_id
69148cb2ccc777a4e85d9a4a
Ticker
PGUUF
Name
Prosegur Cash S.A
Exchange
PINK
Address
Calle Santa Sabina, 8, Madrid, Spain, 28007
Country
USA
Sector
Industrials
Industry
Integrated Freight & Logistics
Currency
USD
Website
https://www.prosegurcash.com
Description
Prosegur Cash, S.A. provides integrated cash cycle management solutions and automating payments in retail establishments and ATM management for financial institutions, retail establishments, business, government agencies, central banks, mints, and jewellery stores in Europe, LATAM, and internationally. The company offers local and international transport and logistics services through land, sea, and air comprising collection, transport in armored vehicles, custody, and deposit services for funds and other valuables, including jewellery, artworks, precious metals, electronic devices, pharmaceutical products, voting ballots, and legal evidence. It also provides cash management and handling, and automation services consisting of counting, processing, reconditioning, securing storage, packaging, delivering, and recycling banknotes and coins, as well as cash flow monitoring and tracking systems and ATM replacement services; Cash Today, which automates payments in retail establishments; ATM management solutions comprising planning, loading, monitoring, first- and second-tier maintenance, and balancing services; cryptocurrency custody services; corresponding banking services, including collection and payment management, and payment of invoices; and foreign exchange currency, international payment, online foreign money, home delivery of travel money, local cash, money transfer, and tax refund services. In addition, the company offers added-value offshore system services; cash back services for purchases at the supermarket, online travel bookings, reservations, and gift card purchases; and digital wallets. It serves the hospitality, supermarket, retail, service station, hotel, transport, distribution, and shop sectors. The company was incorporated in 2016 and is headquartered in Madrid, Spain. Prosegur Cash, S.A. is a subsidiary of Prosegur Compañía de Seguridad, S.A.
Last Close
0.6129
Volume
-
Current Price
0.6129
Change
0
Last Updated
2025-11-23T17:55:32.957Z
Image
data:image/webp;base64,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
Ipo Date
-
Market Cap
897012352
Next Dividend Date
-
Dividend Frequency
-
Dividend Rate
-
Dividend Yield
0
Sentiment
-
Sentiment Sources
0
Current Quarter
2025-06-30
Revenue
488995000
Cost Of Revenue
-
Gross Profit
488995000
Operating Expenses
488995000
Operating Income
-
Interest Expense
6974000
Pretax Income
43384000
Net Income
22940000
Eps
0.015621637670619063
Dividends Per Share
-
Shares Outstanding
1468476000
Income Tax Expense
19621000
EBITDA
50258000
Operating Margin
-
Total Other Income Expense Net
43384000
Cash
676160000
Short Term Investments
21004000
Receivables
407529000
Inventories
32458000
Total Current Assets
1177943000
Property Plant Equipment
471466000
Total Assets
2457099000
Payables
397846000
Short Term Debt
848000000
Long Term Debt
374149000
Total Liabilities
2279110000
Equity
135283000
Depreciation
-
Change In Working Capital
23804000
Cash From Operations
40018000
Capital Expenditures
15314000
Cash From Investing
-
Cash From Financing
-
Net Change In Cash
155696000
PE
15.3225
PB
6.652934518010393
ROE
16.95704560070371
ROA
0.9336213152176611
FCF
24704000
Fcf Percent
0.050519943966707226
Piotroski FScore
4
Health Score
42
Deep Value Investing Score
5.5
Defensive Investing Score
7
Dividend Investing Score
3
Economic Moat Investing Score
7.8
Garp Investing Score
3.5
Growth Investing Score
