Prosegur Cash, S.A. Logo

Prosegur Cash, S.A.

CASH.MC

(1.5)
Stock Price

0,51 EUR

4.49% ROA

32.04% ROE

16.3x PER

Market Cap.

842.425.396,00 EUR

577.93% DER

4.55% Yield

3.4% NPM

Prosegur Cash, S.A. Stock Analysis

Prosegur Cash, S.A. Fundamental Analysis

Fundamental analysis in stock investing is like studying the foundation of a house before buying it. It involves looking at a company's financial health, like its earnings, assets, and debts, to determine if it's a good investment based on its fundamental strength and potential for growth.

Prosegur Cash, S.A. Fundamental Stock Analysis
# Analysis Rating
1 ROE

The stock's ROE exceeds expectations (46.42%), revealing strong profitability and efficient use of shareholders' equity, making it an attractive investment opportunity.

2 Dividend

Investors can take comfort in the company's unwavering commitment to dividends, as it has consistently distributed payouts over the past five years, ensuring a reliable income stream.

3 ROA

The stock's ROA (6.14%) shows that it's doing a pretty good job at making money from its assets, making it a solid choice to invest and earn steady profits.

4 Buffet Intrinsic Value

Based on Warren Buffett's formula, the company's stock appears undervalued (18), presenting an attractive investment chance with its intrinsic value surpassing the current market price.

5 PBV

The stock's elevated P/BV ratio (4.14x) raises concerns about its overvaluation, making it an imprudent choice for investors seeking value.

6 DER

The company has a high debt to equity ratio (497%), which means it owes a lot of money compared to what it actually owns, making it financially risky.

7 Revenue Growth

Company's revenue has stayed stagnant, showing no signs of improvement and making it a less favorable choice.

8 Net Profit Growth

Despite the passage of five years, this company's net profit has not shown any improvement, highlighting a lack of growth and making it a less appealing investment prospect.

9 Assets Growth

Company has experienced no growth in revenue over the past three years, suggesting limited profitability and making it a less desirable investment opportunity.

10 Graham Number

The company's Graham number suggests that its stock price is overestimated, implying that it may not be a promising investment opportunity.

11 Dividend Growth

Investors should note the company's stagnant dividend growth over the past three years, indicating limited profitability and potentially diminishing returns.

Prosegur Cash, S.A. Technical Analysis

Technical analysis in stock investing is like reading the patterns on a weather map to predict future weather conditions. It involves studying past stock price movements and trading volumes to make predictions about where a stock's price might go next, without necessarily looking at the company's financial health.

Prosegur Cash, S.A. Technical Stock Analysis
# Analysis Recommendation
1 Awesome Oscillator Hold
2 MACD Buy
3 RSI Hold
4 Stoch RSI Sell

Prosegur Cash, S.A. Price Chart

Financial Statements

Financial statements are like report cards for companies. They show how much money a company makes (income statement), what it owns and owes (balance sheet), and where it spends its money (cash flow statement), helping stock investors understand if a company is healthy and worth investing in.

Income Statements

An income statement for a company is like a scoreboard for its profits and losses. It shows how much money the company made (revenue) and how much it spent to make that money (expenses), helping stock investors see if a company is making a profit or not.

Revenue in stock investing is the total amount of money a company earns from its sales, and it's a key factor that investors consider to assess a company's financial performance and growth potential.

Prosegur Cash, S.A. Revenue
Year Revenue Growth
2014 1.663.140.000
2015 1.746.265.000 4.76%
2016 1.724.258.000 -1.28%
2017 1.924.258.000 10.39%
2018 1.731.605.000 -11.13%
2019 1.798.654.000 3.73%
2020 1.507.517.000 -19.31%
2021 1.518.813.000 0.74%
2022 1.872.179.000 18.87%
2023 2.073.872.000 9.73%
2023 1.861.278.000 -11.42%
2024 2.110.380.000 11.8%

Research and Development Expenses are the costs a company incurs to create and improve its products or services, which can be important for investors to evaluate a company's innovation and potential for future growth.

Prosegur Cash, S.A. Research and Development Expenses
Year Research and Development Expenses Growth
2014 0
2015 0 0%
2016 0 0%
2017 0 0%
2018 0 0%
2019 0 0%
2020 0 0%
2021 0 0%
2022 0 0%
2023 0 0%
2023 0 0%
2024 0 0%

General and Administrative Expenses are the costs a company incurs to run its day-to-day operations, such as office rent, salaries, and utilities, which investors consider to understand a company's overall efficiency and management effectiveness.

