Perrigo Net Cash Flow 2010-2024 | PRGO

Perrigo net cash flow from 2010 to 2024. Net cash flow can be defined as the total change in cash for the company over the given period.
Perrigo Annual Net Cash Flow
(Millions of US $)
2023 $151
2022 $-1,264
2021 $1,233
2020 $287
2019 $-197
2018 $-128
2017 $56
2016 $205
2015 $-368
2015 $-14
2014 $20
2013 $177
2012 $292
2011 $200
2010 $-208
2009 $-20
Sector Industry Market Cap Revenue
Medical Medical Products Manufacturing $3.547B $4.656B
Perrigo Co. plc, with a diversified revenue stream, sells infant formulas for the store brand market, generic extended topical prescription (Rx) products and specialty pharmaceutical drugs. It's focusing on self-care products as part of its transformation into a self-care company from a healthcare company. The company divested its Rx segment to Altaris Capital Partners. The company completed its transformation to a consumer self-care company by reconfiguring the portfolio through the divestiture of RX business. Currently, the company has 2 reporting segments. Consumer Self Care Americas (CSCA): The segment comprises the U.S., Mexico and Canada CHC business, including OTC, contract manufacturing, infant formula and animal health categories. Consumer Self Care International?(CSCI): The segment comprises the branded consumer healthcare (BCH) segment mainly in Europe and the company's consumer-focused businesses in the UK and Australia. This segment includes UK liquids licensed products business.
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