Prosus
€34.50Change from previous close: −0.90%Absolute change: −€0.31
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.
| Item | Q1 2026 | Q3 2025 | Q3 2024 | Q3 2023 | Q3 2022 | Q3 2021 |
|---|---|---|---|---|---|---|
| Operating cash flow | 298 | 1,311 | 1,274 | 904 | 42.0 | 14.0 |
| Depreciation and amortization | 359 | 114 | 71.0 | 80.0 | 76.0 | 100 |
| Capital expenditure | -43.0 | -55.0 | -54.0 | -32.0 | -140 | -86.0 |
| Investing cash flow | -7,313 | 14,107 | 9,955 | -2,721 | 3,680 | 1,917 |
| Financing cash flow | -4,790 | -4,070 | -3,340 | -4,565 | -4,265 | 709 |
| Dividends paid | -508 | — | — | — | -190 | — |
| Share repurchases | -2,760 | -4,650 | -3,291 | -4,005 | -3,992 | -1,528 |
| Debt issued | 200 | 920 | 86.0 | 13.0 | 81.0 | 4,237 |
| Debt repaid | -1,667 | -310 | -42.0 | -55.0 | -81.0 | -1,736 |
| Effect of exchange rates | -400 | 382 | -45.0 | -114 | -266 | -46.0 |
| Net change in cash | -12,196 | 11,739 | 7,749 | -6,876 | -1,176 | 2,594 |
| Free cash flow | 255 | 1,256 | 1,220 | 872 | -98.0 | -72.0 |
| Levered free cash flow | 638 | 1,095 | 584 | 364 | -989 | 1,005 |