Prosegur Cash, S.A. General and Administrative Expenses
Year General and Administrative Expenses Growth
2014 0
2015 0 0%
2016 0 0%
2017 0 0%
2018 0 0%
2019 0 0%
2020 152.156.000 100%
2021 170.192.000 10.6%
2022 199.343.000 14.62%
2023 0 0%
2023 206.099.000 100%
2024 0 0%

EBITDA stands for Earnings Before Interest, Taxes, Depreciation, and Amortization. It is a measure that helps stock investors analyze a company's profitability by looking at its earnings without considering certain expenses. This helps to get a clearer picture of the company's financial performance and its ability to generate cash flow.

Prosegur Cash, S.A. EBITDA
Year EBITDA Growth
2014 353.879.000
2015 409.675.000 13.62%
2016 405.069.000 -1.14%
2017 446.670.000 9.31%
2018 354.377.000 -26.04%
2019 393.753.000 10%
2020 242.236.000 -62.55%
2021 264.145.000 8.29%
2022 338.228.000 21.9%
2023 173.968.000 -94.42%
2023 328.866.000 47.1%
2024 169.252.000 -94.31%

Gross profit is the money a company makes from selling its products or services after subtracting the cost of producing or providing them, and it is an important measure for investors to understand a company's profitability.

Prosegur Cash, S.A. Gross Profit
Year Gross Profit Growth
2014 556.958.000
2015 625.638.000 10.98%
2016 626.927.000 0.21%
2017 693.514.000 9.6%
2018 599.890.000 -15.61%
2019 634.811.000 5.5%
2020 496.581.000 -27.84%
2021 509.318.000 2.5%
2022 639.883.000 20.4%
2023 2.073.872.000 69.15%
2023 558.566.000 -271.29%
2024 2.110.380.000 73.53%

Net income in stock investing is like the money a company actually gets to keep as profit after paying all its bills, and it's an important measure to understand how well a company is doing financially.

Prosegur Cash, S.A. Net Profit
Year Net Profit Growth
2014 170.420.000
2015 179.332.000 4.97%
2016 178.324.000 -0.57%
2017 304.874.000 41.51%
2018 174.217.000 -75%
2019 168.942.000 -3.12%
2020 15.892.000 -963.06%
2021 33.158.000 52.07%
2022 94.389.000 64.87%
2023 103.180.000 8.52%
2023 62.933.000 -63.95%
2024 82.280.000 23.51%

EPS, or earnings per share, is a measure that shows how much profit a company has earned for each outstanding share of its stock, and it is important for stock investors as it helps understand the profitability of a company and compare it with other companies in the market.

Prosegur Cash, S.A. Earning per Share (EPS)
Year Earning per Share (EPS) Growth
2014 0
2015 0 0%
2016 0 0%
2017 0 0%
2018 0 0%
2019 0 0%
2020 0 0%
2021 0 0%
2022 0 0%
2023 0 0%
2023 0 0%
2024 0 0%

Cashflow Statements

Cashflow statements show the movement of money in and out of a company, helping stock investors understand how much money a company makes and spends. By examining cashflow statements, investors can assess if a company is generating enough cash to pay its bills, invest in growth, and provide returns to stockholders.

Free cash flow is the leftover cash that a company generates after covering its operating expenses and capital expenditures, which is important for stock investors as it shows how much money a company has available to invest in growth, pay dividends, or reduce debt.

Prosegur Cash, S.A. Free Cashflow
Year Free Cashflow Growth
2014 158.301.000
2015 168.972.000 6.32%
2016 162.602.000 -3.92%
2017 78.014.000 -108.43%
2018 123.056.000 36.6%
2019 208.549.000 40.99%
2020 167.666.000 -24.38%
2021 173.846.000 3.55%
2022 173.991.000 0.08%
2023 74.797.000 -132.62%
2023 146.081.000 48.8%
2024 28.886.000 -405.72%

Operating cash flow represents the cash generated or consumed by a company's day-to-day operations, excluding external investing or financing activities, and is crucial for stock investors as it shows how much cash a company is generating from its core business operations.

