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PSG:BME
Prosegur Compania de Seguridad SA
€ २.८८
-१.०३%
(-०.०३०) 1D
अक्टोबर १, १७:३६:०० GMT+२  ·   EUR
All symbols
SymbolPriceChange% Change
Generating top insights for PSG...
Open
€ २.८९
High
€ २.९२
Low
€ २.८६
Mkt. cap
१.५८ अरब
Avg. vol.
१.४९ लाख
Volume
१.५१ लाख
P/E ratio
१२.३९
52-wk high
€ ३.३५
52-wk low
€ २.४४
EPS
€ ०.२३
Shares outstanding
५४.५० करोड
No. of employees
२ लाख
Open
€ २.८९
High
€ २.९२
Low
€ २.८६
Mkt. cap
१.५८ अरब
Avg. vol.
१.४९ लाख
Volume
१.५१ लाख
P/E ratio
१२.३९
52-wk high
€ ३.३५
52-wk low
€ २.४४
EPS
€ ०.२३
Shares outstanding
५४.५० करोड
No. of employees
२ लाख
News stories
From web sources and news partners
Fox Business
Fox Business
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Yahoo Finance
Yahoo Finance
·
२ घण्टा पहिले
Why this analyst sees 15% upside for the S&P 500
Profile
Prosegur Compañía de Seguridad, S.A is a multinational security company, headquartered in Madrid, Spain. Wikipedia
About Prosegur Compania de Seguridad SA
CEOChristian Gut Revoredo
Employees१.७६ लाख
Founded१९७६
Headquarters-
SectorAlarm Services
Last report
२०२६ जुलाई ३१
Fiscal period
Q2 2026
EPS / Est. (EUR)
- / € ०.०५
Revenue / Est. (EUR)
१.३२ अरब / १.२८ अरब
Fiscal Q2 2026 earnings call
Waiting for the earnings call
At a glance
Insights from the latest news and reports
Previous reportsAll values in EUR
Loading Previous Earnings...
Revenue
Net income
All values in EUR
२०२५ सेप्टेम्बर
२०२५ डिसेम्बर
२०२६ मार्च
२०२६ जुन
Revenue
१.२१ अरब
१.२६ अरब
१.२७ अरब
१.३२ अरब
Cost of goods sold
१.३८ अरब
५१.१९ करोड
१.१३ अरब
८५.९४ करोड
Cost of revenue
१.३८ अरब
५१.१९ करोड
१.१३ अरब
८५.९४ करोड
Research and development expenses
-
-
-
-
Total research and development expenses
-
-
-
-
Selling, general, and admin expenses
-४४.१९ करोड
८४.२७ करोड
-
४४.४३ करोड
Operating expense
-२४.९१ करोड
६५.९९ करोड
६.१९ करोड
३८.५३ करोड
Total operating expenses
१.१४ अरब
१.१७ अरब
१.२० अरब
१.२४ अरब
Operating income
६.९७ करोड
८.६३ करोड
७.९० करोड
७.५० करोड
Other non operating income
१.४० करोड
-३.६२ करोड
-
-१.८७ करोड
EBT including unusual items
५.७१ करोड
६.६६ करोड
६.४५ करोड
५.०० करोड
EBT excluding unusual items
४.७७ करोड
६.४८ करोड
६.४५ करोड
५.९० करोड
Income tax expense
२.५१ करोड
२.३० करोड
२.७१ करोड
२.०८ करोड
Effective tax rate
४३.९२%
३४.५१%
४२.०२%
४१.५७%
Other operating expenses
१.९५ करोड
-९४.६३ लाख
-
२९.३४ लाख
Net income
२.७८ करोड
३.७३ करोड
३.२७ करोड
२.४५ करोड
Net profit margin
२.३०%
२.९७%
२.५७%
१.८६%
Earnings per share
०.१०
-
-
-
Interest and investment income
-
२.९६ करोड
-
१.२९ करोड
Interest expense
-३.१६ करोड
-१.६६ करोड
-१.८४ करोड
-१.३८ करोड
Net interest expenses
-३.१६ करोड
१.३० करोड
-१.८४ करोड
-९.५५ लाख
Depreciation and amortization charges
१५.१० करोड
-१७.३३ करोड
५.४४ करोड
-६.१९ करोड
EBITDA
१४.८६ करोड
१२.१० करोड
१४.०९ करोड
११.३७ करोड
Gain or loss from assets sale
-३३.६१ लाख
९१.२१ लाख
-
१.१० करोड
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