short-term-investments

0511.31
246.3
319.6
489.3
490.3
0
0.7
8.4
1.2
5.7
1.6
0
0
0
0
16.7
17
407.5
0

balance-sheet.row.net-receivables

0898.2870.4796.3
772.1
1040.7
654
747
0
0
0
0
0
0
673.2
594.8
492.8
513.2
0
0
3044.1
2924.3

balance-sheet.row.inventory

08986.965.4
46.5
64.8
76.1
70.7
86.7
69.7
59.6
58.6
61
54.6
42.7
29.9
24.5
24.5
22
17.4
121.6
110.5

balance-sheet.row.other-current-assets

046.4142.617.4
9.3
30
975.5
1151.1
1155
906.8
1044.4
1009.4
1064.8
848.1
129
1.1
122.1
37.6
454.1
392.6
52.1
242.4

balance-sheet.row.total-current-assets

014742277.41465
1744.9
1985.9
2099.2
2343
2066.3
1293.6
1397.5
1362.2
1295.1
1091.8
1014.9
703.8
732
673.5
547.4
459.1
3783.4
3433.1

balance-sheet.row.property-plant-equipment-net

0763.4768.7709.5
679.8
836.9
700.1
587
558
467.1
506.5
472
460.5
406
360.7
325
281.7
249.4
215.7
211.6
1366.4
2300.3

balance-sheet.row.goodwill

0672.6696.8628.9
590.7
634
570.1
520.4
528.4
494.2
532.2
516
529.5
0
318.7
363.3
346.4
329.2
417.9
241.5
0
2008.4

balance-sheet.row.intangible-assets

0414.2408.5351.7
295.6
349.9
272.2
245
256.7
246
324.3
341.7
361.2
0
147.9
98.4
0
0
-106.7
65.6
1738.3
2077.6

balance-sheet.row.goodwill-and-intangible-assets

01086.81105.3980.6
886.3
984
842.3
765.4
785.1
740.1
856.5
857.7
890.6
553.1
466.7
461.7
346.4
329.2
311.2
307.1
1738.3
4085.9

balance-sheet.row.long-term-investments

0547.9447.4484.8
496.3
-292.4
-446.8
-452.7
0
22.3
11.8
20.5
20.9
32.4
0
0
0
53.4
-12.9
-9.6
-379.3
0

balance-sheet.row.tax-assets

0150.3137.7106.9
99.2
94.8
84.1
86.3
185.6
164
181
180.6
202.1
106.7
100.7
56
47.9
48
44.9
45.5
407.5
0

balance-sheet.row.other-non-current-assets

022.193.969.4
6.9
367
540.8
494.6
39.8
88
58.9
4.9
16.4
1.6
33.3
38.1
34.5
3.9
16.7
17
3.3
-2803.1

balance-sheet.row.total-non-current-assets

02570.52553.12351.2
2168.6
1990.2
1720.5
1480.6
1568.6
1481.5
1614.7
1535.8
1590.5
1099.7
961.3
880.8
710.5
683.8
575.6
571.7
3136.2
3583.2

balance-sheet.row.other-assets

0000
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0

balance-sheet.row.total-assets

04044.54830.53816.1
3913.5
3976.1
3819.8
3823.6
3634.9
2775.1
3012.3
2897.9
2885.6
2191.6
1976.2
1584.7
1442.5
1357.4
1123
1030.8
6919.5
7016.3

balance-sheet.row.account-payables

0235.4244244.1
190.2
212.1
194.5
200.8
208.2
191.2
177.9
179.9
157.9
543.4
432.2
375.2
329.6
0
18.1
17.8
155.7
0

balance-sheet.row.short-term-debt

0247.6966.9276.8
353.2
302.2
150.7
701
358.4
338.2
251.6
195.7
295.8
196.3
360.4
199.9
0
0
44.4
215
488.8
0

balance-sheet.row.tax-payables

0129.5338.7347.3
319.8
332
267.3
350
321.8
249.5
264.6
272
277.3
61.9
55.4
49.4
0
33
101.5
98
17.4
16.8

balance-sheet.row.long-term-debt-total

01504.61503.61447.2
1596.6
1396.1
1358.1
700.5
1210.3
590.7
655.7
791.7
737.4
466.2
188.9
197.3
134.5
120.8
273.7
99.1
1048.1
1785.7