Prosegur Cash, S.A. Operating Cashflow
Year Operating Cashflow Growth
2014 249.413.000
2015 242.612.000 -2.8%
2016 258.939.000 6.31%
2017 182.503.000 -41.88%
2018 225.687.000 19.13%
2019 313.039.000 27.9%
2020 237.373.000 -31.88%
2021 241.071.000 1.53%
2022 250.783.000 3.87%
2023 100.476.000 -149.59%
2023 252.085.000 60.14%
2024 54.885.000 -359.3%

Capex, short for capital expenditures, refers to the money a company spends on acquiring or upgrading tangible assets like buildings, equipment, or technology, which is important for stock investors as it indicates how much a company is investing in its infrastructure to support future growth and profitability.

Prosegur Cash, S.A. Capital Expenditure
Year Capital Expenditure Growth
2014 91.112.000
2015 73.640.000 -23.73%
2016 96.337.000 23.56%
2017 104.489.000 7.8%
2018 102.631.000 -1.81%
2019 104.490.000 1.78%
2020 69.707.000 -49.9%
2021 67.225.000 -3.69%
2022 76.792.000 12.46%
2023 25.679.000 -199.05%
2023 106.004.000 75.78%
2024 25.999.000 -307.72%

Balance Sheet

Balance sheets provide a snapshot of a company's financial health and its assets (such as cash, inventory, and property) and liabilities (like debts and obligations) at a specific point in time. For stock investors, balance sheets help assess the company's overall worth and evaluate its ability to meet financial obligations and support future growth.

Equity refers to the ownership interest or stake that shareholders have in a company, representing their claim on its assets and earnings after all debts and liabilities are paid.

Prosegur Cash, S.A. Equity
Year Equity Growth
2014 1.150.853.000
2015 957.147.000 -20.24%
2016 185.473.000 -416.06%
2017 263.789.000 29.69%
2018 237.991.000 -10.84%
2019 243.633.000 2.32%
2020 80.235.000 -203.65%
2021 76.232.000 -5.25%
2022 148.124.000 48.54%
2023 228.400.000 35.15%
2023 154.142.000 -48.18%
2024 225.823.000 31.74%

Assets represent the valuable resources that a company owns, such as cash, inventory, property, and equipment, and understanding a company's assets helps investors assess its value and potential for generating future profits.

Prosegur Cash, S.A. Assets
Year Assets Growth
2014 2.302.235.000
2015 2.162.785.000 -6.45%
2016 1.935.488.000 -11.74%
2017 1.706.753.000 -13.4%
2018 1.706.266.000 -0.03%
2019 1.934.315.000 11.79%
2020 1.820.464.000 -6.25%
2021 1.731.756.000 -5.12%
2022 2.130.081.000 18.7%
2023 2.124.800.000 -0.25%
2023 1.989.562.000 -6.8%
2024 2.190.179.000 9.16%

Liabilities refer to the financial obligations or debts that a company owes to creditors or external parties, and understanding a company's liabilities is important for investors as it helps assess the company's financial risk and ability to meet its obligations.

Prosegur Cash, S.A. Liabilities
Year Liabilities Growth
2014 1.151.382.000
2015 1.205.638.000 4.5%
2016 1.750.015.000 31.11%
2017 1.442.964.000 -21.28%
2018 1.468.275.000 1.72%
2019 1.690.682.000 13.15%
2020 1.740.229.000 2.85%
2021 1.655.524.000 -5.12%
2022 1.981.957.000 16.47%
2023 1.896.400.000 -4.51%
2023 1.835.420.000 -3.32%
2024 1.964.356.000 6.56%

Prosegur Cash, S.A. Financial Ratio (TTM)

Valuation Metrics

Revenue per Share
1.06
Net Income per Share
0.04
Price to Earning Ratio
16.3x
Price To Sales Ratio
0.45x
POCF Ratio
3.97
PFCF Ratio
5.43
Price to Book Ratio
5.61
EV to Sales
0.88
EV Over EBITDA
9.83
EV to Operating CashFlow
6.31
EV to FreeCashFlow
10.65
Earnings Yield
0.06
FreeCashFlow Yield
0.18
Market Cap
0,84 Bil.
Enterprise Value
1,65 Bil.
Graham Number
0.29
Graham NetNet
-0.95

