bf/NYSE:TEF_icon.png

COM:TELEFONICA

Telefónica, S.A.

  • Stock

USD

Last Close

4.43

22/11 21:00

Market Cap

24.42B

Beta: -

Volume Today

988.50K

Avg: -

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
4.59B
-
3.00B
34.66%
2.75B
8.53%
2.37B
13.70%
3.13B
32.21%
3.33B
6.35%
860M
74.18%
1.33B
54.77%
7.88B
492.34%
2.01B
74.49%
-1.15B
156.99%
depreciation and amortization
10.58B
-
9.36B
11.56%
8.40B
10.28%
8.80B
4.75%
8.80B
0.01%
deferred income tax
stock based compensation
change in working capital
accounts receivables
inventory
accounts payables
other working capital
other non cash items
-4.59B
-
-3.00B
34.66%
-2.75B
8.53%
-2.37B
13.70%
-3.13B
32.21%
-3.33B
6.35%
3.56B
206.96%
2.51B
29.67%
-6.01B
339.94%
-10.81B
79.73%
4.00B
136.99%
net cash provided by operating activities
4.59B
-
3.00B
34.66%
2.75B
8.53%
2.37B
13.70%
3.13B
32.21%
3.33B
6.35%
15.01B
350.47%
13.20B
12.06%
10.27B
22.19%
10.81B
5.25%
11.65B
7.79%
investments in property plant and equipment
-9.67B
-
-9.21B
4.85%
-9.40B
2.13%
-9.19B
2.28%
-8.99B
2.12%
-8.78B
2.39%
-8.41B
4.18%
-7.02B
16.53%
-6.16B
12.19%
-5.51B
10.64%
-6.16B
11.86%
acquisitions net
-138M
-
-1.41B
918.12%
-2.81B
99.64%
713M
125.42%
-88M
112.34%
26M
129.55%
1.71B
6,480.77%
2M
99.88%
12.96B
647,650%
-1.74B
113.45%
-121M
93.06%
purchases of investments
-386M
-
-247M
36.01%
-286M
15.79%
-265M
7.34%
-1.11B
317.36%
-965M
12.75%
-1.13B
17.31%
-3.30B
191.25%
-1.47B
55.29%
-2.58B
74.69%
-1.48B
42.72%
sales maturities of investments
50M
-
302M
504%
1.06B
252.32%
489M
54.04%
296M
39.47%
1.00B
239.19%
1.83B
82.77%
2.31B
25.78%
2.16B
6.28%
4.50B
107.86%
2.26B
49.80%
other investing activites
248M
-
587M
136.69%
-1.49B
353.66%
42M
102.82%
-355M
945.24%
27M
107.61%
355M
1,214.81%
217M
38.87%
-1.58B
829.95%
3M
100.19%
1.21B
40,366.67%
net cash used for investing activites
-9.90B
-
-9.97B
0.69%
-12.92B
29.58%
-8.21B
36.46%
-10.24B
24.82%
-8.69B
15.23%
-5.64B
35.05%
-7.79B
38.10%
5.90B
175.69%
-5.33B
190.35%
-4.29B
19.54%
debt repayment
-11.90B
-
-13.72B
15.30%
-13.65B
0.52%
-15.38B
12.67%
-13.40B
12.88%
-8.69B
35.11%
-11.53B
32.59%
-11.37B
1.39%
-11.78B
3.59%
-8.61B
26.85%
-5.52B
35.90%
common stock issued
4.25B
-
16.02B
276.62%
1.27B
92.07%
379M
70.18%
5.89B
1,453.56%
323M
94.51%
3.65B
1,028.79%
1.02B
71.97%
113M
88.94%
common stock repurchased
-1.77B
-
-660M
62.75%
13.23B
2,105.15%
8.26B
37.57%
-504M
106.10%
-223M
55.75%
-604M
170.85%
-555M
8.11%
-1.77B
219.10%
dividends paid
-2.18B
-
-2.33B
6.69%
-2.77B
19.20%
-2.91B
4.72%
-2.46B
15.38%
-2.79B
13.62%
-2.74B
1.86%
-1.30B
52.74%
-3.63B
180.09%
-1.40B
61.52%
-1.72B
22.91%
other financing activites
11.40B
-
12.01B
5.36%
10.33B
13.98%
-1.30B
112.59%
-400M
69.23%
-1.03B
158.25%
-136M
86.83%
7.13B
5,338.97%
-627M
108.80%
1.62B
358.21%
1.71B
5.68%
net cash used provided by financing activities
-2.69B
-
-4.04B
50.50%
-3.61B
10.62%
-4.22B
16.83%
-1.75B
58.48%
-3.88B
121.46%
-9.02B
132.50%
-5.44B
39.72%
-12.99B
138.87%
-7.92B
38.99%
-7.19B
9.32%
effect of forex changes on cash
-1.47B
-
-1.62B
10.08%
-999M
38.18%
185M
118.52%
-341M
284.32%
-244M
28.45%
7M
102.87%
-406M
5,900%
-198M
51.23%
154M
177.78%
-258M
267.53%
net change in cash
130M
-
-3.45B
2,752.31%
-3.93B
13.98%
1.12B
128.52%
1.46B
29.88%
500M
65.66%
350M
30%
-438M
225.14%
2.98B
779.45%
-1.33B
144.86%
-94M
92.96%
cash at beginning of period
9.85B
-
9.98B
1.32%
6.53B
34.56%
2.62B
59.95%
3.74B
42.87%
5.19B
38.97%
5.69B
9.63%
6.04B
6.15%
5.60B
7.25%
8.58B
53.10%
7.25B
15.56%
cash at end of period
9.98B
-
6.53B
34.56%
2.60B
60.19%
3.74B
43.75%
5.19B
38.97%
5.69B
9.63%
6.04B
6.15%
5.60B
7.25%
8.58B
53.10%
7.25B
15.56%
7.15B
1.30%
operating cash flow
4.59B
-
3.00B
34.66%
2.75B
8.53%
2.37B
13.70%
3.13B
32.21%
3.33B
6.35%
15.01B
350.47%
13.20B
12.06%
10.27B
22.19%
10.81B
5.25%
11.65B
7.79%
capital expenditure
-9.67B
-
-9.21B
4.85%
-9.40B
2.13%
-9.19B
2.28%
-8.99B
2.12%
-8.78B
2.39%
-8.41B
4.18%
-7.02B
16.53%
-6.16B
12.19%
-5.51B
10.64%
-6.16B
11.86%
free cash flow
-5.08B
-
-6.20B
22.10%
-6.66B
7.29%
-6.82B
2.43%
-5.86B
14.05%
-5.45B
7.06%
6.59B
221.10%
6.18B
6.35%
4.10B
33.55%
5.30B
29.12%
5.49B
3.57%

All numbers in USD (except ratios and percentages)