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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 22, 2026, 4:00 PM ET
Fiscal Year
Period Ending
FY 2026
Mar 30, 2026
FY 2025
Mar 30, 2025
FY 2024
Mar 30, 2024
FY 2023
Mar 30, 2023
FY 2022
Mar 30, 2022
FY 2021
Mar 30, 2021
Net Income
11.62B 12.67B 7.02B 10.11B 18.73B 7.45B
Depreciation & Amortization
156.55M 146M 170M 190M 168M 204M
Stock-Based Compensation
n/a 176M 221M -48M 242M 729M
Other Working Capital
n/a -94M n/a 210M 96M -48M
Other Non-Cash Items
-10.17B -11.09B -6.26B -10.42B -19.51B -7.49B
Deferred Income Tax
n/a n/a n/a 36M 156M -574M
Change in Working Capital
n/a 10M -106M 29M -398M -155M
Operating Cash Flow
1.6B 1.92B 1.05B -120M -605M 159M
Capital Expenditures
-97.72M -106M -67M -229M -212M -105M
Cash Acquisitions
-7.25B 8.87B 7.4B 509M -1.88B -274M
Purchase of Investments
-18.6B -23.53B -13.87B -7.47B -9.37B -6.77B
Sales Maturities Of Investments
32.49B 26.62B 6.72B 18.3B 15.92B 4.05B
Other Investing Acitivies
345M -8M 4M 1.53B -67M -120M
Investing Cash Flow
6.77B 11.88B 209M 12.64B 4.39B -3.22B
Debt Repayment
-767.77M 67M -100M -3M 7.95B 4.44B
Common Stock Repurchased
-7.39B -8.42B -7.28B -10.52B -5B -1.42B
Dividend Paid
-506.53M -268M -199M -191M -238M -214M
Other Financial Acitivies
-171.5M -118M -540M -1.74B -375M -359M
Financial Cash Flow
-8.83B -8.74B -8.12B -12.45B 2.4B 2.45B
Net Cash Flow
-421.48M 4.91B -7.38B -91M 6.07B -587M
Free Cash Flow
1.51B 1.81B 978M -349M -817M 54M
Adj. Free Cash Flow
1.51B 1.64B 757M -301M -1.06B -675M
Maintenance CapEx
n/a -38.56M -67M -169.48M -200.59M n/a
Growth CapEx
-97.72M -67.44M n/a -59.52M -11.41M -105M
Owner Earnings
1.6B 1.88B 978M -289.48M -805.59M 159M

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