Millicom Cellular SA Financial Ratios for Analysis 2009-2024 | TIGO

Fifteen years of historical annual and quarterly financial ratios and margins for Millicom Cellular SA (TIGO).

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
0.820.970.500.881.100.570.880.880.770.540.970.690.661.051.33
0.650.650.680.710.680.600.520.530.500.550.640.520.430.360.45
1.941.872.832.502.231.641.151.161.081.322.001.401.000.741.02
73.3873.2271.8871.9372.3071.6970.4471.0872.7073.4760.4463.9265.4666.0564.33
14.5716.2514.5310.6913.2816.2212.3911.7212.8414.4715.1425.0727.7526.5725.23
14.5716.2514.5310.6913.2816.2212.3911.7212.8414.4715.1425.0727.7526.5725.23
38.2140.5142.6039.6538.9137.2533.9534.4232.9432.6032.1041.9244.0743.8443.36
3.094.2317.09-6.505.033.024.322.14-1.2647.547.5018.6323.6547.7120.51
-1.453.1513.85-8.253.44-0.252.11-0.78-8.5141.393.9710.4724.9342.2123.84
0.390.400.280.340.340.380.430.430.630.480.560.590.620.560.56
33.4928.4219.0031.6537.5328.6426.7819.1522.4111.4514.5818.6820.9721.4225.60
10.0911.488.379.338.858.758.408.4112.579.9516.1214.9516.3615.4815.01
36.1731.8043.6039.1241.2541.7243.4343.3929.0536.6922.6424.4122.3223.5824.32
-7.230.4420.80-16.403.620.250.55-2.70-9.6874.5122.3521.7530.1819.2123.83
5.74-0.43-11.8333.04-18.841.570.89-4.53-15.70-155.74-100.65-612.0526869.2743.50
-1.720.113.76-3.000.750.070.19-0.95-3.4720.725.086.1910.138.689.19
-2.510.166.59-4.751.150.100.26-1.27-4.8033.518.0610.3617.3112.2513.03
20.0221.1226.9322.3526.3427.4432.2533.1037.2237.31-----
7.149.197.408.077.927.868.178.7516.4814.5812.1215.6315.4912.6611.26
2.493.621.762.040.883.123.481.646.363.435.138.469.997.494.61

