Telenor Financial Ratios for Analysis 2009-2024 | TELNY

Fifteen years of historical annual and quarterly financial ratios and margins for Telenor (TELNY).

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
202320222021202020192018201720162015201420132012201120102009
0.860.600.710.830.640.660.700.680.650.790.790.680.720.750.79
0.520.570.740.700.660.510.460.540.520.480.400.350.210.210.28
1.291.483.192.492.371.381.261.691.331.060.790.670.390.360.46
76.3173.3273.5375.7675.4476.2875.1274.0672.5872.9572.6371.3172.0472.3374.17
21.0917.5319.5124.0222.6120.0121.4312.9917.7623.5020.509.5014.9513.8016.77
21.0917.5319.5124.0222.6120.0121.4312.9917.7623.5020.509.5014.9513.8016.77
42.8746.0450.6847.6944.2838.9039.2034.3233.8038.1133.8531.3534.9031.3434.84
1.3610.8515.5020.8818.4517.0817.608.9310.1618.2817.1411.8212.7621.3015.16
17.0745.391.3914.126.8413.359.612.152.668.528.419.907.3315.6110.35
0.370.410.490.480.460.580.620.640.630.550.570.600.590.550.59
19.9516.9418.6722.6718.8015.3717.5118.9215.4815.1117.9424.3627.7623.5828.53
5.185.255.074.664.415.095.045.285.375.385.285.595.615.775.59
70.4369.5071.9878.3482.7671.7272.4169.0967.9967.8969.1365.3465.0463.3165.30
-4.5921.2036.0243.4127.5423.2624.2310.4810.6218.7715.7413.328.8915.5613.39
-9.0149.89-184.67509264344286-266.38-501.3518451.9833.4717.9733.4740.59
-1.485.705.037.434.806.627.492.813.276.646.706.074.648.676.86
-2.199.179.4013.249.2611.2913.134.865.129.799.418.697.0212.289.65
4.774.802.623.353.424.555.034.395.237.278.668.52---
1.992.930.003.322.703.043.403.163.073.584.132.632.982.662.55
0.991.500.002.461.001.291.921.281.331.402.410.801.561.301.47

