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Telefonica (TEF)

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4.3120 -0.0230    -0.53%
11:29:57 - Closed. Currency in EUR
  • Volume: 6,997,599
  • Bid/Ask: 4.3190 / 4.3200
  • Day's Range: 4.3110 - 4.3600
Type:  Equity
Market:  Spain
ISIN:  ES0178430E18 
Telefonica 4.3120 -0.0230 -0.53%

TEF Financial Summary

 
A brief financial summary of Telefonica as well as the most significant critical numbers from each of its financial reports. In addition, some financial ratios derived from these reports are featured. Users can opt to see 4 periods of either annual or quarterly information.

Telefónica, S.A. reported earnings results for the second quarter and six months ended June 30, 2024. For the second quarter, the company reported sales was EUR 10,255 million compared to EUR 10,133 million a year ago. Net income was EUR 447 million compared to EUR 462 million a year ago. Basic earnings per share from continuing operations was EUR 0.07 compared to EUR 0.07 a year ago.For the six months, sales was EUR 20,395 million compared to EUR 20,178 million a year ago. Net income was EUR 979 million compared to EUR 760 million a year ago. Basic earnings per share from continuing operations was EUR 0.15 compared to EUR 0.11 a year ago.

AnnualQuarterly  
Advanced Financial Summary
TTM = Trailing Twelve Months
MRQ = Most Recent Quarter

TEF Income Statement

Gross margin TTM 50.29%
Operating margin TTM 6.33%
Net Profit margin TTM -1.65%
Return on Investment TTM 2.64%
 Total Revenue  Net Income
Period Ending: Jun 30, 2024 Mar 31, 2024 Dec 31, 2023 Sep 30, 2023
Total Revenue 10255 10140 9298 10713
Gross Profit 8082 2927 10817 3335
Operating Income 985 1053 -447 1063
Net Income 447 532 -2154 502

TEF Balance Sheet

Quick Ratio MRQ 0.5
Current Ratio MRQ 0.85
LT Debt to Equity MRQ 160.89%
Total Debt to Equity MRQ 220.19%
 Total Assets  Total Liabilities
Period Ending: Jun 30, 2024 Mar 31, 2024 Dec 31, 2023 Sep 30, 2023
Total Assets 101813 104320 104324 109287
Total Liabilities 77060 77112 77228 77601
Total Equity 24753 27208 27096 31686

TEF Cash Flow Statement

Cash Flow/Share TTM 1.97
Revenue/Share TTM 7.35
Operating Cash Flow  9.88%
 Cash  Net Change in Cash
Period Ending: Jun 30, 2024 Mar 31, 2024 Dec 31, 2023 Sep 30, 2023
Period Length: 0 Months 0 Months 0 Months 0 Months
Cash From Operating Activities 2388 2212 3411 2949
Cash From Investing Activities -2117 -1988 -1140 -1995
Cash From Financing Activities -1298 -1005 -2777 -311
Net Change in Cash -1123 -760 -668 529
* In Millions of EUR (except for per share items)
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