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PROSF PROSUS N.V.

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  • 41.668
  • 0.0000.00%
15min DelayClose Oct 31 16:00 ET
99.76BMarket Cap16.47P/E (TTM)

PROSUS N.V. Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q2)Sep 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
(Q2)Sep 30, 2022
(FY)Mar 31, 2022
(Q4)Mar 31, 2022
(Q2)Sep 30, 2021
(FY)Mar 31, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
-9.03%18.99B
-9.03%18.99B
25.52%19.93B
53.86%20.87B
53.86%20.87B
16.04%15.87B
124.88%13.57B
--13.57B
37.47%13.68B
-23.13%6.03B
-Cash and cash equivalents
-77.26%2.18B
-77.26%2.18B
-68.45%2.68B
-0.84%9.57B
-0.84%9.57B
37.07%8.48B
170.12%9.65B
--9.65B
68.91%6.19B
-10.93%3.57B
-Short-term investments
48.69%16.82B
48.69%16.82B
133.38%17.25B
188.42%11.31B
188.42%11.31B
-1.33%7.39B
59.26%3.92B
--3.92B
19.15%7.49B
-35.87%2.46B
-Accounts receivable
12.10%278M
12.10%278M
-0.84%475M
-32.97%248M
-32.97%248M
175.29%479M
146.67%370M
--370M
50.00%174M
35.14%150M
-Other receivables
25.33%1.59B
25.33%1.59B
18.02%871M
60.28%1.27B
60.28%1.27B
2.93%738M
27.29%793M
--793M
22.35%717M
10.66%623M
Inventory
-17.28%268M
-17.28%268M
-31.03%269M
-31.06%324M
-31.06%324M
1.30%390M
46.42%470M
--470M
54.62%385M
50.70%321M
Total current assets
-5.65%22.05B
-5.65%22.05B
11.56%22.45B
53.10%23.37B
53.10%23.37B
34.55%20.13B
113.65%15.27B
--15.27B
36.31%14.96B
-21.56%7.15B
Non current assets
Net PPE
-10.48%555M
-10.48%555M
5.55%571M
2.65%620M
2.65%620M
10.86%541M
36.34%604M
--604M
28.76%488M
17.51%443M
-Gross PPE
-9.02%827M
-9.02%827M
----
1.45%909M
1.45%909M
----
41.32%896M
--896M
----
29.65%634M
-Accumulated depreciation
5.88%-272M
5.88%-272M
----
1.03%-289M
1.03%-289M
----
-52.88%-292M
---292M
----
-70.54%-191M
Goodwill and other intangible assets
-23.95%1.35B
-23.95%1.35B
-49.98%1.38B
-58.63%1.78B
-58.63%1.78B
-43.05%2.77B
49.10%4.3B
--4.3B
67.70%4.86B
-4.28%2.88B
-Goodwill
-27.27%1.03B
-27.27%1.03B
-55.48%1.04B
-58.13%1.41B
-58.13%1.41B
-39.01%2.34B
60.42%3.37B
--3.37B
81.26%3.83B
-3.09%2.1B
-Other intangible assets
-11.17%326M
-11.17%326M
-20.05%343M
-60.45%367M
-60.45%367M
-58.15%429M
18.67%928M
--928M
31.07%1.03B
-7.35%782M
Financial assets
----
----
----
----
----
----
44.44%13M
--13M
----
-83.64%9M
Total non current assets
-4.64%39.77B
-4.64%39.77B
-10.50%37.63B
-25.62%41.71B
-25.62%41.71B
-24.77%42.04B
15.42%56.07B
--56.07B
63.26%55.88B
82.27%48.58B
Total assets
-5.00%61.82B
-5.00%61.82B
-3.36%60.08B
-8.78%65.08B
-8.78%65.08B
-12.24%62.16B
28.01%71.34B
--71.34B
56.72%70.84B
55.82%55.73B
Liabilities
Current liabilities
Payables
-0.07%1.5B
-0.07%1.5B
53.92%511M
1.01%1.5B
1.01%1.5B
-47.22%332M
30.43%1.48B
--1.48B
8.08%629M
47.28%1.14B
-accounts payable
2.53%365M
2.53%365M
-1.51%327M
-35.15%356M
-35.15%356M
-15.09%332M
59.59%549M
--549M
5.96%391M
18.21%344M
-Total tax payable
21.64%208M
21.64%208M
----
42.50%171M
42.50%171M
----
2.56%120M
--120M
----
77.27%117M
-Dividends payable
----
----
--184M
----