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
0.660.860.820.870.840.930.971.030.950.540.500.820.860.820.881.141.131.411.100.690.790.770.57-0.800.960.880.870.861.070.881.060.880.840.770.590.550.580.540.500.610.690.970.730.780.740.690.710.670.710.661.021.001.191.051.071.221.441.330.960.930.81
0.630.630.650.640.640.650.650.650.650.710.680.710.710.700.710.720.720.720.680.680.650.600.60-0.530.520.520.530.550.530.530.530.530.500.500.640.610.570.550.520.570.560.640.550.560.510.520.440.460.430.430.330.340.340.360.370.510.430.450.470.490.49
1.781.861.941.871.871.881.871.921.882.662.832.462.492.412.502.612.562.672.232.241.941.691.64-1.261.131.151.361.361.141.161.211.201.061.081.831.681.531.321.201.421.362.001.541.511.341.401.101.110.961.000.640.710.680.740.951.330.961.021.191.241.29
75.7974.3173.4974.4472.7272.8373.0673.4272.7073.7272.3571.3771.4372.2773.9772.1269.3871.9773.0472.4771.8271.7971.4771.6271.0072.6669.4570.6870.4371.2171.0271.1770.9771.1810073.6972.8773.2356.9960.1462.8963.1357.6660.5461.3762.4464.7563.6063.3163.9665.2865.3365.0466.2766.7366.6065.7464.9459.7464.4065.2563.28
23.6621.7915.4614.6814.2913.8117.0214.1917.0716.6916.3318.6912.3910.2111.139.459.6912.3211.3916.0410.3415.4610.8221.2116.7015.895.0916.2012.6915.757.8613.1111.9913.7310.4415.0614.0514.0712.1014.3015.4816.8010.7715.1915.9019.1029.1922.0423.5525.2728.2527.8826.1328.7326.3326.1627.5626.3130.4325.2825.6625.04
23.6621.7915.4614.6814.2913.8117.0214.1917.0716.6916.3318.6912.3910.2111.139.459.6912.3211.3916.0410.3415.4610.8221.2116.7015.895.0916.2012.6915.757.8613.1111.9913.7310.4415.0614.0514.0712.1014.3015.4816.8010.7715.1915.9019.1029.1922.0423.5525.2728.2527.8826.1328.7326.3326.1627.5626.3130.4325.2825.6625.04
--------------------------------------------------------------
10.7010.294.542.532.372.854.630.294.917.0358.253.48-6.793.000.18-5.17-5.46-15.3524.17-8.75-0.473.96-7.537.273.108.597.974.24-1.406.32-11.124.667.966.23-14.255.062.521.988.0614.6921.421663.001.479.2216.9317.7214.8724.9117.1424.9321.4622.2726.0221.1112419.0822.3318.8321.5619.6920.42
5.356.19-4.27--1.580.224.13-2.318.921.6351.240.50-9.994.20-5.15-4.97-11.86-11.2119.30-11.944.271.26-9.976.87-0.101.686.631.93-2.702.41-13.161.943.653.70-25.460.75-5.94-2.752.589.8512.851604.03-2.875.2511.646.879.5117.958.1315.2925.0215.6421.2814.7011814.4617.1949.1716.7114.0316.55
0.100.100.100.100.100.090.100.100.100.090.080.090.090.080.090.080.080.090.090.090.090.090.09-0.110.110.110.110.110.100.100.100.110.100.160.130.130.130.140.120.120.110.150.160.160.150.150.150.160.160.160.160.160.150.150.140.170.150.150.150.150.16
5.606.478.715.585.515.477.025.513.804.115.495.244.756.047.686.098.226.109.696.045.965.826.87-5.825.547.075.634.173.684.564.204.033.705.913.172.432.60-0.194.573.783.674.134.073.634.114.803.934.995.735.486.296.746.495.726.175.566.276.486.708.446.65
2.892.732.632.692.382.772.822.763.092.922.472.252.332.422.432.392.162.232.352.332.322.362.09-2.422.232.152.162.262.152.011.832.082.043.213.373.343.292.903.314.014.144.274.084.143.633.933.703.983.994.254.294.254.334.224.044.223.994.112.983.363.54
31.1132.9334.2333.4337.8632.4831.9332.5529.1130.8136.5040.0838.5737.1237.0137.6341.6640.3738.3538.6438.7738.0943.04-37.1740.3441.9341.5739.8341.8044.8249.1143.2344.0828.0726.6926.9627.3231.0627.2022.4521.7221.1022.0521.7524.7822.8924.3222.6322.5621.1820.9621.1620.7921.3222.2721.3222.5821.8930.1526.8225.43
2.172.34-4.53-0.70-1.33-0.551.16-1.37-0.161.0423.321.07-4.660.40-2.33-2.25-5.08-6.299.14-5.97-1.080.82-4.08--0.131.591.520.03-1.750.61-5.250.580.970.79-11.451.53-1.62-0.181.283.965.8966.942.64-1.692.985.893.724.458.843.697.368.365.375.554.8838.166.926.236.267.206.218.16
-2.37-2.383.590.611.170.50-1.131.280.16-0.61-13.26-2.189.77-0.874.694.6010.2421.42-47.5718.3630.434.99-25.56--0.222.592.480.05-2.971.00-8.810.931.601.25-18.57-1.812.170.31-2.71-9.28-8.54-116.14-11.9010.34-23.324,833-104.8233.0910323.3265.4122.4516.4815.8317.6013715.0710.8511.4315.5814.6320.72
0.550.57-1.07-0.17-0.33-0.140.30-0.35-0.040.194.220.20-0.880.08-0.43-0.41-0.94-1.191.90-1.20-0.240.20-1.11--0.040.560.530.01-0.570.22-1.840.210.350.29-4.110.35-0.39-0.050.361.191.5017.820.60-0.460.841.761.061.472.881.272.474.072.502.652.2015.952.342.512.412.492.072.62
0.800.85-1.57-0.25-0.48-0.190.41-0.48-0.060.307.390.31-1.350.12-0.68-0.63-1.44-1.732.89-1.90-0.380.33-1.65--0.060.760.730.01-0.790.29-2.460.270.460.40-5.680.56-0.63-0.080.581.892.5329.690.95-0.761.312.901.772.494.792.124.225.623.553.683.1124.063.383.523.423.793.194.14
20.8720.3920.0220.8820.9021.1021.1220.9521.1727.4326.9321.0821.31-22.3522.2722.8523.7526.3423.5825.5127.7327.44-30.0033.3532.2530.7730.4033.6533.1035.7335.8337.8937.22---37.31-----------------------
4.141.397.144.772.761.179.195.074.912.097.403.992.160.868.075.193.201.057.925.263.191.467.865.563.521.668.175.553.651.978.756.473.981.7316.3211.296.373.0014.5811.336.583.2212.117.594.752.7115.9110.206.263.6915.8010.956.573.1012.825.135.282.7911.267.595.142.97
2.910.862.491.370.33-0.143.621.471.400.591.760.33-0.27-0.822.040.900.23-0.720.880.27-0.14-0.143.122.491.140.283.481.790.540.361.641.170.23-0.706.304.121.990.933.303.662.180.915.132.481.020.738.615.543.642.5910.187.073.971.857.585.133.301.854.612.381.330.48