Prosegur Cash, S.A. (CASH.MC)

EUR 0.53

(1.52%)

Operating Expenses Summary of Prosegur Cash, S.A.

  • Prosegur Cash, S.A.'s latest annual operating expenses in 2023 was 361.94 Million EUR , down -10.85% from previous year.
  • Prosegur Cash, S.A.'s latest quarterly operating expenses in 2024 Q3 was 427.53 Million EUR , up 211.42% from previous quarter.
  • Prosegur Cash, S.A. reported a annual operating expenses of 405.98 Million EUR in annual operating expenses 2022, up 18.67% from previous year.
  • Prosegur Cash, S.A. reported a annual operating expenses of 342.11 Million EUR in annual operating expenses 2021, up 2.23% from previous year.
  • Prosegur Cash, S.A. reported a quarterly operating expenses of -426.7 Million EUR for 2024 Q1, down -231.45% from previous quarter.
  • Prosegur Cash, S.A. reported a quarterly operating expenses of -471.11 Million EUR for 2024 Q2, down -10.41% from previous quarter.

Annual Operating Expenses Chart of Prosegur Cash, S.A. (2023 - 2014)

Historical Annual Operating Expenses of Prosegur Cash, S.A. (2023 - 2014)

Year Operating Expenses Operating Expenses Growth
2023 361.94 Million EUR -10.85%
2022 405.98 Million EUR 18.67%
2021 342.11 Million EUR 2.23%
2020 334.65 Million EUR -2.39%
2019 342.84 Million EUR 3.64%
2018 330.8 Million EUR -0.07%
2017 331.03 Million EUR 8.27%
2016 305.75 Million EUR -7.32%
2015 329.89 Million EUR 16.73%
2014 282.62 Million EUR 0.0%

Peer Operating Expenses Comparison of Prosegur Cash, S.A.

Name Operating Expenses Operating Expenses Difference
Compañía de Distribución Integral Logista Holdings, S.A. 548.2 Million EUR 33.976%