----
--0
----
----
11.74%238M
----
-Other payable
-4.84%924M
-4.84%924M
----
19.29%971M
19.29%971M
----
20.41%814M
--814M
----
62.89%676M
Current provisions
40.00%63M
40.00%63M
--63M
400.00%45M
400.00%45M
----
-43.75%9M
--9M
----
77.78%16M
Current debt and capital lease obligation
-0.80%497M
-0.80%497M
32.79%409M
48.22%501M
48.22%501M
106.71%308M
184.03%338M
--338M
3,625.00%149M
10.19%119M
-Current debt
1.12%452M
1.12%452M
32.79%409M
62.55%447M
62.55%447M
106.71%308M
323.08%275M
--275M
3,625.00%149M
-1.52%65M
-Current capital lease obligation
-16.67%45M
-16.67%45M
----
-14.29%54M
-14.29%54M
----
16.67%63M
--63M
----
28.57%54M
Other current liabilities
-10.60%810M
-10.60%810M
-71.68%625M
-19.54%906M
-19.54%906M
96.53%2.21B
-21.31%1.13B
--1.13B
1,221.18%1.12B
673.51%1.43B
Current liabilities
4.86%4.62B
4.86%4.62B
-22.26%4.35B
-0.18%4.41B
-0.18%4.41B
16.81%5.59B
10.13%4.41B
--4.41B
79.33%4.79B
86.63%4.01B
Non current liabilities
Long term provisions
33.33%4M
33.33%4M
----
-25.00%3M
-25.00%3M
----
0.00%4M
--4M
----
33.33%4M
Long term debt and capital lease obligation
-0.18%15.74B
-0.18%15.74B
2.72%15.58B
-0.59%15.77B
-0.59%15.77B
41.37%15.17B
96.25%15.86B
--15.86B
83.82%10.73B
117.58%8.08B
-Long term debt
-0.03%15.62B
-0.03%15.62B
2.80%15.44B
-0.27%15.62B
-0.27%15.62B
42.16%15.02B
98.02%15.66B
--15.66B
86.63%10.57B
124.02%7.91B
-Long term capital lease obligation
-16.00%126M
-16.00%126M
-5.44%139M
-25.00%150M
-25.00%150M
-9.82%147M
15.61%200M
--200M
-6.86%163M
-5.98%173M
Derivative product liabilities
----
----
----
----
----
----
-93.75%2M
--2M
----
1,500.00%32M
Other non current liabilities
-54.07%62M
-54.07%62M
-88.36%17M
-16.67%135M
-16.67%135M
-34.53%146M
161.29%162M
--162M
8.25%223M
-61.96%62M
Total non current liabilities
-0.86%15.91B
-0.86%15.91B
1.43%15.72B
-2.16%16.05B
-2.16%16.05B
36.20%15.5B
92.17%16.4B
--16.4B
82.61%11.38B
98.35%8.54B
Total liabilities
0.37%20.53B
0.37%20.53B
-4.85%20.07B
-1.74%20.45B
-1.74%20.45B
30.46%21.09B
65.96%20.82B
--20.82B
81.62%16.17B
94.45%12.54B
Shareholders'equity
Share capital
66.10%294M
66.10%294M
-25.61%29.14B
0.00%177M
0.00%177M
-0.06%39.17B
86.32%177M
--177M
6,293.47%39.19B
-84.32%95M
-common stock
66.10%294M
66.10%294M
-25.61%29.14B
0.00%177M
0.00%177M
-0.06%39.17B
86.32%177M
--177M
6,293.47%39.19B
-84.32%95M
Retained earnings
8.12%66.18B
8.12%66.18B
16.96%62.83B
5.17%61.21B
5.17%61.21B
-0.91%53.72B
52.93%58.2B
--58.2B
62.33%54.21B
25.12%38.06B
Paid-in capital
-37.92%24.22B
-37.92%24.22B
----
-0.01%39.01B
-0.01%39.01B
----
7,446.03%39.01B
--39.01B
----
--517M
Less: Treasury stock
-74.48%2.56B
-74.48%2.56B
12.29%3.92B
56.65%10.04B
56.65%10.04B
12.90%3.49B
352.75%6.41B
--6.41B
--3.09B
--1.42B
Other equity interest
15.17%4.43B
15.17%4.43B
12.95%4.05B
19.27%3.84B
19.27%3.84B
--3.58B
31.77%3.22B
--3.22B
----
--2.45B
Total stockholders'equity
-7.47%41.26B
-7.47%41.26B
-2.31%39.98B
-11.56%44.59B
-11.56%44.59B
-25.11%40.93B
17.07%50.42B
--50.42B
51.44%54.65B
48.00%43.07B
Noncontrolling interests
0.00%32M
