
Nasr Co for Civil Works
NCCWFiscal year starts in January · currency EGP · latest: Q1 2026
Net profit · 2024
68.15million
▲ 389.7% vs 2023
Total assets · 2024
830million
▲ 3.8% vs 2023
Shareholders' equity · 2024
283million
▲ 30.5% vs 2023
Operating cash flow · 2024
28.98million
▼ 56.8% vs 2023
Key facts
Source: annual statements 2024- Nasr Co for Civil Works's net profit in 2024 was 68.15 million EGP, up 389.7% from 13.92 million EGP in 2023.
- Total assets at the end of 2024 were 830 million EGP, and shareholders' equity 283 million EGP.
- Operating cash flow in 2024 was positive at 28.98 million EGP.
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Annual net profit last 5 years
Net profit−27.02million
958thousand
−21.98million
13.92million
68.15million
20202021202220232024
Summarised financial statements
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Item · EGP20202021202220232024
Income statement
Net profit-27.02 million958 thousand-21.98 million13.92 million68.15 million
Gross profit10.38 million14.7 million-6.1 million44.85 million27.93 million
Total assets545 million556 million592 million800 million830 million
Total liabilities350 million331 million389 million583 million547 million
Shareholders' equity195 million225 million203 million217 million283 million
Total liabilities and equity545 million556 million592 million800 million830 million
Operating cash flow-3.92 million-3.32 million-10.21 million67.01 million28.98 million
Investing cash flow6.13 million3.66 million968 thousand3.91 million-55.54 million
Financing cash flow-4.53 million25.83 million-645 thousand-1.42 million-814 thousand
Net change in cash-2.32 million26.17 million-9.89 million69.5 million-27.38 million
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Figures in Egyptian pounds from the published statement summaries, after normalising reporting units across periods. The exact figure is in the attached report.
Financial reports (15)
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