TeliaSonera AB Financial Ratios for Analysis 2009-2024 | TLSNY

Fifteen years of historical annual and quarterly financial ratios and margins for TeliaSonera AB (TLSNY).

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
0.990.880.990.920.801.222.181.301.881.641.611.611.011.211.30
0.630.580.520.610.520.460.450.470.470.440.410.420.350.310.31
1.981.501.221.701.290.940.871.000.990.870.800.810.640.490.50
61.9634.0033.9936.0537.0937.5838.4439.7839.0342.5243.0844.3445.3445.9544.15
5.61-10.3717.24-19.9014.3015.8417.1425.0516.8722.4424.0526.9722.1222.7620.44
5.61-10.3717.24-19.9014.3015.8417.1425.0516.8722.4424.0526.9722.1222.7620.44
39.5038.6245.5415.8937.2032.7440.2241.2841.9437.8739.0346.5622.1235.4132.36
1.24-14.0714.26-23.6210.8813.1511.8422.8713.5019.9021.0123.3425.6628.0925.30
0.34-16.1213.22-25.698.253.8012.034.439.8814.3514.7218.9620.1922.1119.49
0.390.410.370.390.330.340.330.330.340.370.400.410.410.430.40
14.6420.5428.5829.7427.5128.1332.3228.2928.2132.6536.5935.9838.6741.2939.31
6.095.976.366.465.144.744.854.825.055.025.264.704.625.355.10
59.9461.1557.4356.5371.0776.9875.2375.7472.3572.7369.4377.5978.9468.1771.52
0.01-20.9313.96-35.158.229.278.0017.329.3313.4114.8518.6716.4816.0213.23
-0.05154-149.2194.13-72.0710129.4568.6927.8251.6553.3870.2863.6550.4544.61
0.00-6.364.92-9.922.883.823.456.483.755.736.638.328.058.486.99
0.00-8.736.66-13.693.955.014.369.234.927.558.6910.8210.6411.009.15
2.733.284.763.414.655.445.705.125.607.868.017.74---
1.181.181.551.541.401.501.281.401.931.982.202.650.001.701.82
0.440.400.670.810.630.720.390.400.920.891.181.62-0.801.00

