Prosus

PRX · Euronext Amsterdam · EUR

€34.50Change from previous close: −0.90%Absolute change: −€0.31

Close · October 2, 2026

At a glance

Revenue growth
+57.29%
FY to Mar 2026 vs FY to Mar 2025
Net income growth
−5.89%
FY to Mar 2026 vs FY to Mar 2025
Net margin
119.9%
FY to Mar 2025: 200.4%

Financial data

Amounts in millions of USD; per-share values in USD; shares in millions.

Cash flow · Quarterly
ItemQ1 2026Q3 2025Q3 2024Q3 2023Q3 2022Q3 2021
Operating cash flow2981,3111,27490442.014.0
Depreciation and amortization35911471.080.076.0100
Capital expenditure-43.0-55.0-54.0-32.0-140-86.0
Investing cash flow-7,31314,1079,955-2,7213,6801,917
Financing cash flow-4,790-4,070-3,340-4,565-4,265709
Dividends paid-508———-190—
Share repurchases-2,760-4,650-3,291-4,005-3,992-1,528
Debt issued20092086.013.081.04,237
Debt repaid-1,667-310-42.0-55.0-81.0-1,736
Effect of exchange rates-400382-45.0-114-266-46.0
Net change in cash-12,19611,7397,749-6,876-1,1762,594
Free cash flow2551,2561,220872-98.0-72.0
Levered free cash flow6381,095584364-9891,005