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Telefônica Brasil S.A. (VIVT3): Kapitalflussrechnung

Takani Score ?
45.3

Preis (11.09.2026)52W Hoch52W Tief
30,27 Real41,211 Real28,884 Real
Analysten KonsensBuyOutperformHoldUnderperformSell
37,447 Real-----
Externe Analystenschätzungen (Quelle: EODHD) – keine Anlageempfehlung von Takani.
#SharesShort [%]Short Ratio
3.195.606.352--

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Kennzahl in 1000 BRL
2025-12-312024-12-312023-12-312022-12-312021-12-312020-12-312019-12-312018-12-312017-12-312016-12-312015-12-312014-12-312013-12-312012-12-312011-12-312010-12-312009-12-312008-12-312007-12-312006-12-312005-12-312004-12-312003-12-312002-12-312001-12-312000-12-311999-12-311998-12-31
Umsatz
59.595.00055.845.04852.100.15148.041.16244.032.61343.126.47244.268.17143.462.74043.206.83242.508.45940.286.81534.999.96934.721.89733.919.65629.116.64415.756.10015.805.95515.978.98514.726.348,29914.607.635,66214.395.10113.308.63011.804.75910.088.104,6999.048.688,6787.514.677,1715.585.195,9374.520.117,84
Cashflow aus operativer Geschäftstätigkeit
20.717.40219.876.56818.785.92618.941.92518.072.60019.341.75017.721.19611.941.42712.641.06011.440.8259.897.2059.384.2199.576.28010.053.9978.141.3754.532.2584.449.4735.129.8804.729.994,684.995.016,5925.536.7415.606.3314.976.6224.573.5793.769.262,4272.641.997,6052.686.241,6042.138.514
Operative Cashflow Marge
34,76%35,59%36,06%39,43%41,04%44,85%40,03%27,48%29,26%26,91%24,57%26,81%27,58%29,64%27,96%28,77%28,15%32,1%32,12%34,19%38,46%42,13%42,16%45,34%41,66%35,16%48,1%47,31%
Investitionsausgaben (CapEx)
9.457.5579.324.1238.811.3469.894.1169.295.4848.289.2648.838.6418.517.4588.367.6607.470.8696.792.8957.535.0115.837.1724.546.6634.653.7082.126.4652.324.1412.102.4381.991.415,2461.716.726,4751.673.8891.338.9071.321.2261.568.7514.478.478,9144.217.364,4342.859.788,6832.593.763,76
Cashflow aus Investitionstätigkeit
-10.017.519-8.914.793-7.850.993-14.203.027-8.127.768-6.408.456-7.927.188-5.676.333-8.438.222-6.894.572-14.625.707-7.607.642-5.543.799-3.720.839-2.028.835-1.658.711-2.295.901-2.074.639-2.270.051,464-1.880.963,095-1.665.160-1.415.128-1.278.294-1.613.622-4.525.712,174-3.738.549,446-3.001.401,688-2.609.349,54
Cashflow aus Finanzierungstätigkeit
-10.358.642-8.628.953-8.850.491-8.913.547-9.258.430-10.564.590-9.781.959-6.934.104-5.257.610-4.777.9885.372.658-3.627.824-4.622.030-2.089.216-4.728.913-3.593.848-1.617.562-2.247.510-1.739.763,983-3.363.869,475-3.646.702-4.167.559-3.974.036-2.675.615865.709,316132.834,306-692.526,131508.773,02
Freier Cashflow
11.259.84510.552.4459.974.5809.047.8098.777.11611.052.4868.882.5553.423.9694.273.4003.969.9563.104.3101.849.2083.739.1085.507.3343.487.6672.405.7932.125.3323.027.4422.738.579,4343.278.290,1173.862.8524.267.4243.655.3963.004.828-709.216,487-1.575.366,829-173.547,079-455.249,76
Freie Cashflow Marge
18,89%18,9%19,15%18,83%19,93%25,63%20,07%7,88%9,89%9,34%7,71%5,28%10,77%16,24%11,98%15,27%13,45%18,95%18,6%22,44%26,83%32,07%30,97%29,79%-7,84%-20,96%-3,11%-10,07%
Ausgeschüttete Dividenden
-2.187.402-2.532.399-3.832.612-5.709.263-4.901.326-5.259.367-6.176.842-4.136.878-3.668.551-2.966.384-3.678.665-2.446.621-4.535.519-3.493.997-5.387.601-1.919.906-1.488.705-2.217.814-2.628.510,161-3.074.335,685-3.131.877,722-3.658.365-3.126.471,193-1.490.126,167-809.365,674-572.454,556-513.620,129-114.054,08
Neuausgabe und Rückkäufe von Stammaktien
-3.694.108-2.760.862-488.758-607.443-495.995-22.721---32-164-87.805-245-289-32.768-61.620----112.139,972-17.676,292-58.855,758-2.944------

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