Deferred Revenue Non Current

035.734.724.8
20.8
28.8
29.3
0
0
0
0
1.1
0
0
173.2
0
0
0
0
0
0
0

balance-sheet.row.deferred-tax-liabilities-non-current

0---
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-

balance-sheet.row.other-current-liab

0806.113.110.3
6.9
3.6
464.5
8.7
9.2
12.7
6.3
1.9
2.5
28
25.1
25.9
284.7
570.7
9
11.2
2437.6
2918.1

balance-sheet.row.total-non-current-liabilities

019951965.41808.8
1923.6
1751
1676.4
947.7
1570.4
912.6
1066.2
1196.7
1091.5
690.9
436.5
406.5
402.5
701.8
408.9
196
1381.4
1742.5

balance-sheet.row.other-liabilities

0000
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0

balance-sheet.row.capital-lease-obligations

091.5128.9102.1
92.5
132
13.6
20.5
23.9
20.3
35.3
22.2
24.6
11.8
0
0
0
0
6.9
7.4
0
0

balance-sheet.row.total-liab

03326.94040.13105.4
3195.4
3077.7
2753.3
2680.2
2883.4
2075.5
2148.2
2243.4
2153.8
1520.7
1309.7
1056.8
1016.9
1272.5
788.4
708.8
4480.8
4660.6

balance-sheet.row.preferred-stock

00611.4689.7
743
125.4
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0

balance-sheet.row.common-stock

032.732.732.9
32.9
35.9
37
37
37
37
37
37
37
37
37
37
37
37
37
37
370.3
370.3

balance-sheet.row.retained-earnings

01363.21402.11415.7
1457
1060.6
1162.4
1597.4
1212.1
1205.5
1085.4
940.7
844.5
729.8
622.9
518.7
419.5
333.7
275.4
250.8
0
0

balance-sheet.row.accumulated-other-comprehensive-income-loss

0-710.3-611.4-689.7
-743
-125.4
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0

balance-sheet.row.other-total-stockholders-equity

0-4.1-678.7-756.3
-794.7
-270.4
-201.7
-565.3
-498.2
-542.5
-269.8
-322.9
-149.5
-96.3
5.9
-28.4
-32.9
-290.8
22.2
34.1
2064.4
1985.4

balance-sheet.row.total-stockholders-equity

0681.5756.1692.4
695.2
826.1
997.7
1069.1
750.9
700
852.7
654.9
732.1
670.5
665.9
527.4
423.6
80
334.6
321.9
2434.7
2355.7

balance-sheet.row.total-liabilities-and-stockholders-equity

04044.54830.53816.1
3913.5
3976.1
3819.8
3823.6
3634.9
2775.1
3012.3
2897.9
2885.6
2191.6
1976.2
1584.7
1442.5
1357.4
1123
1030.8
6919.5
7016.3

balance-sheet.row.minority-interest

036.134.218.3
22.9
72.2
68.7
74.4
0.6
-0.3
11.4
-0.3
-0.3
0.4
0.7
0.5
1
2.5
0
0.1
4
0

balance-sheet.row.total-equity

0717.5790.3710.7
718.1
898.3
1066.5
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-

balance-sheet.row.total-liabilities-and-total-equity

0---
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-

Total Investments

0547.9458.7485.8
452
27.2
42.5
37.6
36.3
23.1
20.3
21.7
26.6
34
0
0
34.5
53.4
3.8
7.5
28.2
27.2

balance-sheet.row.total-debt

01843.82470.51723.9
1949.8
1698.2
1508.8
1401.5
1568.7
928.9
907.3
987.4
1033.3
662.5
549.4
397.2
134.5
120.8
318
314.2
1536.9
1785.7

balance-sheet.row.net-debt

01403.31304.31139
1182.8
1167.5
950.4
770.6
744.1
612.5
622.2
694.5
869.7
475
379.3
319.2
41.9
22.5
263.4
282.1
1378.8
1629.7

