Magyar Telekom Tavkozlesi Nyrt Financial Ratios for Analysis 2009-2024 | MYTAY

Fifteen years of historical annual and quarterly financial ratios and margins for Magyar Telekom Tavkozlesi Nyrt (MYTAY).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
20222021202020192018201720162015201420132012201120102009
0.790.790.820.780.680.830.700.600.600.630.920.860.811.05
0.180.190.190.170.170.290.300.290.320.330.330.310.290.33
0.320.280.390.330.380.460.550.660.680.610.570.450.410.48
56.5955.4855.8056.1456.3359.7667.3362.0163.8766.0168.0573.0574.1775.07
14.6213.2612.6012.4811.7112.6913.2011.2012.8611.7212.8110.5717.8222.85
14.6213.2612.6012.4811.7112.6913.2011.2012.8611.7212.8110.5717.8222.85
33.2134.3933.0133.0929.3030.3932.7028.5428.9328.1530.4132.8134.3738.67
11.3011.309.058.879.109.208.776.918.336.779.775.1413.7717.73
8.438.436.296.176.597.659.014.815.114.537.550.5312.6914.48
0.510.500.500.540.570.550.510.540.530.580.570.540.550.55
12.7917.2716.1714.7415.0114.3111.8319.6916.4617.3615.6416.2616.4116.41
4.354.394.223.903.363.863.774.004.324.634.644.795.325.84
83.9483.1686.4193.5910994.4996.8391.2784.5878.7878.5876.1468.6362.55
9.139.077.047.047.556.949.845.794.714.726.14-1.3410.8312.85
35.3246.7929.1521.5727.8229.0355.5247.7453.7621.3115.20-3.0124.6028.83
4.614.493.433.624.023.634.872.612.072.123.03-0.685.816.67
7.447.385.685.846.294.966.914.123.213.174.09-0.937.698.65
10.3011.4710.6310.3111.0010.0110.059.36------
2.713.192.612.662.832.712.672.693.002.843.604.073.804.65
1.051.411.190.971.351.190.961.063.002.871.212.183.822.23

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-06-302024-03-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.041.090.920.810.820.790.800.770.850.790.770.700.850.820.620.650.780.780.750.690.690.680.820.750.820.830.870.780.840.700.720.600.650.600.710.750.620.600.520.580.630.630.640.750.920.920.990.920.880.860.790.620.920.810.810.881.151.050.950.951.04
0.160.160.180.180.180.180.190.190.180.190.190.190.190.190.120.180.170.170.170.170.170.170.220.230.240.290.300.310.300.300.310.270.330.290.370.360.320.320.290.300.340.330.350.330.340.330.360.370.280.310.290.270.290.290.280.310.310.330.31-0.28
0.280.250.340.380.330.320.330.360.280.280.320.370.370.390.420.480.330.330.400.440.410.380.440.480.460.460.510.550.490.550.600.650.720.660.770.680.730.680.870.790.870.610.830.600.560.570.560.590.390.450.400.370.410.410.390.460.450.480.46-0.39
62.9560.4160.7060.1858.2553.7657.7957.2657.3749.9757.0958.0757.3852.1256.8157.3457.8951.0757.9357.6257.9952.5357.1955.1860.5255.1262.6359.1862.3263.4168.6269.6767.9854.1565.9864.6163.1961.8269.6871.1763.5373.5865.4864.0262.1161.1669.9872.9271.5961.3271.4675.7275.6070.1170.0375.5583.11100.00100.00100.0079.32
25.4522.0021.1419.7212.4814.6516.4012.3115.2313.2516.5513.609.2813.7015.1413.227.9911.0015.7015.417.929.6714.1212.6310.448.3519.4213.218.986.4315.8815.4415.737.7913.4616.089.433.299.9311.2111.994.3316.2216.218.39-3.8620.0616.7217.930.7619.0013.5120.53-0.7732.1224.0114.53100.00100.00100.0021.32
25.4522.0021.1419.7212.4814.6516.4012.3115.2313.2516.5513.609.2813.7015.1413.227.9911.0015.7015.417.929.6714.1212.6310.448.3519.4213.218.986.4315.8815.4415.737.7913.4616.089.433.299.9311.2111.994.3316.2216.218.39-3.8620.0616.7217.930.7619.0013.5120.53-0.7732.1224.0114.53100.00100.00100.0021.32
