Perrigo Cash Flow from Operating Activities 2010-2024 | PRGO

Perrigo cash flow from operating activities from 2010 to 2024. Cash flow from operating activities can be defined as a company's cash flows from operations.
Perrigo Annual Cash Flow Ops
(Millions of US $)
2023 $406
2022 $307
2021 $156
2020 $636
2019 $388
2018 $593
2017 $699
2016 $655
2015 $201
2015 $855
2014 $633
2013 $554
2012 $513
2011 $374
2010 $332
2009 $240
Sector Industry Market Cap Revenue
Medical Medical Products Manufacturing $4.229B $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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