Rahavoogude aruanne

Prosegur Compañía de Seguridad, S.A. finantsmaastikul on viimase perioodi jooksul toimunud märkimisväärne muutus vabas rahavoos, mis näitab NaN nihet. Ettevõte laiendas hiljuti oma aktsiakapitali, emiteerides NaN, mis tähistab NaN erinevust võrreldes eelmise aastaga. Ettevõtte investeerimistegevuse tulemusel kasutas ettevõte netosularaha, mis aruandlusvaluutas oli NaN. See on NaN nihkumine võrreldes eelmise aastaga. Samal perioodil registreeris ettevõte NaN, NaN, NaN, mis on olulised ettevõtte investeerimis-ja tagasimaksestrateegiate mõistmiseks. Ettevõtte finantseerimistegevuse tulemusel kasutas ettevõte netorahavahendeid NaN, kusjuures erinevus võrreldes eelmise aastaga oli NaN. Lisaks eraldas ettevõte NaN aktsionäridele dividendide maksmiseks. Samal ajal tegi ta muid finantsmanöövreid, millele viidatakse kui NaN, mis samuti mõjutasid oluliselt tema rahavooge sel perioodil. Need komponendid koos annavad tervikliku pildi ettevõtte finantsseisundist ja strateegilisest lähenemisest rahavoogude juhtimisele.

common:word.in-mln

USD
Growth
TTM2023202220212020201920182017201620152014201320122011201020092008200720062005

cash-flows.row.net-income

065.584.143.7
334.9
160.2
180
198.3
134.1
183.4
158.4
155.7
171.6
167
160.4
149.5
126.6
99.3
92
96.9

cash-flows.row.depreciation-and-amortization

0214.6212.2193.8
184.8
205.9
154.6
129.5
116.4
124.1
118.5
116.8
115.5
79.4
83.3
0
0
0
42.9
38.5

cash-flows.row.deferred-income-tax

0-6.44.7-8.6
-8.8
-22.9
0
0
0
0
-30.6
-13.1
-107.5
25.3
-51.2
0
0
0
0
0

cash-flows.row.stock-based-compensation

0-589.5-4.78.6
8.8
22.9
0
0
0
0
1.9
0.5
2.3
0.8
1.9
0
0
0
0
0

cash-flows.row.change-in-working-capital

0-150.7-64.420.9
71
-34.5
15.1
-43
-58.6
-14.1
-44.9
-21.3
-109.4
-137.5
-85
0
0
0
5
-37.2

cash-flows.row.account-receivables

0-237.9-116.8-78.5
55.7
-102.3
0
0
0
0
0
0
0
0
0
0
0
0
0
0

cash-flows.row.inventory

0-12-28.8-13.3
-1.9
4.5
-10.5
5.7
-22
-24.4
-2.5
-5.3
-6.4
-12
-11.3
0
0
0
-4.5
-5.3

cash-flows.row.account-payables

089.756.596.8
19.7
56.1
0
0
0
0
0
0
0
0
0
0
0
0
0
0

cash-flows.row.other-working-capital

09.524.715.8
-2.4
7.2
25.6
-48.7
-36.6
10.3
-42.4
-16
-103
-125.5
-73.6
0
0
0
9.5
-32

cash-flows.row.other-non-cash-items

080675.771.9
-266.4
35.1
-73.4
-6.2
76.2
5.3
43.9
48.9
63.4
27.7
91.9
35.8
107.7
71.7
-23.1
-30.3