3.5
Momentum Investing Score
5
Net Net Investing Score
3.5
Quality Investing Score
4.5
Value Investing Score
5.5
Quarters > 0 > quarter
2025-06-30
Quarters > 0 > income Statement > revenue
488995000
Quarters > 0 > income Statement > cost Of Revenue
-
Quarters > 0 > income Statement > gross Profit
488995000
Quarters > 0 > income Statement > operating Expenses
488995000
Quarters > 0 > income Statement > operating Income
-
Quarters > 0 > income Statement > interest Expense
6974000
Quarters > 0 > income Statement > pretax Income
43384000
Quarters > 0 > income Statement > net Income
22940000
Quarters > 0 > income Statement > eps
0.015621637670619063
Quarters > 0 > income Statement > dividends Per Share
-
Quarters > 0 > income Statement > shares Outstanding
1468476000
Quarters > 0 > income Statement > income Tax Expense
19621000
Quarters > 0 > income Statement > EBITDA
50258000
Quarters > 0 > income Statement > operating Margin
-
Quarters > 0 > income Statement > total Other Income Expense Net
43384000
Quarters > 0 > balance Sheet > cash
676160000
Quarters > 0 > balance Sheet > short Term Investments
21004000
Quarters > 0 > balance Sheet > receivables
407529000
Quarters > 0 > balance Sheet > inventories
32458000
Quarters > 0 > balance Sheet > total Current Assets
1177943000
Quarters > 0 > balance Sheet > property Plant Equipment
471466000
Quarters > 0 > balance Sheet > total Assets
2457099000
Quarters > 0 > balance Sheet > payables
397846000
Quarters > 0 > balance Sheet > short Term Debt
848000000
Quarters > 0 > balance Sheet > long Term Debt
374149000
Quarters > 0 > balance Sheet > total Liabilities
2279110000
Quarters > 0 > balance Sheet > equity
135283000
Quarters > 0 > cash Flow > net Income
22940000
Quarters > 0 > cash Flow > depreciation
-
Quarters > 0 > cash Flow > change In Working Capital
23804000
Quarters > 0 > cash Flow > cash From Operations
40018000
Quarters > 0 > cash Flow > capital Expenditures
15314000
Quarters > 0 > cash Flow > cash From Investing
-
Quarters > 0 > cash Flow > cash From Financing
-
Quarters > 0 > cash Flow > net Change In Cash
155696000
Quarters > 0 > ratios > PE
0.015621637670619063
Quarters > 0 > ratios > PB
6.652934518010393
Quarters > 0 > ratios > ROE
16.95704560070371
Quarters > 0 > ratios > ROA
0.9336213152176611
Quarters > 0 > ratios > FCF
24704000
Quarters > 0 > ratios > Piotroski FScore
4
Quarters > 0 > ratios > fcf Percent
0.050519943966707226
Quarters > 0 > health Score
42
Quarters > 1 > quarter
2025-03-31
Quarters > 1 > income Statement > revenue
516100000
Quarters > 1 > income Statement > cost Of Revenue
-
Quarters > 1 > income Statement > gross Profit
516100000
Quarters > 1 > income Statement > operating Expenses
516100000
Quarters > 1 > income Statement > operating Income
516100000
Quarters > 1 > income Statement > interest Expense
9200000
Quarters > 1 > income Statement > pretax Income
43400000
Quarters > 1 > income Statement > net Income
23000000
Quarters > 1 > income Statement > eps
0.015662496356767152
Quarters > 1 > income Statement > dividends Per Share
500000
Quarters > 1 > income Statement > shares Outstanding
1468476000
Quarters > 1 > income Statement > income Tax Expense
19500000
Quarters > 1 > income Statement > EBITDA
66500000
Quarters > 1 > income Statement > operating Margin
100
Quarters > 1 > income Statement > total Other Income Expense Net
-472800000
Quarters > 1 > balance Sheet > cash
550700000
Quarters > 1 > balance Sheet > short Term Investments
3800000
Quarters > 1 > balance Sheet > receivables
496900000
Quarters > 1 > balance Sheet > inventories
29200000
Quarters > 1 > balance Sheet > total Current Assets
1080500000