0.00%32M
-79.86%29M
-68.63%32M
-68.63%32M
620.00%144M
-12.82%102M
--102M
-90.57%20M
-45.33%117M
Total equity
-7.47%41.29B
-7.47%41.29B
-2.59%40.01B
-11.67%44.63B
-11.67%44.63B
-24.87%41.07B
16.99%50.52B
--50.52B
50.61%54.67B
47.32%43.19B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
(FY)Mar 31, 2024(Q4)Mar 31, 2024(Q2)Sep 30, 2023(FY)Mar 31, 2023(Q4)Mar 31, 2023(Q2)Sep 30, 2022(FY)Mar 31, 2022(Q4)Mar 31, 2022(Q2)Sep 30, 2021(FY)Mar 31, 2021
Assets
Current assets
Cash, cash equivalents and short term investments -9.03%18.99B-9.03%18.99B25.52%19.93B53.86%20.87B53.86%20.87B16.04%15.87B124.88%13.57B--13.57B37.47%13.68B-23.13%6.03B
-Cash and cash equivalents -77.26%2.18B-77.26%2.18B-68.45%2.68B-0.84%9.57B-0.84%9.57B37.07%8.48B170.12%9.65B--9.65B68.91%6.19B-10.93%3.57B
-Short-term investments 48.69%16.82B48.69%16.82B133.38%17.25B188.42%11.31B188.42%11.31B-1.33%7.39B59.26%3.92B--3.92B19.15%7.49B-35.87%2.46B
-Accounts receivable 12.10%278M12.10%278M-0.84%475M-32.97%248M-32.97%248M175.29%479M146.67%370M--370M50.00%174M35.14%150M
-Other receivables 25.33%1.59B25.33%1.59B18.02%871M60.28%1.27B60.28%1.27B2.93%738M27.29%793M--793M22.35%717M10.66%623M
Inventory -17.28%268M-17.28%268M-31.03%269M-31.06%324M-31.06%324M1.30%390M46.42%470M--470M54.62%385M50.70%321M
Total current assets -5.65%22.05B-5.65%22.05B11.56%22.45B53.10%23.37B53.10%23.37B34.55%20.13B113.65%15.27B--15.27B36.31%14.96B-21.56%7.15B
Non current assets
Net PPE -10.48%555M-10.48%555M5.55%571M2.65%620M2.65%620M10.86%541M36.34%604M--604M28.76%488M17.51%443M
-Gross PPE -9.02%827M-9.02%827M----1.45%909M1.45%909M----41.32%896M--896M----29.65%634M
-Accumulated depreciation 5.88%-272M5.88%-272M----1.03%-289M1.03%-289M-----52.88%-292M---292M-----70.54%-191M
Goodwill and other intangible assets -23.95%1.35B-23.95%1.35B-49.98%1.38B-58.63%1.78B-58.63%1.78B-43.05%2.77B49.10%4.3B--4.3B67.70%4.86B-4.28%2.88B
-Goodwill -27.27%1.03B-27.27%1.03B-55.48%1.04B-58.13%1.41B-58.13%1.41B-39.01%2.34B60.42%3.37B--3.37B81.26%3.83B-3.09%2.1B
-Other intangible assets -11.17%326M-11.17%326M-20.05%343M-60.45%367M-60.45%367M-58.15%429M18.67%928M--928M31.07%1.03B-7.35%782M
Financial assets ------------------------44.44%13M--13M-----83.64%9M
Total non current assets -4.64%39.77B-4.64%39.77B-10.50%37.63B-25.62%41.71B-25.62%41.71B-24.77%42.04B15.42%56.07B--56.07B63.26%55.88B82.27%48.58B
Total assets -5.00%61.82B-5.00%61.82B-3.36%60.08B-8.78%65.08B-8.78%65.08B-12.24%62.16B28.01%71.34B--71.34B56.72%70.84B55.82%55.73B
Liabilities
Current liabilities
Payables -0.07%1.5B-0.07%1.5B53.92%511M1.01%1.5B1.01%1.5B-47.22%332M30.43%1.48B--1.48B8.08%629M47.28%1.14B
-accounts payable 2.53%365M2.53%365M-1.51%327M-35.15%356M-35.15%356M-15.09%332M59.59%549M--549M5.96%391M18.21%344M
-Total tax payable 21.64%208M21.64%208M----42.50%171M42.50%171M----2.56%120M--120M----77.27%117M
-Dividends payable ----------184M----------0--------11.74%238M----
-Other payable -4.84%924M-4.84%924M----19.29%971M19.29%971M----20.41%814M--814M----62.89%676M