cash-flows.row.net-cash-provided-by-operating-activities

0000
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0

cash-flows.row.investments-in-property-plant-an-equipment

0-200.2-167.8-144.1
-144.4
-204.9
-214.6
-212.9
-166
-143.9
-139.3
-137.8
-99
-123.2
-81.5
-72.5
-92.3
-78.6
-53.2
-69.9

cash-flows.row.acquisitions-net

08.7-2.1-46.6
-68.3
-62
-58.2
-35.7
-30.1
-6.1
-14.7
-20.5
-154.4
-66.7
0
-92.4
-37.6
-26.5
-5.8
-84.8

cash-flows.row.purchases-of-investments

0-45.1-11-10.6
-4.1
-2.9
-298.1
-493.6
-1.8
-2.9
-9.1
-7.1
-14.1
-2.1
0
-3.6
0
0
0
0

cash-flows.row.sales-maturities-of-investments

050.5153.4
170
171.7
290
0.4
1.8
10.2
3.8
16.5
19.3
129.6
59
107.5
0.8
0
1
2.8

cash-flows.row.other-investing-activites

003522.1
25.4
12.9
28.6
8.8
11.8
-52.5
-30.4
16.1
2.5
14.6
-187.2
6.1
-55.3
-57.4
4.3
0.8

cash-flows.row.net-cash-used-for-investing-activites

0-231.5-145.4-25.7
-21.3
-85.1
-252.4
-733
-184.3
-195.2
-189.6
-132.7
-245.8
-47.7
-209.7
-55
-184.4
-162.5
-53.8
-151.2

cash-flows.row.debt-repayment

0-684.3-148.9-601.5
-632
-408.9
-786.9
-1101.6
-129.4
-34.3
-235.7
-452.5
-98.9
-279.1
-83.2
-30
-13.7
0
-16.9
0

cash-flows.row.common-stock-issued

0-22.9839.6299.3
905.6
382.4
0.2
949.2
0
0
121.9
0
10.3
0
0
-50.9
0
0
15
0

cash-flows.row.common-stock-repurchased

0-10.1-28.4-27.6
-125.4
-107.6
885.3
-2.1
0
0
167.4
0
-14.7
0
0
-10.9
-21
0
-3.1
0

cash-flows.row.dividends-paid

0-42.2-104.4-80.7
-55.7
-107.3
-118.3
-329.8
-120.2
-63.9
-64.2
-59.9
-59.5
-57.8
-52.5
-47
-42
-36.5
-16.5
-20.3

cash-flows.row.other-financing-activites

0-32-28.1-51.8
-74.2
-27.5
-20.5
788.1
673.4
60.6
-44.5
520.9
254.1
240.9
230.4
-9.3
25.2
74.5
-16.9
91.5

cash-flows.row.net-cash-used-provided-by-financing-activities

0-791.5529.8-462.2
18.4
-268.9
-40.2
303.7
423.7
-37.6
-55
8.4
91.3
-96
94.7
-148
-51.4
38
-38.4
71.1

cash-flows.row.effect-of-forex-changes-on-cash

0-111.3-41.7-24.4
-85
-40.6
-56.1
-43
0.7
-34.5
-10.4
-33.8
-5.3
-1.5
5.6
3.1
-4.2
-2.8
-2
2.9

cash-flows.row.net-change-in-cash

0-725.7650.2-182.1
236.3
-27.9
-72.3
-193.7
508.2
31.4
-7.9
129.3
-23.9
17.5
92
-14.6
-5.6
43.6
22.6
-9.3

cash-flows.row.cash-at-end-of-period

0440.41235.1585
767
530.7
558.6
630.9
824.6
316.4
285.1
292.9
163.6
187.5
170
78
92.7
98.3
54.7
32.1

cash-flows.row.cash-at-beginning-of-period

01166.2585767
530.7
558.6
630.9
824.6
316.4
285.1
292.9
163.6
187.5
170
78
92.7
98.3
54.7
32.1
41.4

