Prosus Cash Flow from Operating Activities 2020-2025 | PROSY

Prosus annual/quarterly cash flow from operating activities history and growth rate from 2020 to 2025. Cash flow from operating activities can be defined as a company's cash flows from operations.
  • Prosus cash flow from operating activities for the quarter ending March 31, 2025 was $1.920B, a 4471.43% increase year-over-year.
  • Prosus cash flow from operating activities for the twelve months ending March 31, 2025 was $3.749B, a 1061.28% decline year-over-year.
  • Prosus annual cash flow from operating activities for 2025 was $1.92B, a 83.73% increase from 2024.
  • Prosus annual cash flow from operating activities for 2024 was $1.045B, a 970.83% decline from 2023.
  • Prosus annual cash flow from operating activities for 2023 was $-0.12B, a 80.17% decline from 2022.
Prosus Annual Cash Flow Ops
(Millions of US $)
2025 $1,920
2024 $1,045
2023 $-120
2022 $-605
2021 $159
2020 $-209
2019 $-145
Sector Industry Market Cap Revenue
Retail/Wholesale Internet Commerce $330.103B $6.170B
Prosus N.V. provides e-commerce and internet businesses. It operates principally in the Americas, Africa, Central and Eastern Europe and Asia. Prosus N.V. is based in Amsterdam, the Netherlands.
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