PERRIGO
PRGO TASE

PRGO
PERRIGO TASE
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Upcoming Earnings
EPS
Market Cap
Div Yield
P/E
Upcoming Earnings
EPS
Market Cap
Div Yield
P/E
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Financial statements

An in-depth look to PERRIGO operating, investing, and financing activities

PRGO free cash flow for Q1 21 is -150.73M. For 2020, PRGO free cash flow was 1.5B and operating cash flow was 2.04B.

TTM
Cash from operating activities
Funds from operations
Changes in working capital
Cash from investing activities
Purchase/sale of business, net
Purchase/sale of investments, net
Capital expenditures
Other investing cash flow items, total
Cash from financing activities
Issuance/retirement of stock, net
Issuance/retirement of debt, net
Total cash dividends paid
Other financing cash flow items, total
Free cash flow