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
0.830.920.990.960.810.950.880.880.961.000.990.870.870.870.921.050.930.970.800.990.921.211.221.891.822.302.181.961.591.521.301.161.441.771.881.541.401.461.641.671.462.221.611.531.261.401.611.140.900.921.011.030.861.271.211.150.991.171.301.111.071.17
0.630.620.630.610.620.590.580.500.510.510.520.560.570.570.610.570.580.540.520.530.520.490.460.460.460.440.450.480.490.450.470.490.460.450.470.460.460.430.440.430.430.430.410.410.410.390.420.420.410.390.350.360.360.360.310.310.300.290.310.290.300.29
1.791.761.981.771.881.661.501.101.091.111.221.471.521.531.701.451.511.331.291.261.241.100.940.910.910.820.870.961.010.841.001.090.970.940.990.980.940.920.870.830.850.760.800.800.810.750.810.800.810.820.640.680.640.580.490.470.490.460.500.490.490.47
62.2763.0660.7363.9362.6360.5627.8035.7336.9735.5731.1134.9636.2633.7434.4337.9336.5335.5334.5138.8837.5337.5932.3740.8638.6738.6238.4738.5736.7939.9838.2540.2840.0640.44-12.2943.4243.5841.8336.9143.8644.4344.6939.2445.5444.1843.5941.1045.4145.2044.4243.5347.2246.8347.2451.7547.1943.5443.6648.3643.9744.4343.50
13.1510.74-12.9915.989.648.18-78.6814.2012.7011.176.5612.5141.448.35-92.4717.62-4.3510.7311.3616.9113.6115.4810.5018.2717.6517.1228.938.4211.4518.9139.0622.6919.4020.03-46.6925.4520.0719.6616.4324.8722.4925.8417.2128.0924.8626.4448.9229.258.4621.0321.2421.2417.5422.7917.6224.8822.3522.0814.0023.2918.2519.24
13.1510.74-12.9915.989.648.18-78.6814.2012.7011.176.5612.5141.448.35-92.4717.62-4.3510.7311.3616.9113.6115.4810.5018.2717.6517.1228.938.4211.4518.9139.0622.6919.4020.03-46.6925.4520.0719.6616.4324.8722.4925.8417.2128.0924.8626.4448.9229.258.4621.0321.2421.2417.5422.7917.6224.8822.3522.0814.0023.2918.2519.24
--------------------------------------------------------------
8.954.80-17.3710.835.304.53-82.0510.719.516.454.059.3338.355.19-96.6914.31-8.607.697.8613.7110.0912.047.3915.6314.9314.8118.755.326.8616.1737.4320.2517.5117.26-70.6424.3317.3318.1414.6422.2419.9922.5914.4325.1321.8423.0225.0225.5920.5521.0925.7128.2823.6026.9730.1530.8427.1225.6827.2327.9424.3023.56
20.922.81-13.918.143.272.61-82.327.616.844.265.787.5134.974.42-98.7311.70-9.434.945.8311.217.538.60-4.5613.6610.38-3.584.3311.55-2.0036.2836.50-40.936.8118.47-49.4316.9812.0214.2610.7016.0014.1716.468.2818.2915.9516.7425.4219.8316.1515.2120.9218.2714.9118.7919.8322.3821.7519.9917.7918.6316.2618.49
0.110.100.090.090.100.100.100.090.090.090.100.090.100.090.110.090.090.080.080.080.080.080.090.080.080.080.090.080.080.080.080.080.080.080.020.100.100.090.090.100.100.100.100.100.100.100.110.110.110.100.100.100.100.100.110.110.110.100.100.110.100.10
3.863.173.463.273.323.155.665.405.996.707.648.018.047.968.537.767.928.447.418.198.346.477.776.577.406.448.787.787.226.746.878.448.246.853.697.956.637.638.757.997.408.2910.199.558.888.389.7010.149.148.939.8710.919.948.5210.4310.4912.1111.1610.6310.3410.369.92
1.591.491.401.511.531.561.501.621.641.681.631.601.631.591.811.611.471.321.331.321.271.231.211.231.211.201.321.211.111.301.141.371.251.250.361.491.381.251.231.451.181.361.371.271.061.181.291.231.231.161.161.141.211.281.351.271.301.261.291.261.251.20
56.6860.3364.4859.4358.7057.5459.8355.5454.9453.7055.2956.2755.1656.5349.8455.8961.2168.0067.6968.0870.6173.4774.4872.9274.3975.1268.2474.5181.0269.3578.9065.8072.1471.9725160.5865.2372.2073.4662.2476.5266.2865.6371.1185.1176.1469.7373.2773.1577.8277.8178.9174.5870.3566.9170.9069.3671.4969.8871.3171.7474.82
---6.00----27.88---1.14----38.30---1.45---1.69---3.76---7.29----3.26---2.18---2.39---6.45--3.374.403.82--4.00---3.44---
-12.80-7.7428.60-16.30-5.74-8.36206-35.94-60.21-22.53-12.15-8.78-39.66-4.76103-13.419.06-13.57-12.74-99.24-51.3818.3418.4412.2112.267.2313.853.946.338.6728.8920.7910.028.27-9.7222.9916.8313.298.4016.4616.2212.938.6018.8219.1514.8324.2926.1825.2715.6317.0016.0714.9313.7112.6014.6414.8411.5211.6012.6311.4111.47
0.760.34-1.510.770.400.33-8.470.760.680.460.400.713.460.42-10.801.04-0.820.510.510.940.660.750.701.061.070.931.620.340.481.062.731.391.121.16-1.311.891.401.440.931.731.591.751.072.121.821.832.882.151.731.502.151.831.541.812.122.442.302.031.821.971.691.83
1.050.47-2.201.090.560.44-11.631.040.910.600.541.004.850.59-14.921.39-1.100.660.701.250.880.990.911.361.381.162.050.440.651.413.882.071.581.53-1.722.501.841.941.232.262.092.171.402.782.462.453.742.822.342.072.842.432.022.402.753.163.022.642.382.632.232.41
2.692.932.733.023.013.293.284.274.564.624.764.084.064.113.414.393.914.704.654.714.705.515.445.425.626.475.705.524.895.175.124.795.485.685.605.926.016.697.867.507.568.228.017.647.508.03----------------
0.510.171.180.640.290.071.180.830.570.311.551.160.800.441.541.150.680.361.401.110.680.331.501.070.760.431.280.970.790.391.401.120.720.351.931.470.990.401.981.510.830.392.201.670.890.352.662.141.610.000.000.000.420.351.701.200.660.301.821.320.790.35
0.160.000.440.090.290.070.400.830.570.310.671.160.800.440.811.150.680.360.631.110.680.330.721.070.760.430.390.970.790.390.401.120.720.350.921.470.990.400.891.510.830.391.181.670.890.351.632.141.13---0.150.180.800.680.380.191.000.750.440.20