Quarters > 1 > balance Sheet > property Plant Equipment
504700000
Quarters > 1 > balance Sheet > total Assets
2433400000
Quarters > 1 > balance Sheet > payables
442200000
Quarters > 1 > balance Sheet > short Term Debt
1076200000
Quarters > 1 > balance Sheet > long Term Debt
319800000
Quarters > 1 > balance Sheet > total Liabilities
2157000000
Quarters > 1 > balance Sheet > equity
276400000
Quarters > 1 > cash Flow > net Income
90000000
Quarters > 1 > cash Flow > depreciation
11600000
Quarters > 1 > cash Flow > change In Working Capital
-40200000
Quarters > 1 > cash Flow > cash From Operations
11500000
Quarters > 1 > cash Flow > capital Expenditures
18400000
Quarters > 1 > cash Flow > cash From Investing
-29600000
Quarters > 1 > cash Flow > cash From Financing
-
Quarters > 1 > cash Flow > net Change In Cash
-19100000
Quarters > 1 > ratios > PE
0.015662496356767152
Quarters > 1 > ratios > PB
3.2562552112879883
Quarters > 1 > ratios > ROE
8.321273516642547
Quarters > 1 > ratios > ROA
0.945179584120983
Quarters > 1 > ratios > FCF
-6900000
Quarters > 1 > ratios > Piotroski FScore
3
Quarters > 1 > ratios > fcf Percent
-0.01336950203448944
Quarters > 1 > health Score
35
Quarters > 2 > quarter
2024-12-31
Quarters > 2 > income Statement > revenue
566879000
Quarters > 2 > income Statement > cost Of Revenue
1333608000
Quarters > 2 > income Statement > gross Profit
566879000
Quarters > 2 > income Statement > operating Expenses
566879000
Quarters > 2 > income Statement > operating Income
225987000
Quarters > 2 > income Statement > interest Expense
35694621
Quarters > 2 > income Statement > pretax Income
49027000
Quarters > 2 > income Statement > net Income
24871000
Quarters > 2 > income Statement > eps
0.017189400641380075
Quarters > 2 > income Statement > dividends Per Share
29139000
Quarters > 2 > income Statement > shares Outstanding
1446880000
Quarters > 2 > income Statement > income Tax Expense
23581000
Quarters > 2 > income Statement > EBITDA
103638000
Quarters > 2 > income Statement > operating Margin
39.865121128141986
Quarters > 2 > income Statement > total Other Income Expense Net
-176960000
Quarters > 2 > balance Sheet > cash
551275000
Quarters > 2 > balance Sheet > short Term Investments
17337000
Quarters > 2 > balance Sheet > receivables
353972000
Quarters > 2 > balance Sheet > inventories
25606000
Quarters > 2 > balance Sheet > total Current Assets
1050004000
Quarters > 2 > balance Sheet > property Plant Equipment
524608000
Quarters > 2 > balance Sheet > total Assets
2430159000
Quarters > 2 > balance Sheet > payables
127503000
Quarters > 2 > balance Sheet > short Term Debt
262602000
Quarters > 2 > balance Sheet > long Term Debt
767109000
Quarters > 2 > balance Sheet > total Liabilities
2166322000
Quarters > 2 > balance Sheet > equity
222705000
Quarters > 2 > cash Flow > net Income
-183754000
Quarters > 2 > cash Flow > depreciation
22892000
Quarters > 2 > cash Flow > change In Working Capital
35434000
Quarters > 2 > cash Flow > cash From Operations
128380000
Quarters > 2 > cash Flow > capital Expenditures
34017000
Quarters > 2 > cash Flow > cash From Investing
59004000
Quarters > 2 > cash Flow > cash From Financing
207954000
Quarters > 2 > cash Flow > net Change In Cash
1205775000
Quarters > 2 > ratios > PE
0.017189400641380075
Quarters > 2 > ratios > PB
3.9819166700343502
Quarters > 2 > ratios > ROE
11.167688197391168
Quarters > 2 > ratios > ROA
1.0234309771500547
Quarters > 2 > ratios > FCF
94363000
Quarters > 2 > ratios > Piotroski FScore
4
Quarters > 2 > ratios > fcf Percent
0.1664605674226775
Quarters > 2 > health Score
52
Quarters > 3 > quarter
2024-09-30
Quarters > 3 > income Statement > revenue