-------------------------------------------------------------
22.1718.5214.0513.958.0610.6312.148.7813.5511.9713.4511.188.2810.4014.439.761.069.4110.2911.424.446.8110.9010.797.845.5515.879.644.902.5711.3311.5210.213.378.9311.773.944.1711.8612.156.512.529.5511.174.160.5516.5711.0512.64-17.3415.108.6914.60-4.6021.4520.4518.78100.00100.00100.0019.64
18.0215.0210.6110.705.378.488.945.7410.499.7110.048.135.487.7911.106.71-1.007.297.198.331.954.158.198.205.782.5911.676.729.6712.368.267.677.391.835.917.901.600.936.777.633.180.155.887.781.08-0.989.847.348.88-25.2915.833.0410.644.7718.6013.0311.166.2314.2240.0315.31
0.170.150.150.140.140.120.130.130.130.130.130.120.120.150.130.120.130.140.140.130.130.140.150.150.130.140.140.140.130.140.130.130.130.150.130.130.130.120.130.130.140.150.150.150.150.160.150.140.140.150.140.140.130.140.150.130.120.140.140.100.13
3.202.973.293.372.873.234.094.923.645.234.033.723.435.164.893.973.384.153.873.783.274.044.174.193.084.103.624.072.893.643.513.252.846.264.433.553.424.584.103.653.653.943.513.904.065.814.143.103.514.643.543.213.224.613.973.183.56---3.37
1.151.081.171.181.151.031.151.161.161.181.141.141.121.251.111.070.930.980.870.860.860.830.880.930.880.990.990.970.951.010.970.960.961.090.991.001.060.981.011.021.101.191.121.171.161.281.341.251.181.281.331.311.281.371.501.361.221.481.521.091.49
78.3283.6377.0276.1578.1887.3578.4677.2977.4176.1379.0078.8680.7172.2881.2784.2196.5591.4410310510410810396.4610290.8191.0093.1595.0389.1492.4393.8493.3382.6190.9689.7884.7191.6389.5688.6681.6175.9080.4976.7977.5070.1067.4171.9476.1470.3867.8168.7070.2965.7259.8866.2474.0460.6759.2982.2160.39
5.734.353.323.321.592.122.561.682.712.662.892.231.512.533.071.85-0.131.952.102.400.641.132.392.481.570.733.361.960.843.692.442.111.940.601.722.350.480.251.932.150.990.051.922.590.32-0.312.852.142.34-7.254.220.802.521.265.273.422.401.693.829.353.52
16.7312.3311.4413.125.838.2110.187.6111.9513.7017.4317.0710.7110.4814.0610.36-0.395.976.808.542.234.158.079.035.543.0514.4510.003.8220.8215.8914.6012.924.9613.8622.365.102.897.098.414.270.238.447.600.82-0.787.345.725.36-16.279.761.995.532.8612.108.075.143.788.7327.637.20
3.072.401.701.640.811.071.280.831.391.311.411.060.721.231.510.89-0.071.001.071.190.320.601.301.310.850.381.760.980.431.831.191.000.920.270.791.060.210.110.881.020.450.020.861.190.16-0.161.441.041.21-3.672.250.411.380.672.821.711.320.871.944.091.92
4.803.662.712.711.301.732.071.362.222.162.351.811.222.042.691.52-0.111.621.741.980.540.941.861.911.190.522.351.360.592.591.691.551.300.431.081.510.330.171.361.500.660.031.241.730.21-0.211.831.351.69-5.013.010.581.790.893.792.341.651.142.629.352.54
12.0112.1211.2011.1210.7710.308.9910.1411.0811.4711.1111.0810.5610.6310.159.2110.0010.3110.1110.1410.6811.0010.4910.8311.6310.0110.499.61-10.059.669.47-----------------------------
1.590.632.321.240.472.711.991.330.563.192.211.340.422.612.041.060.202.661.520.72-0.032.830.630.940.192.711.741.070.462.671.811.080.442.691.851.010.453.012.021.210.552.811.640.880.283.142.221.340.474.063.352.471.073.802.801.700.994.650.002.051.09
0.830.131.090.36-0.041.050.910.570.021.410.930.43-0.151.19-0.81-1.22-0.170.970.350.00-0.351.350.280.39-0.081.190.750.430.210.960.790.620.501.061.870.420.453.012.020.530.552.831.650.03-0.081.052.240.500.472.182.351.880.853.821.791.040.612.23-2.060.67