Valuation: Prosegur Cash SA

Market Cap 93Cr 106.68Cr 86Cr 79Cr 150.83Cr 10TCr 153.37Cr 1.03TCr 403.84Cr 5.01TCr 400.54Cr 391.83Cr 17TCr P/E 2026 *
8.91x
P/E 2027 * 8.02x
Enterprise Value 175.74Cr 200.91Cr 162.1Cr 149.71Cr 284.08Cr 19TCr 288.86Cr 1.94TCr 760.58Cr 9.44TCr 754.37Cr 737.96Cr 32TCr EV / Sales 2026 *
0.85x
EV / Sales 2027 * 0.8x
Free-Float
13.06%
Yield 2026 *
6.6%
Yield 2027 * 7.43%
Manager TitleAgeSince
Chief Executive Officer - 19/12/2016
Director of Finance/CFO - -
Corporate Secretary - -
Director TitleAgeSince
Chairman - 19/12/2016
Director/Board Member - 19/12/2016
Director/Board Member 70 03/02/2017
Change 5-day change 1-year change 3-year change Capi.($)
-.--%-.--% - - 106.68Cr
-1.16%+0.75%+25.99%+41.30% 1.64TCr
-0.87%-1.25% - - 1.21TCr
0.00%-0.85%+12.28%+86.41% 966.96Cr
+0.50%+2.06% - - 452.55Cr
+1.36%+0.73%+17.51%+322.61% 399.64Cr
+0.20%-0.08%+21.00%+58.38% 334.72Cr
+1.25%+13.21%-14.64%-43.33% 191.32Cr
+0.18%-0.18%-8.65%+71.78% 170.53Cr
+2.69%-1.84%-11.30%+23.61% 113.16Cr
Average +0.42%+1.23%+6.03%+80.11% 609.54Cr
Weighted average by Cap. -0.28%+0.32%+16.51%+80.23%

Financials

2026 *2027 *
Net sales 206.84Cr 236.47Cr 190.79Cr 176.21Cr 334.35Cr 23TCr 339.98Cr 2.28TCr 895.19Cr 11TCr 887.89Cr 868.57Cr 38TCr 215Cr 245.8Cr 198.31Cr 183.16Cr 347.55Cr 23TCr 353.39Cr 2.37TCr 930.51Cr 12TCr 922.92Cr 902.83Cr 40TCr
Net income 11Cr 13Cr 10Cr 9.35Cr 18Cr 1.2TCr 18Cr 121.01Cr 48Cr 589.78Cr 47Cr 46Cr 2.03TCr 12Cr 14Cr 11Cr 10Cr 19Cr 1.3TCr 20Cr 131.07Cr 51Cr 638.82Cr 51Cr 50Cr 2.2TCr
Net Debt 82Cr 94Cr 76Cr 70Cr 133.24Cr 8.99TCr 135.49Cr 908.44Cr 356.75Cr 4.43TCr 353.83Cr 346.13Cr 15TCr 79Cr 90Cr 73Cr 67Cr 127.95Cr 8.63TCr 130.1Cr 872.33Cr 342.57Cr 4.25TCr 339.77Cr 332.38Cr 15TCr
Logo Prosegur Cash SA
Prosegur Cash SA, formerly Prosegur Cit Holding SA, is a Spain-based company engaged in the provision of security services. The Company’s activities are divided into three business areas: Logistics, Cash management and Outsourcing. Its Logistics division focuses on the provision of local and international transport services of cash and other valuable goods. Its Cash management division offers counting, processing, custody, preparation and delivery of notes and coins, as well as replenishment of automatic teller machines (ATMs). The Company's outsourcing division includes a number of support financial services, such as automation of retail operations through self-service cash automatization machines (MAEs), ATMs management, as well as branch forecasting, reconciliation, settlement and credit card support services. The Company operates through own branches and joint ventures in Europe, Central and South America, Africa, Asia and Australia. It operates through Contesta Teleservicios SAU.
Employees
-
Trader
Investor
Global
Quality
ESG MSCI
BB