524905000
Quarters > 3 > income Statement > cost Of Revenue
645613000
Quarters > 3 > income Statement > gross Profit
524905000
Quarters > 3 > income Statement > operating Expenses
-20423000
Quarters > 3 > income Statement > operating Income
-100285000
Quarters > 3 > income Statement > interest Expense
10553000
Quarters > 3 > income Statement > pretax Income
46818000
Quarters > 3 > income Statement > net Income
25930000
Quarters > 3 > income Statement > eps
0.017921320358288178
Quarters > 3 > income Statement > dividends Per Share
14902000
Quarters > 3 > income Statement > shares Outstanding
1446880000
Quarters > 3 > income Statement > income Tax Expense
20157000
Quarters > 3 > income Statement > EBITDA
94925000
Quarters > 3 > income Statement > operating Margin
-19.10536192263362
Quarters > 3 > income Statement > total Other Income Expense Net
147103000
Quarters > 3 > balance Sheet > cash
276000000
Quarters > 3 > balance Sheet > short Term Investments
6300000
Quarters > 3 > balance Sheet > receivables
473500000
Quarters > 3 > balance Sheet > inventories
29200000
Quarters > 3 > balance Sheet > total Current Assets
785000000
Quarters > 3 > balance Sheet > property Plant Equipment
507300000
Quarters > 3 > balance Sheet > total Assets
2155800000
Quarters > 3 > balance Sheet > payables
412200000
Quarters > 3 > balance Sheet > short Term Debt
307200000
Quarters > 3 > balance Sheet > long Term Debt
813800000
Quarters > 3 > balance Sheet > total Liabilities
1923300000
Quarters > 3 > balance Sheet > equity
232500000
Quarters > 3 > cash Flow > net Income
235861000
Quarters > 3 > cash Flow > depreciation
37554000
Quarters > 3 > cash Flow > change In Working Capital
-28009000
Quarters > 3 > cash Flow > cash From Operations
73415000
Quarters > 3 > cash Flow > capital Expenditures
19401000
Quarters > 3 > cash Flow > cash From Investing
-113552000
Quarters > 3 > cash Flow > cash From Financing
-55017000
Quarters > 3 > cash Flow > net Change In Cash
-917283000
Quarters > 3 > ratios > PE
0.017921320358288178
Quarters > 3 > ratios > PB
3.8141623741935486
Quarters > 3 > ratios > ROE
11.15268817204301
Quarters > 3 > ratios > ROA
1.2028017441321088
Quarters > 3 > ratios > FCF
54014000
Quarters > 3 > ratios > Piotroski FScore
4
Quarters > 3 > ratios > fcf Percent
0.10290242996351721
Quarters > 3 > health Score
46
Valuation > metrics > PE
15.3225
Valuation > metrics > PB
6.652934518010393
Valuation > final Score
50
Valuation > verdict
60.9% Overvalued
Profitability > metrics > ROE
16.95704560070371
Profitability > metrics > ROA
1.947462653116492
Profitability > metrics > Net Margin
0.046912545118048245
Profitability > final Score
47
Profitability > verdict
Weak
Risk > metrics > Debt Equity
16.846980034446307
Risk > metrics > Interest Coverage
0
Risk > final Score
6
Risk > verdict
High
Liquidity > metrics > Current Ratio
0.9454964738820046
Liquidity > metrics > Quick Ratio
0.9194434946213256
Liquidity > final Score
56
Liquidity > verdict
Weak
Prev Valuations > 0
67.43744788712011
Prev Valuations > 1
60.1808332996565
Prev Valuations > 2
61.85837625806451
Prev Profitabilities > 0
30
Prev Profitabilities > 1
36
Prev Profitabilities > 2
40
Prev Risks > 0
46
Prev Risks > 1
31
Prev Risks > 2
-32
Prev Liquidities > 0
45
Prev Liquidities > 1
100
Prev Liquidities > 2
77
Updated At
2026-01-20T22:23:30.592Z
