Telefonica Brasil S.A Financial Ratios for Analysis 2009-2024 | VIV

Fifteen years of historical annual and quarterly financial ratios and margins for Telefonica Brasil S.A (VIV).

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
0.960.780.941.071.051.070.940.901.000.971.161.200.930.900.92
0.170.160.130.120.120.060.070.060.100.110.140.120.100.110.15
0.270.280.240.190.200.090.120.130.150.170.200.180.140.160.35
43.5442.9043.7247.3849.9451.6253.0851.0149.5050.7949.4851.1850.6344.1942.02
15.2013.7316.0915.2616.3021.7615.3514.9813.0114.60-2.0521.2619.9021.1119.85
15.2013.7316.0915.2616.3021.7615.3514.9813.0114.60-2.0521.2619.9021.1119.85
40.9040.0943.4341.2940.9641.0133.5332.9929.9229.7314.2137.4435.6533.2535.71
10.7010.0613.5313.9314.4525.9513.2612.0810.9113.5813.4320.4019.4221.7420.02
9.658.5014.1711.0611.3020.5410.679.618.4914.1010.7013.1214.9815.2213.76
0.430.400.380.400.410.420.430.420.400.480.500.480.440.790.77
35.7534.7438.7335.8438.3445.5158.1350.7433.7035.9034.7042.7130.4811361.71
4.344.043.613.853.333.283.873.623.733.925.986.155.716.195.39
84.1390.3010194.9111011194.2110197.9193.0961.0059.3163.9858.9867.73
7.245.938.906.867.1012.476.645.904.9910.988.169.9610.0520.5624.30
24.3921.6624.0516.4617.1430.3817.6416.5014.9036.1326.1330.3532.8024.1428.41
4.173.415.394.394.628.714.554.003.366.765.036.346.6512.0111.94
6.014.967.786.036.2411.706.155.544.479.786.988.789.0618.3520.69
8.447.977.747.9910.5711.6012.8811.7412.4017.10-----
2.272.201.992.222.661.932.341.942.033.573.974.454.945.114.43
1.261.141.051.381.440.560.800.810.640.711.732.892.493.052.13

