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Prosus N.V.

PROSF | OTC
Chart Builder DCF Calculator
$41.97
$0 (+0.01%)
At close: Sep 22, 2026, 4:00 PM ET
$41.97
$0 (-0.01%)
After-hours: Sep 23, 2026, 4:00 PM ET
TTM
Period Ending
Q4 2026
Mar 30, 2026
Q2 2026
Sep 29, 2025
Q4 2025
Mar 30, 2025
Q2 2025
Sep 29, 2024
Q4 2024
Mar 30, 2024
Q2 2024
Sep 29, 2023
Q4 2023
Mar 30, 2023
Q2 2023
Sep 29, 2022
Q4 2022
Mar 30, 2022
Q2 2022
Sep 29, 2021
Q4 2021
Mar 30, 2021
Q2 2021
Sep 29, 2020
Cash & Equivalents
6.7B 18.85B 7.11B 9.93B 2.18B 2.68B 9.57B 8.48B 9.65B 6.19B 3.24B 3.66B
Short-Term Investments
5.88B 3.35B 11.79B 8.36B 16.82B 17.25B 11.31B 7.39B 3.92B 7.49B 2.46B 6.29B
Long-Term Investments
48.05B 49.18B 48.44B 45.66B 37.36B 18.16B 38.86B 38.57B 50.58B 50.44B 42.39B 24.64B
Other Long-Term Assets
n/a 65.38M 48.44B 45.66B 499M 17.5B 430M 146M 559M 75M 2.85B 6.3B
Receivables
3.39B 2.69B 2.23B 1.98B 1.87B 1.35B 526M 1.22B 207M 891M 773M 702M
Inventory
271.75M 289M 255M 315M 268M 269M 324M 390M 470M 385M 321M 249M
Other Current Assets
3.28B 649M 699M 909M 921M 1.78B 1.65B 3.38B 1.02B 718M 641M 657M
Total Current Assets
19.52B 25.84B 22.08B 21.49B 22.05B 22.45B 23.37B 20.13B 15.27B 14.96B 7.15B 10.97B
Property-Plant & Equipment
920.53M 558M 493M 582M 555M 571M 620M 541M 604M 488M 443M 379M
Goodwill & Intangibles
10.46B 3.86B 1.55B 1.36B 1.35B 1.38B 1.78B 2.77B 4.3B 4.86B 2.88B 2.9B
Total Long-Term Assets
59.77B 53.76B 50.51B 47.62B 39.77B 37.63B 41.71B 42.04B 56.07B 55.88B 48.58B 34.23B
Total Assets
79.29B 79.6B 72.59B 69.11B 61.82B 60.08B 65.08B 62.16B 71.34B 70.84B 55.73B 45.2B
Account Payables
1.11B 968M 318M 354M 365M 327M 356M 332M 549M 391M 344M 369M
Deferred Revenue
n/a n/a n/a n/a -814M 2.99B 2.64B 2.75B 2.52B 3.13B 2.42B 2.21B
Short-Term Debt
2.02B 1.33B 1.35B 784M 542M 409M 547M 308M 365M 149M 157M 89M
Other Current Liabilities
4.75B 4.25B 2.74B 4.09B 1.81B 1.55B 1.41B 2.73B 1.3B 1.36B 1.55B 323M
Total Current Liabilities
8.02B 7.06B 6.23B 5.23B 4.62B 4.35B 4.41B 5.59B 4.41B 4.79B 4.01B 2.67B
Long-Term Debt
15.61B 16.35B 14.92B 15.64B 15.61B 15.44B 15.6B 15B 15.61B 10.5B 7.94B 5.66B
Other Long-Term Liabilities
293.81M 237M 92M 88M 101M 64M 195M 241M 575M 287M 422M 220M
Total Long-Term Liabilities
17.26B 17.12B 15.23B 15.93B 15.91B 15.72B 16.05B 15.5B 16.4B 11.38B 8.54B 6.23B
Total Liabilities
25.28B 24.17B 21.46B 21.16B 20.53B 20.07B 20.45B 21.09B 20.82B 16.17B 12.54B 8.9B
Total Debt
17.64B 17.82B 16.45B 16.55B 16.24B 15.99B 16.27B 15.47B 16.08B 10.88B 8.2B 5.84B
Book Value
54.02B 55.43B 51.13B 47.95B 41.29B 40.01B 44.63B 41.07B 50.52B 54.67B 43.19B 36.3B
Book Value Per Share
24.82 24.82 21.49 13.52 11.18 10.51 12.09 10.15 6.96 6.25 4.81 4.03
Common Stock
13.1B 17.67B 284M 21.74B 294M 29.14B 177M 39.17B 177M 39.19B 95M 613M
Retained Earnings
92.01B 85.9B 79.33B 25.43B 66.18B 62.83B 61.21B 53.72B 58.2B 54.21B 38.06B 33.4B
Comprehensive Income
n/a 6.51B n/a 3.84B -1.12B -48.07B -75M -48.47B -40.56B -35.67B 5.82B 2.08B
Shareholders Equity
53.93B 55.34B 51.05B 47.9B 41.26B 39.98B 44.59B 40.93B 50.42B 54.65B 43.07B 36.09B
Total Investments
53.92B 52.53B 60.23B 54.02B 54.18B 35.41B 50.17B 38.57B 54.51B 50.44B 44.85B 30.93B

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