PROSUS N.V.PROSUS N.V.PROSUS N.V.

PROSUS N.V.

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PRX fundamentals

An in-depth look to PROSUS N.V. operating, investing, and financing activities

PRX free cash flow for H1 23 is 775.57 M CHF. For 2022, PRX free cash flow was -332.98 M CHF and operating cash flow was -114.49 M CHF.

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Cash from operating activities
Cash from investing activities
Cash from financing activities
Currency: CHF
TTM
Free cash flowYoY growth