TipRanks
Telenor ASA (DE:TEQA)
FRANKFURT:TEQA
Germany Market

Telenor ASA (TEQA) Cash flow

5 Followers

Telenor ASA Cash Flow

DE:TEQA's free cash flow for Q2 2026 was kr3.34B. For the 2026 fiscal year, DE:TEQA's free cash flow was decreased by kr1.20B and operating cash flow was kr5.68B. See a summary of the company’s cash flow.
Cash Flow
Dec 25Dec 24Dec 23Dec 22Dec 21
Operating Cash Flow
kr 31.22Bkr 31.48Bkr 29.12Bkr 39.22Bkr 42.27B
Investing Cash Flow
kr -9.84Bkr -11.49Bkr -18.30Bkr -23.14Bkr -17.23B
Financing Cash Flow
kr -15.20Bkr -29.39Bkr -1.53Bkr -23.98Bkr -27.90B
End Cash Position
kr 16.26Bkr 10.10Bkr 19.58Bkr 9.68Bkr 16.98B
Free Cash Flow
kr 19.29Bkr 18.10Bkr 14.39Bkr 19.92Bkr 22.82B
Currency in NOK

Telenor ASA Cash Flow