Income Statement Metrics

Net Income per Share
0.04
Income Quality
0.91
ROE
0.32
Return On Assets
0.03
Return On Capital Employed
0.1
Net Income per EBT
0.55
EBT Per Ebit
0.77
Ebit per Revenue
0.08
Effective Tax Rate
0.44

Margins

Sales, General, & Administrative to Revenue
0
Research & Developement to Revenue
0
Stock Based Compensation to Revenue
0
Gross Profit Margin
1
Operating Profit Margin
0.08
Pretax Profit Margin
0.06
Net Profit Margin
0.03

Dividends

Dividend Yield
0.05
Dividend Yield %
4.55
Payout Ratio
0.31
Dividend Per Share
0.03

Operating Metrics

Operating Cashflow per Share
0.15
Free CashFlow per Share
0.09
Capex to Operating CashFlow
0.41
Capex to Revenue
0.06
Capex to Depreciation
1.6
Return on Invested Capital
0.07
Return on Tangible Assets
0.04
Days Sales Outstanding
0
Days Payables Outstanding
0
Days of Inventory on Hand
0
Receivables Turnover
0
Payables Turnover
0
Inventory Turnover
0
Capex per Share
0.06

Balance Sheet

Cash per Share
0,15
Book Value per Share
0,13
Tangible Book Value per Share
-0.31
Shareholders Equity per Share
0.1
Interest Debt per Share
0.63
Debt to Equity
5.78
Debt to Assets
0.49
Net Debt to EBITDA
4.81
Current Ratio
1.06
Tangible Asset Value
-0,54 Bil.
Net Current Asset Value
-1,17 Bil.
Invested Capital
1328795000
Working Capital
0,05 Bil.
Intangibles to Total Assets
0.35
Average Receivables
0,00 Bil.
Average Payables
0,40 Bil.
Average Inventory
27125000
Debt to Market Cap
1.27

Dividends

Dividends in stock investing are like rewards that companies give to their shareholders. They are a portion of the company's profits distributed to investors, typically in the form of cash payments, as a way for them to share in the company's success.

Prosegur Cash, S.A. Dividends
Year Dividends Growth
2017 0
2018 0 0%
2019 0 0%
2020 0 0%
2021 0 0%
2022 0 0%
2023 0 0%
2024 0 0%

Prosegur Cash, S.A. Profile

About Prosegur Cash, S.A.

Prosegur Cash, S.A., together with its subsidiaries, provides cash cycle management solutions and automating payments in retail establishments, ATM management for financial institutions, business, government agencies, central banks, mints, and jewellery stores. The company offers national and international transport services, including collection, transport, custody, and deposit services for funds and other valuables that include jewellery, artworks, precious metals, electronic devices, voting ballots, and legal evidence. It also provides cash processing and automation services, such as counting, processing, and packaging, as well as coin recycling, cash flow control, and monitoring systems; ATM solutions comprising planning, loading, monitoring, first- and second-tier maintenance, and balancing services; and cash planning and forecasting services. In addition, the company offers self-service cash machines that provide cash deposit, recycling, bank notes and coins dispensing, and collection, payment management, invoice payments services; and added-value outsourcing services for banks, such as multiagency, cheque processing, and related administrative services, as well as teller outsourcing service. It serves in Spain, Portugal, Germany, Luxembourg, Argentina, Brazil, Chile, Peru, Uruguay, Paraguay, Colombia, the Philippines, Guatemala, El Salvador, Honduras, Nicaragua, Costa Rica, Ecuador, Mexico, India, Singapore, Indonesia, and Australia. 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.

CEO
Mr. José Antonio Lasanta Luri
Employee
50.791
Address
Calle Santa Sabina, 8
Madrid, 28007

Prosegur Cash, S.A. Executives & BODs

Prosegur Cash, S.A. Executives & BODs
# Name Age
1 Mr. Javier Hergueta Vázquez
Chief Financial Officer
70
2 Mr. Juan Luis Martín Carrera
Human Resources Director
70
3 Mr. José Antonio Lasanta Luri
Chief Executive Officer & Executive Director
70
4 Ms. Renata Mendaña Navarro
Secretary
70
5 Mr. Christian Gut Revoredo
Executive Chairman
70

Prosegur Cash, S.A. Competitors