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.580.880.860.610.590.730.600.640.590.780.710.770.700.860.830.690.630.800.640.690.820.650.660.800.861.010.700.710.600.690.680.730.560.720.650.750.740.780.790.700.690.870.790.720.810.720.680.650.730.810.720.720.690.840.750.750.790.950.790.810.850.71
0.490.480.520.480.490.440.570.760.770.690.740.740.760.710.700.730.760.700.660.680.590.420.510.460.480.420.460.460.490.480.540.520.500.510.520.490.450.460.480.440.440.390.400.390.390.330.350.300.300.240.210.210.210.210.210.220.250.290.280.300.320.33
1.231.051.291.011.150.911.483.503.672.483.193.293.682.592.493.023.502.532.372.872.111.141.381.181.421.071.261.341.501.541.691.581.421.211.331.171.010.991.060.930.960.760.790.770.820.610.670.550.620.450.390.360.410.360.360.360.420.440.460.550.630.65
78.6178.1775.2377.5076.8675.6769.8674.4473.8073.4470.2575.0074.6274.1073.4276.8876.6776.2475.1775.2275.7375.6573.3778.0276.4577.2273.1276.2276.0775.1571.8475.0774.9074.4370.6474.9573.0471.8771.2473.1673.8573.2570.9974.2772.6872.6971.0072.4371.9071.7570.5373.2672.9172.0157.9969.2873.7473.9277.5763.0374.6273.85
21.9128.9517.9424.8121.6419.994.4122.7010.9325.3739.3222.2220.88-2.1929.3027.3017.4221.4418.9023.7823.1124.5313.1324.3821.0521.3712.1725.7027.9720.2712.499.6619.0810.668.7320.6920.7421.7218.7322.6621.2030.7619.0323.1420.8719.07-16.8620.1817.6915.70-68.2497.0114.0115.3227.4420.6511.3713.059.5532.8816.2316.32
21.9128.9517.9424.8121.6419.994.4122.7010.9325.3739.3222.2220.88-2.1929.3027.3017.4221.4418.9023.7823.1124.5313.1324.3821.0521.3712.1725.7027.9720.2712.499.6619.0810.668.7320.6920.7421.7218.7322.6621.2030.7619.0323.1420.8719.07-16.8620.1817.6915.70-68.2497.0114.0115.3227.4420.6511.3713.059.5532.8816.2316.32
--------------------------------------------------------------
20.8666.08-27.7922.7111.31-0.262.1611.450.7924.2036.3116.3516.13-4.6932.0125.4018.087.3416.3814.2819.7423.461.0123.1015.0128.7012.1929.437.6321.0511.93-7.1811.0020.26-2.842.2120.2922.1410.8219.5318.0723.551.7324.4720.5122.546.4322.2315.473.77-10.9919.0624.8918.3015.3917.0840.298.5112.1519.9112.7212.82
12.7459.41-40.1712.194.0694.572705.45-3.9724.337.749.642.96-13.4724.3515.0914.332.265.71-2.2410.2713.873.9221.339.6218.366.4318.73-0.5313.687.30-14.703.4212.89-8.28-5.5612.0413.421.089.348.6513.86-7.9015.0912.6214.5712.2914.458.142.32-7.6210.5118.4411.598.467.0538.064.8011.4713.157.156.55
0.090.080.090.090.090.080.060.120.130.120.120.120.120.120.130.120.120.110.110.110.120.130.140.150.140.140.160.150.160.150.160.160.160.160.170.150.150.150.120.150.150.140.150.140.150.140.150.160.150.150.150.150.150.140.150.150.140.140.150.170.140.14
4.884.155.324.253.753.642.693.954.394.595.016.085.334.706.525.535.624.734.625.385.884.534.226.095.764.224.934.864.364.435.185.734.374.084.435.144.534.513.506.315.275.284.916.225.955.136.776.05--7.39---6.33---7.72---
1.361.301.321.351.301.170.741.251.231.261.211.181.151.221.221.151.171.131.071.101.371.331.251.281.391.381.311.351.251.261.331.471.441.391.431.431.551.541.171.461.411.381.361.391.351.371.431.493.073.191.413.023.113.111.583.172.882.951.463.312.732.80
66.1769.1368.1066.5169.3376.9612271.8373.3671.1674.3376.3078.1373.4973.7078.5377.2079.9084.0281.5365.8367.8772.2770.2164.9265.0668.5666.9071.8771.3867.5861.3262.5664.6662.7262.9158.2158.2876.8161.5963.9365.2766.0164.7366.5965.7063.0660.5829.2828.1863.8329.7828.9728.9257.0128.3731.3030.5161.8327.2232.9932.15
4.3314.47-10.603.641.99-0.264.217.332.2419.2826.719.7510.15-7.5719.4614.3810.483.247.480.448.248.16-0.548.185.548.344.7111.031.227.945.50-6.982.947.64-2.95-1.496.076.541.735.104.575.76-0.915.975.115.144.134.762.700.69-2.172.764.972.892.172.199.671.303.434.532.141.99
8.5024.88-20.786.383.64-0.439.92-23.80-5.54229-136.95-41.84-29.86-212.59228-145.70-46.0135.7371.69-15.0015.3212.64-7.9725.4619.8120.5455.56245-18.85145-139.66261-40.85180139-14.9336.0045.0416.9326.9523.9418.61-3.0019.1214.2312.4610.3911.436.191.42-4.395.7910.885.984.684.7823.423.6710.3915.058.118.78
1.395.28-3.421.300.67-0.101.130.930.273.353.731.291.23-1.263.332.101.350.561.300.071.562.14-0.152.341.512.801.463.270.342.261.48-1.980.882.48-0.91-0.502.242.420.611.961.772.50-0.392.552.162.451.892.251.220.36-1.131.522.691.621.211.215.170.671.762.211.010.93
2.217.58-5.061.891.01-0.151.821.780.516.036.972.492.45-2.235.933.832.560.982.510.143.374.75-0.264.402.904.822.555.960.624.092.55-3.371.473.73-1.42-0.763.323.550.902.882.583.48-0.543.653.113.452.703.341.880.53-1.712.183.932.291.721.717.220.932.473.191.441.34
--4.77---4.80---2.62---3.35---3.42---4.55---5.03---4.39---5.23---7.27---8.66-------------------
1.080.591.991.390.790.432.932.141.450.760.002.764.800.913.322.541.530.772.702.141.240.753.042.331.470.743.402.751.610.733.162.454.880.863.072.371.560.723.582.941.900.974.133.292.230.932.662.081.330.692.982.391.430.802.692.071.330.852.672.561.330.80
0.610.320.991.641.251.171.501.220.780.500.001.572.420.432.461.470.780.371.000.730.320.201.292.950.630.271.922.220.840.311.281.481.800.391.331.310.850.411.401.490.900.312.412.211.610.620.811.050.670.391.561.440.760.491.311.070.650.491.541.570.810.47