cash-flows.row.operating-cash-flow

0339.6307.6330.3
324.3
366.7
276.3
278.6
268.1
298.7
247.2
287.4
135.9
162.7
201.4
185.3
234.3
171
116.8
67.9

cash-flows.row.capital-expenditure

0-200.2-167.8-144.1
-144.4
-204.9
-214.6
-212.9
-166
-143.9
-139.3
-137.8
-99
-123.2
-81.5
-72.5
-92.3
-78.6
-53.2
-69.9

cash-flows.row.free-cash-flow

0139.4139.8186.2
179.9
161.9
61.7
65.7
102.1
154.8
107.9
149.7
36.9
39.5
119.9
112.8
142.1
92.4
63.6
-2

Kasumiaruande rida

Prosegur Compañía de Seguridad, S.A. tulud muutusid võrreldes eelmise perioodiga NaN%. PSG.MC brutokasum on teatatud NaN. Ettevõtte tegevuskulud on NaN, mille muutus võrreldes eelmise aastaga on NaN%. Kulud amortisatsioonikulud on NaN, mis on NaN% muutus võrreldes eelmise aruandeperioodiga. Tegevuskulud on teatatud NaN, mis näitab NaN% muutust võrreldes eelmise aastaga. Müügi- ja turunduskulud on NaN, mis on NaN% muutus võrreldes eelmise aastaga. Hiljutistel numbritel põhinev EBITDA on NaN, mis tähendab NaN% kasvu võrreldes eelmise aastaga. Tegevustulu on NaN, mis näitab NaN% muutust võrreldes eelmise aastaga. Puhaskasumi muutus on NaN%. Eelmise aasta puhaskasum oli NaN.

common:word.in-mln

USD
Growth
TTM202320222021202020192018201720162015201420132012201120102009200820072006200520042003

income-statement-row.row.total-revenue

043104174.23498.1
3570.4
4198.2
3939.2
4290.7
3902.3
3959.4
3782.6
3695.2
3669.1
2819.8
2566.5
2187
2051.7
0
1631.3
1387.8
11828.3
11167.5

income-statement-row.row.cost-of-revenue

03435.93181.92689.9
2760.7
3168
2987.5
3260.3
2990
3026.8
2906.5
2830.3
2789.8
2123.6
1914
-5.5
68
0
69.2
39.4
417.4
381.2

income-statement-row.row.gross-profit

0874.2992.2808.2
809.7
1030.2
951.7
1030.3
912.3
932.6
876.1
864.8
879.3
696.2
652.5
2192.5
1983.7
0
1562.1
1348.4
11410.9
10786.3

income-statement-row.row.gross-profit-ratio

0000
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0

income-statement-row.row.research-development

0---
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-

income-statement-row.row.selling-general-administrative

0---
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-

income-statement-row.row.selling-and-marketing-expenses

0---
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-

income-statement-row.row.other-expenses

019.9508.9466.5
465.5
489.3
12.9
8
6.1
12
5.6
-1.5
-67.9
412.1
266.8
1964
1778.7
48.3
1457.1
0.1
1800.5
1619.4

income-statement-row.row.operating-expenses

0616.2734.7643.9
657.1
712.2
648.6
632.9
554.3
600
560.8
543.7
487.9
412.1
341
1964
1778.7
48.3
1457.1
1234.4
8570.4
7958.2

income-statement-row.row.cost-and-expenses

04052.13916.63333.8
3417.8
3880.2
3636.1
3893.2
3544.3
3626.8
3467.3
3374
3277.7
2535.7
2255
1958.5
1846.7
48.3
1526.2
1273.9
8987.8
8339.4

income-statement-row.row.interest-income

014.919.45.4
4
10.5
12.1
6.8
6.8
5.6
5.8
10.4
7.5
0
4.6
16.5
26.9
17.3
1.5
1.5
0
0

