Deutsche Telekom AG (DTEGF)

USD 30.35

(0.0%)

Annual Cash Flows

(In EUR)
Breakdown 2023 2022 2021 2020 2019 2018
Operating Cash Flow 37.29 Billion 35.81 Billion 32.17 Billion 23.74 Billion 23.07 Billion 17.94 Billion
Net Income 4.09 Billion 11.7 Billion 7.91 Billion 8.67 Billion 7.26 Billion 5.15 Billion
Depreciation & Amortization 23.19 Billion 27.82 Billion 27.48 Billion 25.82 Billion 17.66 Billion 13.83 Billion
Deferred income taxes -674 Million -655 Million -540 Million - - -
Stock-based compensation 674 Million 655 Million - - - -
Change in working capital -1 Billion -567 Million -2.7 Billion -5.53 Billion -1.62 Billion -1.96 Billion
Other non-cash items 11.01 Billion -3.14 Billion -524 Million -5.22 Billion -225 Million 920 Million
Investing Cash Flow -22.91 Billion -22.3 Billion -27.4 Billion -22.64 Billion -14.23 Billion -14.29 Billion
Investments in PPE -17.86 Billion -24.11 Billion -26.36 Billion -18.69 Billion -14.35 Billion -12.49 Billion
Acquisitions -4.96 Billion 4.15 Billion -1.26 Billion -3.93 Billion -199 Million -2.14 Billion
Investment purchases -664 Million -3.39 Billion -772 Million -1.07 Billion -818 Million -783 Million
Sales/Maturities of investments 917 Million 608 Million 861 Million 816 Million 968 Million 596 Million
Other Investing Activities -335 Million 439 Million 138 Million 236 Million 176 Million 529 Million
Financing Cash Flow -12.83 Billion -15.43 Billion -10.77 Billion 7.56 Billion -7.14 Billion -3.25 Billion
Debt repayment -2.9 Billion -15.52 Billion -18.04 Billion -36.63 Billion -16.55 Billion -57.27 Billion
Dividends payments -4.02 Billion -3.38 Billion -3.14 Billion -3.06 Billion -3.56 Billion -3.08 Billion
Common Stock Repurchased - - - - - -
Common Stock Issuance - - - - - -
Other Financing Activities -5.9 Billion 3.47 Billion 10.4 Billion 47.26 Billion 12.97 Billion 57.27 Billion
Accounts receivables - - - - - -
Accounts payables - - - - - -
Inventory - - - - - -
Other working capital -1 Billion -567 Million -2.7 Billion -5.53 Billion -1.62 Billion -1.96 Billion
Cash at beginning of period 5.76 Billion 7.61 Billion 12.93 Billion 5.39 Billion 3.67 Billion 3.31 Billion
Cash at end of period 7.27 Billion 5.76 Billion 7.61 Billion 12.93 Billion 5.39 Billion 3.67 Billion
Capital Expenditure -17.86 Billion -24.11 Billion -26.36 Billion -18.69 Billion -14.35 Billion -12.49 Billion
Effect of forex changes on cash -68 Million 93 Million 620 Million -1.03 Billion 11 Million -17 Million
Net cash flow / Change in cash 1.5 Billion -1.85 Billion -5.32 Billion 7.54 Billion 1.71 Billion 367 Million
Free Cash Flow 19.43 Billion 11.7 Billion 5.8 Billion 5.04 Billion 8.71 Billion 5.45 Billion

Cash Flow Charts