prosegur cash - PGUUF

PGUUF

Close Chg Chg %
0.59 0.02 4.23%

Closed Market

0.61

+0.02 (4.23%)

Volume: 300.00

Last Updated:

Jul 12, 2024, 9:30 AM EDT

Company Overview: prosegur cash - PGUUF

PGUUF Key Data

Open

$0.61

Day Range

0.61 - 0.61

52 Week Range

0.59 - 0.61

Market Cap

$839.19M

Shares Outstanding

1.45B

Public Float

228.84M

Beta

787.07

Rev. Per Employee

N/A

P/E Ratio

12.54

EPS

$0.06

Yield

554.83%

Dividend

$0.01

EX-DIVIDEND DATE

Dec 13, 2024

SHORT INTEREST

N/A

AVERAGE VOLUME

N/A

 

PGUUF Performance

No Data Available

PGUUF Analyst Ratings

  • Sell
  • Under
  • Hold
  • Over
  • Buy
Number of Ratings
Full Ratings ➔

About prosegur cash - PGUUF

Prosegur Cash SA offers logistics, cash management and outsourcing services. Its services include transporting valuable, end to end ATM management, international transport, cash management and Prosegur smart cash. The company was founded on February 22, 2016 and is headquartered in Madrid, Spain.

PGUUF At a Glance

Prosegur Cash SA
Calle Santa Sabina, 8
Madrid, Madrid 28007
Phone 34-90-032-10-09 Revenue 2.01B
Industry Miscellaneous Commercial Services Net Income 68.04M
Sector Commercial Services 2023 Sales Growth 2.269%
Fiscal Year-end 12 / 2024 Employees 44,461
View SEC Filings

PGUUF Valuation

P/E Current 12.544
P/E Ratio (with extraordinary items) N/A
P/E Ratio (without extraordinary items) 12.896
Price to Sales Ratio 0.436
Price to Book Ratio 5.112
Price to Cash Flow Ratio 3.217
Enterprise Value to EBITDA 5.285
Enterprise Value to Sales 0.934
Total Debt to Enterprise Value 0.68

PGUUF Efficiency

Revenue/Employee 45,258.917
Income Per Employee 1,530.282
Receivables Turnover 4.606
Total Asset Turnover 0.90

PGUUF Liquidity

Current Ratio 0.959
Quick Ratio 0.928
Cash Ratio 0.347

PGUUF Profitability

Gross Margin 30.01
Operating Margin 10.564
Pretax Margin 6.831
Net Margin 3.381
Return on Assets 3.043
Return on Equity 41.321
Return on Total Capital 4.695
Return on Invested Capital 5.956

PGUUF Capital Structure

Total Debt to Total Equity 749.011
Total Debt to Total Capital 88.222
Total Debt to Total Assets 58.17
Long-Term Debt to Equity 579.551
Long-Term Debt to Total Capital 68.262
  • Income Statement
  • Balance Sheet
  • Cash Flow Statement

Annual Financials for Prosegur Cash - PGUUF

Collapse All in section
All values USD millions. 2020 2021 2022 2023 5-year trend
Sales/Revenue
1.72B 1.80B 1.97B 2.01B
Sales Growth
-14.63% +4.46% +9.60% +2.27%
Cost of Goods Sold (COGS) incl D&A
1.23B 1.28B 1.37B 1.41B
COGS excluding D&A
- - - -
-
Depreciation & Amortization Expense
126.56M 136.91M 133.02M 142.97M
Depreciation
91.53M 104.92M 100.44M 106.73M
Amortization of Intangibles
35.02M 31.99M 32.58M 36.24M
COGS Growth
-10.06% +4.00% +7.59% +2.49%
Gross Income
490.36M 517.93M 593.44M 603.87M
Gross Income Growth
-24.28% +5.62% +14.58% +1.76%
Gross Profit Margin
+28.53% +28.85% +30.16% +30.01%
2020 2021 2022 2023 5-year trend
SG&A Expense
309.41M 320.34M 347.04M 391.30M
Research & Development
- - - -
-
Other SG&A
309.41M 320.34M 347.04M 391.30M
SGA Growth
-4.09% +3.53% +8.34% +12.76%
Other Operating Expense
- - - -
-
Unusual Expense
30.78M 21.40M 540.20K (3.45M)
EBIT after Unusual Expense
150.18M 176.19M 245.86M 216.02M
Non Operating Income/Expense
(2.31M) (10.44M) (3.37M) (19.98M)
Non-Operating Interest Income
1.49M 1.66M 13.24M 9.28M
Equity in Earnings of Affiliates
- - - -
-
Interest Expense
45.99M 37.48M 46.58M 58.58M
Interest Expense Growth
-13.84% -18.52% +24.29% +25.76%
Gross Interest Expense
45.99M 37.48M 46.58M 58.58M
Interest Capitalized
- - - -
-
Pretax Income
101.87M 128.27M 195.92M 137.46M
Pretax Income Growth
-65.10% +25.92% +52.73% -29.84%
Pretax Margin
+5.93% +7.15% +9.96% +6.83%
Income Tax
82.86M 87.72M 94.94M 59.34M
Income Tax - Current - Domestic
85.08M 88.67M 82.09M 53.01M
Income Tax - Current - Foreign
- - - -
-
Income Tax - Deferred - Domestic
(2.22M) (953.86K) 12.85M 6.33M
Income Tax - Deferred - Foreign
- - - -
-
Income Tax Credits
- - - -
-
Equity in Earnings of Affiliates
- - - -
-
Other After Tax Income (Expense)
- - - -
-
Consolidated Net Income
17.82M 39.07M 99.00M 67.93M
Minority Interest Expense
(298.67K) (121.74K) (201.79K) (105.95K)
Net Income
18.12M 39.19M 99.20M 68.04M
Net Income Growth
-90.42% +116.33% +153.11% -31.41%
Net Margin Growth
+1.05% +2.18% +5.04% +3.38%
Extraordinaries & Discontinued Operations
- - - -
-
Discontinued Operations
- - - -
-
Net Income After Extraordinaries
18.12M 39.19M 99.20M 68.04M
Preferred Dividends
- - - -
-
Net Income Available to Common
18.12M 39.19M 99.20M 68.04M
EPS (Basic)
0.012 0.0259 0.0656 0.046
EPS (Basic) Growth
-90.48% +115.83% +153.28% -29.88%
Basic Shares Outstanding
1.51B 1.51B 1.51B 1.48B
EPS (Diluted)
0.012 0.0259 0.0656 0.046
EPS (Diluted) Growth
-90.48% +115.83% +153.28% -29.88%
Diluted Shares Outstanding
1.51B 1.51B 1.51B 1.48B
EBITDA
307.51M 334.49M 379.43M 355.54M
EBITDA Growth
-30.13% +8.78% +13.43% -6.30%
EBITDA Margin
+17.89% +18.63% +19.28% +17.67%

Prosegur Cash in the News