income-statement-row.row.interest-expense

094.14831.4
33.2
33.4
29
38.6
29.2
32.3
32.9
39.2
43.4
-31.8
-31.4
36.3
49.2
3.7
18.2
16
-98.8
-98.8

income-statement-row.row.selling-and-marketing-expenses

0---
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-

income-statement-row.row.total-other-income-expensenet

0-92.9-62.6-35
-65.7
-65.6
-21.3
-45
-58.7
-36.3
-58.1
-51.5
-60.7
-31.8
-31.4
-19.8
-387.8
-13.5
-13
-17
-2459.7
-365.1

income-statement-row.row.ebitda-ratio-caps

0---
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-

income-statement-row.row.other-operating-expenses

019.9508.9466.5
465.5
489.3
12.9
8
6.1
12
5.6
-1.5
-67.9
412.1
266.8
1964
1778.7
48.3
1457.1
0.1
1800.5
1619.4

income-statement-row.row.total-operating-expenses

0-92.9-62.6-35
-65.7
-65.6
-21.3
-45
-58.7
-36.3
-58.1
-51.5
-60.7
-31.8
-31.4
-19.8
-387.8
-13.5
-13
-17
-2459.7
-365.1

income-statement-row.row.interest-expense

094.14831.4
33.2
33.4
29
38.6
29.2
32.3
32.9
39.2
43.4
-31.8
-31.4
36.3
49.2
3.7
18.2
16
-98.8
-98.8

income-statement-row.row.depreciation-and-amortization

0214.6204.2211.3
269.7
184.5
154.6
129.5
116.4
124.1
118.5
116.8
115.5
79.4
83.3
60.9
51.5
48.3
42.9
38.5
357.7
332.1

income-statement-row.row.ebitda-caps

0---
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-
-

income-statement-row.row.operating-income

0257.9253.5174
549.4
330.5
301.4
388.9
332.9
324.2
307.2
297.6
311.5
284.1
262.6
234
205
161.9
105.1
113.9
2840.5
1022.8

income-statement-row.row.income-before-tax

0165190.9139
483.7
264.9
280
343.9
274.2
287.9
249.2
246.2
250.8
252.3
231.2
214.2
-182.8
148.4
92
96.9
380.8
657.8

income-statement-row.row.income-tax-expense

074.8106.995.3
148.9
104.6
100
145.6
140.1
104.5
90.7
90.5
79.3
85.3
70.8
64.7
57.5
49.1
34.4
35.7
149.6
202.3

income-statement-row.row.net-income

065.564.741
331.3
160.2
132.3
150.3
134.2
183.4
158.7
155.9
171.9
167.4
160.4
149.5
126.6
99.3
57.6
65.3
231.2
455.5

Korduma kippuv küsimus

Mis on Prosegur Compañía de Seguridad, S.A. (PSG.MC) koguvara?

Prosegur Compañía de Seguridad, S.A. (PSG.MC) koguvara on 4044491000.000.

Mis on ettevõtte aastane tulu?

Aastane tulu on N/A.

Mis on ettevõtte kasumimarginaal?

Ettevõtte kasumimarginaal on 1.000.

Mis on ettevõtte vaba rahavoog?

Vaba rahavoog on 0.262.

Mis on ettevõtte puhaskasumimarginaal?

Puhaskasumimarginaal on 0.015.

Mis on ettevõtte kogutulu?

Kogutulu on 0.042.

Mis on Prosegur Compañía de Seguridad, S.A. (PSG.MC) puhaskasum (puhaskasum)?

Puhaskasum (netotulu) on 65542000.000.

Kui suur on ettevõtte koguvõlg?

Koguvõlg on 1843761000.000.

Mis on tegevuskulude arv?

Tegevuskulud on 616240000.000.

Milline on ettevõtte rahaline näitaja?

Ettevõtte raha on 0.000.