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Deutsche Telekom at a glance

millions of €

 

 

 

 

 

 

 

 

 

 

H1 2022

H1 2021

Change
%

Q2 2022

Q2 2021

Change
%

FY 2021

Revenue and earnings

 

 

 

 

 

 

 

 

Net revenue

 

56,191

52,983

6.1

28,168

26,593

5.9

108,794

Of which: domestic

%

22.3

21.6

 

21.4

19.5

 

23.0

Of which: international

%

77.7

78.4

 

78.6

80.5

 

77.0

Service revenue

 

45,178

40,913

10.4

22,891

20,657

10.8

84,057

EBITDA

 

23,019

20,830

10.5

9,927

10,469

(5.2)

40,539

EBITDA (adjusted for special factors)

 

22,912

21,575

6.2

11,476

10,877

5.5

43,175

EBITDA AL

 

18,539

17,591

5.4

7,453

8,793

(15.2)

33,893

EBITDA AL (adjusted for special factors)

 

19,763

18,662

5.9

9,891

9,418

5.0

37,330

EBITDA AL margin (adjusted for special factors)

%

35.2

35.2

 

35.1

35.4

 

34.3

Profit (loss) from operations (EBIT)

 

8,684

7,207

20.5

2,356

3,688

(36.1)

13,057

Net profit (loss)

 

5,409

2,815

92.1

1,460

1,879

(22.3)

4,176

Net profit (loss) (adjusted for special factors)

 

4,683

3,315

41.3

2,445

2,113

15.7

5,862

Earnings per share (basic/diluted)

1.09

0.59

84.7

0.29

0.40

(27.5)

0.87

Adjusted earnings per share (basic/diluted)

0.94

0.70

34.3

0.49

0.45

8.9

1.22

Statement of financial position

 

 

 

 

 

 

 

 

Total assets

 

301,686

270,504

11.5

 

 

 

281,627

Shareholders’ equity

 

88,492

77,000

14.9

 

 

 

81,469

Equity ratio

%

29.3

28.5

 

 

 

 

28.9

Net debt

 

146,104

127,972

14.2

 

 

 

132,142

Cash flows

 

 

 

 

 

 

 

 

Net cash from operating activities

 

17,979

16,387

9.7

8,621

8,080

6.7

32,171

Cash capex

 

(12,259)

(16,593)

26.1

(5,086)

(4,322)

(17.7)

(26,366)

Cash capex (before spectrum investment)

 

(9,642)

(8,570)

(12.5)

(4,984)

(4,287)

(16.3)

(17,978)

Free cash flow (before dividend payments and spectrum investment)

 

8,421

7,923

6.3

3,671

3,851

(4.7)

14,332

Free cash flow AL (before dividend payments and spectrum investment)

 

6,540

5,350

22.2

2,759

2,766

(0.3)

8,810

Net cash used in investing activities

 

(10,148)

(16,307)

37.8

(5,636)

(3,934)

(43.3)

(27,403)

Net cash used in financing activities

 

(10,491)

(4,513)

n.a.

(7,838)

(5,100)

(53.7)

(10,779)

For information on the development of business in the operating segments, please refer to the section “Development of business in the operating segments” in the interim Group management report and in the IR back-up on our Investor Relations website.

millions

 

 

 

 

 

 

June 30, 2022

Dec. 31, 2021

Change
June 30, 2022/
Dec. 31, 2021 
%

June 30, 2021

Change
June 30, 2022/
June 30, 2021 
%

Fixed-network and mobile customers

 

 

 

 

 

Mobile customersa

241.1

248.2

(2.9)

246.6

(2.3)

Fixed-network lines

25.3

26.1

(3.0)

27.4

(7.7)

Broadband customersb

21.1

21.6

(2.3)

22.0

(4.3)

a

Including T-Mobile US wholesale customers.

b

Excluding wholesale.

The figures shown in this report were rounded in accordance with standard business rounding principles. As a result, the total indicated may not be equal to the precise sum of the individual figures. Changes were calculated on the basis of millions for greater precision.