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
2024-06-302024-03-312023-09-302023-06-302022-12-312022-09-302022-06-302022-03-312021-09-302020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.031.010.920.870.780.850.701.001.071.071.111.021.101.051.091.021.131.070.910.901.010.940.960.961.060.900.900.981.051.000.930.940.890.971.171.161.131.161.261.251.201.201.330.991.030.930.820.830.760.900.950.991.090.921.061.361.26
0.170.170.160.150.160.170.150.130.110.120.100.110.110.120.140.140.130.060.060.070.070.070.060.070.080.060.070.090.100.100.090.090.110.110.120.120.130.140.140.140.120.120.140.090.090.100.080.080.110.110.120.130.130.150.140.230.23
0.270.270.260.270.280.290.240.220.180.190.180.190.190.200.190.210.200.090.090.090.110.120.120.150.160.130.130.130.130.150.160.170.160.170.190.190.200.200.210.210.180.180.180.130.130.140.120.130.230.160.170.180.310.350.310.310.33
44.3844.5043.1644.6742.6542.2143.6543.0943.9046.4545.7147.4449.4648.8850.3150.1150.4349.1752.6051.0053.4637.8768.8553.0952.2354.6850.6949.5748.6550.3149.1449.1249.5041.3650.7863.9145.8617.2462.5960.5463.06100.0064.27100.0062.78-23.6811264.9639.63-31.8069.7353.1470.233.8744.1667.5945.05
14.9214.1016.1514.7115.5514.1512.4912.6616.1017.3514.2612.8516.2817.4616.6214.9716.1548.2425.5129.48-10.7616.1115.7514.6914.8316.9713.4511.8617.9813.9412.6112.5912.959.3114.1815.6618.49-53.6611.356.0214.99100.0018.03100.0018.3977.11-32.4719.6615.8420.1822.0646.2718.5419.1727.5626.8527.81
14.9214.1016.1514.7115.5514.1512.4912.6616.1017.3514.2612.8516.2817.4616.6214.9716.1548.2425.5129.48-10.7616.1115.7514.6914.8316.9713.4511.8617.9813.9412.6112.5912.959.3114.1815.6618.49-53.6611.356.0214.99100.0018.03100.0018.3977.11-32.4719.6615.8420.1822.0646.2718.5419.1727.5626.8527.81
---------------------------------------------------------
12.359.0311.8110.8910.8913.857.418.0114.9014.8214.1012.1314.4915.8213.8512.7615.3315.0931.5343.0715.0514.5214.1912.2212.0914.0510.688.9614.9412.1210.1810.8710.5315.5713.3614.4611.2314.5911.2913.4315.73100.0017.61100.0017.6322.1116.8020.6417.0923.2319.6719.1117.1818.9118.0319.9917.77
8.936.6111.228.829.0311.806.456.6611.9411.6611.2310.7910.6611.138.7413.0612.2314.7629.5229.2510.1813.8211.238.169.4111.378.916.6611.6810.578.388.736.4513.9211.7223.137.6710.498.8210.779.4716.5511.0613.1711.5116.8616.1113.9010.5514.3116.2913.1210.3513.3915.3513.8612.19
0.110.110.110.110.100.100.100.100.100.090.100.090.100.100.100.100.100.100.100.100.110.110.110.100.100.110.110.100.100.090.100.100.120.110.120.120.140.120.120.110.120.120.120.120.130.120.120.120.190.210.200.270.190.220.220.230.22
7.387.258.399.269.009.148.328.1110.408.6711.258.757.559.578.199.369.9911.3311.1110.799.8319.258.9112.8712.7212.3510.5411.0810.537.778.327.457.0110.738.276.107.7914.115.077.457.95-6.52-7.1212.346.195.4524.3770.486.786.056.7829.4411.916.0411.36
1.131.101.151.151.041.031.040.970.890.910.910.890.850.810.780.760.800.780.880.980.950.970.950.920.930.950.980.980.980.871.020.981.040.881.051.391.161.441.511.461.541.531.631.591.701.581.651.681.541.641.521.971.451.551.421.381.40
79.6581.5878.2378.0786.2987.7186.2492.9710198.4598.7110110611111511811311610291.4694.6392.9094.6998.3497.1494.4191.4792.1391.7210388.4191.9186.9510385.4264.5677.4662.3859.6761.5158.5658.9355.2656.7153.0657.1154.6653.5658.5154.7459.2845.6762.2758.0563.3165.4364.42
1.781.302.131.631.642.081.101.071.891.721.731.611.621.711.372.041.862.124.454.451.562.151.761.271.431.841.391.021.761.451.311.301.342.422.294.481.662.051.731.951.833.122.112.392.163.133.132.674.025.135.906.253.486.056.015.605.12
5.924.467.295.715.987.314.092.854.444.134.123.913.834.133.325.084.425.1710.9411.174.005.714.683.513.885.133.983.005.084.344.024.014.757.966.3812.835.306.565.446.165.749.506.217.526.6510.2216.7314.824.876.036.747.113.967.086.956.515.98
0.990.721.230.930.941.170.620.641.161.101.111.011.051.110.871.261.211.483.053.031.071.471.200.840.961.250.940.691.200.980.870.850.801.491.452.871.041.261.061.191.171.981.361.611.462.071.961.702.043.003.293.551.922.973.363.152.72
1.481.081.791.381.371.730.930.931.691.511.561.441.451.501.181.751.611.994.174.161.451.991.651.191.311.721.290.931.581.301.191.171.192.152.013.931.441.751.491.681.622.751.822.171.962.822.882.453.584.585.205.463.045.155.194.323.92
8.058.408.578.377.977.918.288.027.917.997.707.659.5310.5710.5510.5311.3611.6010.7511.7112.8612.8813.0212.6613.1411.7412.5411.5510.5312.4011.3812.9513.5117.1017.55----------------------
1.240.601.851.242.201.631.120.511.592.221.661.080.612.661.911.210.551.931.110.810.542.340.000.950.321.941.480.850.312.030.990.740.313.572.521.510.483.972.651.810.994.452.990.001.073.142.872.100.983.793.602.371.120.003.111.760.74
0.760.371.130.811.140.900.680.330.901.381.020.680.411.441.000.570.220.560.220.200.150.80-0.31-0.020.810.620.360.030.640.130.01-0.230.710.861.51-0.061.731.010.510.632.891.63-0.281.581.420.920.152.261.911.270.51-1.270.590.18