Prosegur Cash SA
MAD:CASH

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Prosegur Cash SA Logo
Prosegur Cash SA
MAD:CASH
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Price: 0.644 EUR 0.63%
Market Cap: €956.3m

Operating Margin

10.6%
Current
Declining
by 0.5%
vs 3-y average of 11.1%

Operating Margin shows how much profit a company makes from its regular business activities after covering operating costs. It helps measure how efficiently the company turns sales into profit.

Operating Margin
10.6%
=
Operating Income
€328.3m
/
Revenue
€3.1B

Operating Margin shows how much profit a company makes from its regular business activities after covering operating costs. It helps measure how efficiently the company turns sales into profit.

Operating Margin
10.6%
=
Operating Income
€328.3m
/
Revenue
€3.1B

Peer Comparison

Country Company Market Cap Operating
Margin
ES
Prosegur Cash SA
MAD:CASH
943.5m EUR
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JP
Secom Co Ltd
TSE:9735
2.8T JPY
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UK
Verisure PLC
STO:VSURE
12.1B EUR
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SE
Securitas AB
STO:SECU B
91.3B SEK
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US
Brinks Co
NYSE:BCO
5.3B USD
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JP
Sohgo Security Services Co Ltd
TSE:2331
565.7B JPY
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SE
Loomis AB
STO:LOOMIS
28B SEK
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US
Geo Group Inc
NYSE:GEO
2.2B USD
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KR
S1 Corp
KRX:012750
2.9T KRW
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US
CoreCivic Inc
NYSE:CXW
2B USD
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ES
Prosegur Compania de Seguridad SA
MAD:PSG
1.5B EUR
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Market Distribution

In line with most companies in Spain
Percentile
47th
Based on 751 companies
47th percentile
10.6%
Low
-2 951.2% — 4.9%
Typical Range
4.9% — 19.6%
High
19.6% — 143.7%
Distribution Statistics
Spain
Min -2 951.2%
30th Percentile 4.9%
Median 12%
70th Percentile 19.6%
Max 143.7%

Prosegur Cash SA
Glance View

Prosegur Cash SA offers logistics, cash management and outsourcing services. The company is headquartered in Madrid, Madrid and currently employs 42,366 full-time employees. The company went IPO on 2017-03-17. The Company’s activities are divided into three business areas: Logistics, Cash management and Outsourcing. The Logistics division focuses on the provision of local and international transport services of cash and other valuable goods. The Cash management division offers counting, processing, custody, preparation and delivery of notes and coins, as well as replenishment of automatic teller machines (ATMs). The Outsourcing division includes a number of support financial services, such as automation of retail operations through self-service cash automatization machines (MAEs), ATMs management, as well as branch forecasting, reconciliation, settlement and credit card support services. The firm operates through own branches and joint ventures in Europe, Central and South America, Africa, Asia and Australia. The company operates through Contesta Teleservicios SAU.

CASH Intrinsic Value
1.224 EUR
Undervaluation 47%
Intrinsic Value
Price
What is Operating Margin?
Operating Margin shows how much profit a company makes from its regular business activities after covering operating costs. It helps measure how efficiently the company turns sales into profit.
How is Operating Margin calculated?

Operating Margin is calculated by dividing the Operating Income by the Revenue.

Operating Margin
10.6%
=
Operating Income
€328.3m
/
Revenue
€3.1B
What is Prosegur Cash SA's current Operating Margin?

The current Operating Margin for Prosegur Cash SA is 10.6%, which is below its 3-year median of 11.1%.

How has Operating Margin changed over time?

Over the last 3 years, Prosegur Cash SA’s Operating Margin has decreased from 11.8% to 10.6%. During this period, it reached a low of 9.8% on Sep 30, 2024 and a high of 12.7% on Dec 31, 2022.

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