Prosegur Cash, S.A. provides integrated cash cycle management solutions and automating payments in retail establishments and ATM management for financial institutions, retail establishments, business, government agencies, central banks, mints, and jewellery stores in Europe, LATAM, and internationally. The company offers local and international transport and logistics services through land, sea, and air comprising collection, transport in armored vehicles, custody, and deposit services for funds and other valuables, including jewellery, artworks, precious metals, electronic devices, pharmaceutical products, voting ballots, and legal evidence. It also provides cash management and handling, and automation services consisting of counting, processing, reconditioning, securing storage, packaging, delivering, and recycling banknotes and coins, as well as cash flow monitoring and tracking systems and ATM replacement services; Cash Today, which automates payments in retail establishments; ATM management solutions comprising planning, loading, monitoring, first- and second-tier maintenance, and balancing services; cryptocurrency custody services; corresponding banking services, including collection and payment management, and payment of invoices; and foreign exchange currency, international payment, online foreign money, home delivery of travel money, local cash, money transfer, and tax refund services. In addition, the company offers added-value offshore system services; cash back services for purchases at the supermarket, online travel bookings, reservations, and gift card purchases; and digital wallets. It serves the hospitality, supermarket, retail, service station, hotel, transport, distribution, and shop sectors. The company was incorporated in 2016 and is headquartered in Madrid, Spain. Prosegur Cash, S.A. is a subsidiary of Prosegur Compañía de Seguridad, S.A.
Stock Price
$0.00
decrease compared to yesterday.
Dividend
Frequency:
Rate:
N/ANext Payout:
N/A(Last Updated 2025-06-30)
Health Score
Price to Earnings Ratio (P/E)
-
Very High
Low ≥ 50
High ≤ 10
Price to Book Ratio (P/B)
-
Very High
Low ≤ 1
High ≥ 3
Return on Equity (ROE)
-
Medium
Low ≤ 5%
High ≥ 25%
Return on Assets (ROA)
-
Very Low
Low ≤ 2%
High ≥ 10%
Free Cash Flow - Revenue % (FCF)
-
Very Low
Low ≤ 5%
High ≥ 15%
Debt to Equity
-
Very Low
Low ≥ 1
High ≤ 0.3
* Institutions hold a combined 0.00% of the total shares of Prosegur Cash S.A
* Investors data is estimated based on stocks listed on Finnton that are currently held by Institution/Fund.
No earnings data available.
(Last Updated 2025-06-30)
(Last Updated 2025-06-30)
Revenue
$ 0
Cost Of Revenue
$ 0
Gross Profit
$ 0
Operating Expenses
$ 0
Operating Income
$ 0
Interest Expense
$ 0
Pretax Income
$ 0
Net Income
$ 0
Income Tax Expense
$ 0
EBITDA
$ 0
Total Other Income Expense Net
$ 0
Earnings Per Share
0
Dividends Per Share
0
Shares Outstanding
0
Operating Margin
0%
(Last Updated 2025-06-30)
Cash
$ 0
Short Term Investments
$ 0
Receivables
$ 0
Inventories
$ 0
Total Current Assets
$ 0
Property Plant Equipment
$ 0
Total Assets
$ 0
Payables
$ 0
Short Term Debt
$ 0
Long Term Debt
$ 0
Total Liabilities
$ 0
Equity
$ 0
(Last Updated 2025-06-30)
Net Income
$ 0
Depreciation
$ 0
Change In Working Capital
$ 0
Cash From Operations
$ 0
Capital Expenditures
$ 0
Cash From Investing
$ 0
Cash From Financing
$ 0
Net Change In Cash
$ 0
Disclaimer: Finnton is a stock screener tool provided for informational and educational purposes only. The data, analysis, and insights offered on this website do not constitute financial, investment, tax, or legal advice. Users are solely responsible for their own investment decisions, and Finnton makes no guarantees regarding the accuracy, completeness, or reliability of the information provided. Past performance is not indicative of future results. Always conduct your own research and consult with a licensed financial advisor before making any investment decisions.