Current provisions 40.00%63M40.00%63M--63M400.00%45M400.00%45M-----43.75%9M--9M----77.78%16M
Current debt and capital lease obligation -0.80%497M-0.80%497M32.79%409M48.22%501M48.22%501M106.71%308M184.03%338M--338M3,625.00%149M10.19%119M
-Current debt 1.12%452M1.12%452M32.79%409M62.55%447M62.55%447M106.71%308M323.08%275M--275M3,625.00%149M-1.52%65M
-Current capital lease obligation -16.67%45M-16.67%45M-----14.29%54M-14.29%54M----16.67%63M--63M----28.57%54M
Other current liabilities -10.60%810M-10.60%810M-71.68%625M-19.54%906M-19.54%906M96.53%2.21B-21.31%1.13B--1.13B1,221.18%1.12B673.51%1.43B
Current liabilities 4.86%4.62B4.86%4.62B-22.26%4.35B-0.18%4.41B-0.18%4.41B16.81%5.59B10.13%4.41B--4.41B79.33%4.79B86.63%4.01B
Non current liabilities
Long term provisions 33.33%4M33.33%4M-----25.00%3M-25.00%3M----0.00%4M--4M----33.33%4M
Long term debt and capital lease obligation -0.18%15.74B-0.18%15.74B2.72%15.58B-0.59%15.77B-0.59%15.77B41.37%15.17B96.25%15.86B--15.86B83.82%10.73B117.58%8.08B
-Long term debt -0.03%15.62B-0.03%15.62B2.80%15.44B-0.27%15.62B-0.27%15.62B42.16%15.02B98.02%15.66B--15.66B86.63%10.57B124.02%7.91B
-Long term capital lease obligation -16.00%126M-16.00%126M-5.44%139M-25.00%150M-25.00%150M-9.82%147M15.61%200M--200M-6.86%163M-5.98%173M
Derivative product liabilities -------------------------93.75%2M--2M----1,500.00%32M
Other non current liabilities -54.07%62M-54.07%62M-88.36%17M-16.67%135M-16.67%135M-34.53%146M161.29%162M--162M8.25%223M-61.96%62M
Total non current liabilities -0.86%15.91B-0.86%15.91B1.43%15.72B-2.16%16.05B-2.16%16.05B36.20%15.5B92.17%16.4B--16.4B82.61%11.38B98.35%8.54B
Total liabilities 0.37%20.53B0.37%20.53B-4.85%20.07B-1.74%20.45B-1.74%20.45B30.46%21.09B65.96%20.82B--20.82B81.62%16.17B94.45%12.54B
Shareholders'equity
Share capital 66.10%294M66.10%294M-25.61%29.14B0.00%177M0.00%177M-0.06%39.17B86.32%177M--177M6,293.47%39.19B-84.32%95M
-common stock 66.10%294M66.10%294M-25.61%29.14B0.00%177M0.00%177M-0.06%39.17B86.32%177M--177M6,293.47%39.19B-84.32%95M
Retained earnings 8.12%66.18B8.12%66.18B16.96%62.83B5.17%61.21B5.17%61.21B-0.91%53.72B52.93%58.2B--58.2B62.33%54.21B25.12%38.06B
Paid-in capital -37.92%24.22B-37.92%24.22B-----0.01%39.01B-0.01%39.01B----7,446.03%39.01B--39.01B------517M
Less: Treasury stock -74.48%2.56B-74.48%2.56B12.29%3.92B56.65%10.04B56.65%10.04B12.90%3.49B352.75%6.41B--6.41B--3.09B--1.42B
Other equity interest 15.17%4.43B15.17%4.43B12.95%4.05B19.27%3.84B19.27%3.84B--3.58B31.77%3.22B--3.22B------2.45B
Total stockholders'equity -7.47%41.26B-7.47%41.26B-2.31%39.98B-11.56%44.59B-11.56%44.59B-25.11%40.93B17.07%50.42B--50.42B51.44%54.65B48.00%43.07B
Noncontrolling interests 0.00%32M0.00%32M-79.86%29M-68.63%32M-68.63%32M620.00%144M-12.82%102M--102M-90.57%20M-45.33%117M
Total equity -7.47%41.29B-7.47%41.29B-2.59%40.01B-11.67%44.63B-11.67%44.63B-24.87%41.07B16.99%50.52B--50.52B50.61%54.67B47.32%43.19B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD

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