SEGRO PUBLIC LIMITED COMPANYSS

SEGRO PUBLIC LIMITED COMPANY

10.3EURD
0.00.00%
Last update at Dec 12, 2024, 08:00 GMT
EUR
No trades
See on Supercharts

SGRO fundamentals

An in-depth look to SEGRO PUBLIC LIMITED COMPANY operating, investing, and financing activities

SGRO free cash flow for H2 24 is 210.29 M EUR. For 2024, SGRO free cash flow was 369.81 M EUR and operating cash flow was 398.82 M EUR.

H1 '17
H2 '17
H1 '18
H2 '18
H1 '19
H2 '19
H1 '20
H2 '20
H1 '21
H2 '21
H1 '22
H2 '22
H1 '23
H2 '23
H1 '24
H2 '24
‪‪−700.00 M‬‬
‪‪−350.00 M‬‬
‪0.00‬
‪‪350.00 M‬‬
‪‪700.00 M‬‬
Cash from operating activities
Cash from investing activities
Cash from financing activities
Currency: EUR
H1 '17
Jun 2017
H2 '17
Dec 2017
H1 '18
Jun 2018
H2 '18
Dec 2018
H1 '19
Jun 2019
H2 '19
Dec 2019
H1 '20
Jun 2020
H2 '20
Dec 2020
H1 '21
Jun 2021
H2 '21
Dec 2021
H1 '22
Jun 2022
H2 '22
Dec 2022
H1 '23
Jun 2023
H2 '23
Dec 2023
H1 '24
Jun 2024
H2 '24
Dec 2024
TTM
‪‪218.78 M‬‬
+15.57%
‪‪280.26 M‬‬
+396.04%
‪‪166.43 M‬‬
−23.93%
‪‪228.41 M‬‬
−18.50%
‪‪398.82 M‬‬
‪‪−654.00 M‬‬
−18.56%
‪‪23.07 M‬‬
‪‪−254.96 M‬‬
+61.02%
‪‪−184.91 M‬‬
−901.60%
‪‪−445.95 M‬‬
‪‪366.57 M‬‬
−11.59%
‪‪11.53 M‬‬
−98.66%
‪‪289.19 M‬‬
−21.11%
‪‪−264.67 M‬‬
−2,394.78%
‪‪31.42 M‬‬
‪0.00‬
‪0.00‬
‪0.00‬
‪0.00‬
‪0.00‬
‪0.00‬
‪0.00‬
‪‪−68.66 M‬‬
‪‪314.86 M‬‬
‪‪200.66 M‬‬
‪‪−221.16 M‬‬
‪‪−15.71 M‬‬
Free cash flowYoY growth
‪‪209.47 M‬‬
+12.73%
‪‪256.04 M‬‬
+414.96%
‪‪155.81 M‬‬
−25.62%
‪‪210.29 M‬‬
−17.87%
‪‪369.81 M‬‬
‪‪−91.93 M‬‬
‪‪−138.40 M‬‬
‪‪−127.48 M‬‬
‪‪−122.06 M‬‬
‪‪−252.58 M‬‬
‪‪−4.65 M‬‬
‪‪−23.07 M‬‬
‪‪2.36 M‬‬
‪‪−22.96 M‬‬
‪‪−20.55 M‬‬