Deutsche Telekom AG

OTC: DTEGY · Real-Time Price · USD
36.19
0.46 (1.29%)
At close: Aug 15, 2025, 3:56 PM
36.15
-0.11%
After-hours: Aug 15, 2025, 04:00 PM EDT

Deutsche Telekom Balance Sheet Statement

Financials in EUR. Fiscal year is January - December.
Fiscal Year Q1 2025 Q4 2024 Q3 2024 Q2 2024 Q1 2024 Q4 2023 Q3 2023 Q2 2023 Q1 2023 Q4 2022 Q3 2022 Q2 2022 Q1 2022 Q4 2021 Q3 2021 Q2 2021 Q1 2021
Period Ending Mar 31, 2025 Dec 31, 2024 Sep 30, 2024 Jun 30, 2024 Mar 31, 2024 Dec 31, 2023 Sep 30, 2023 Jun 30, 2023 Mar 31, 2023 Dec 31, 2022 Sep 30, 2022 Jun 30, 2022 Mar 31, 2022 Dec 31, 2021 Sep 30, 2021 Jun 30, 2021 Mar 31, 2021
Cash & Equivalents
17.01B 8.36B 12.2B 8.59B 10.83B 7.27B 7.47B 8.74B 10.91B 5.61B 8.5B 5.28B 9.88B 6B 6.34B 8.86B 9.87B
Short-Term Investments
4.64B 6M 4.82B 4.09B 5.2B 6M 5.33B 5.32B 5.47B 5M 4.99B 4.18B 3.58B 6M 3.3B 3.06B 2.72B
Long-Term Investments
8.02B 8.15B 4.33B 4.73B 8.87B 8.65B 7.18B 6.91B 7.34B 2.41B 3.08B 3.03B 3.15B 1.6B 2.73B 3.9B 3.2B
Other Long-Term Assets
8.33B 8B 9.94B 14.82B 5.1B -6.83B 10.29B 10.13B 10.22B 8.67B 9.83B 8.63B 7.93B 8.12B 6.94B 6.63B 6.17B
Receivables
18.59B 23.32B 16.91B n/a n/a 18.58B n/a n/a n/a 19.18B n/a 18.95B n/a 17.33B n/a n/a n/a
Inventory
2.67B 2.45B 2.54B 2.26B 2.42B 2.42B 2.58B 2.25B 2.66B 2.64B 3.15B 2.99B 3.22B 2.85B 2.14B 2.07B 2.57B
Other Current Assets
4.9B 3.02B 3.64B 8.91B 8.12B 8.08B 7.99B 7.99B 8.31B 11.56B 11.67B 2.23B 5.8B 10.99B 10.03B 5.84B 6.11B
Total Current Assets
47.82B 37.16B 40.12B 37.4B 38.99B 36.36B 36.26B 37.23B 40.33B 39.14B 42.54B 33.63B 36.51B 38.8B 34.59B 32.73B 33.8B
Property-Plant & Equipment
95.55B 86.7B 94.29B 97.46B 97.96B 97.87B 100.68B 100.15B 100.06B 87.16B 104.67B 103.25B 100.19B 92.55B 90.88B 91.06B 92.48B
Goodwill & Intangibles
142.65B 161.24B 135.72B 141.64B 138.25B 147.85B 141.05B 138.03B 138.14B 152.9B 151.94B 144.54B 137.22B 132.65B 130.71B 128.43B 130.15B
Total Long-Term Assets
257.16B 267.77B 248.49B 258.64B 256.23B 277.08B 266.25B 262.47B 263.47B 259.45B 278.82B 268.06B 255.91B 242.83B 238.77B 237.78B 240.1B
Total Assets
304.98B 304.93B 288.61B 296.04B 295.22B 313.44B 302.51B 299.7B 303.79B 298.59B 321.36B 301.69B 292.42B 281.63B 273.36B 270.5B 273.9B
Account Payables
8.85B 9.36B 7.72B 10.54B 8.33B 10.78B 10.22B 10.38B 11.11B 11.98B 11.54B 11.18B 10.87B 10.4B 8.23B 8.34B 8.94B
Deferred Revenue
n/a n/a n/a n/a 1.94B 2.08B 8.26B 8.42B 1.93B 1.97B 1.83B 1.86B 1.74B 11.36B 9.1B 7.95B 17.78B
Short-Term Debt
10.63B 6.11B 7.34B 9.3B 8.63B 9.62B 9.29B 13.55B 12.23B 14.39B 17.12B 12.2B 10.68B 12.24B 10.81B 11.9B 11.45B
Other Current Liabilities
12.85B 11.56B 13.51B 12.43B 12.47B 5.57B 2.92B 1.87B 9.16B 7.43B 12.71B 9.07B 8.31B 6.53B 2.23B 2.06B 10B
Total Current Liabilities
38.84B 35.18B 34.83B 37.77B 35.14B 36.06B 36.48B 39.62B 39.91B 45.39B 48.65B 39.65B 36.49B 38.8B 35.03B 35.23B 35.3B
Long-Term Debt
99.63B 98.79B n/a 97.39B 98.21B 94.9B 99.5B 96.43B 96.15B 98.64B 105.27B 102.31B 99.88B 99.22B 98.11B 97.79B 99.81B
Other Long-Term Liabilities
11.29B 12.45B 105.27B 33.68B 33.5B 56.09B 33.14B 32.65B 32.08B 33.57B 35.59B 34.06B 33.17B 34.04B 33.21B 32.2B 32.99B
Total Long-Term Liabilities
168.36B 171.11B 161.39B 165.84B 166.87B 186.14B 169.46B 165.69B 165.19B 165.88B 178.23B 173.55B 168.27B 161.35B 159.46B 158.28B 161.12B
Total Liabilities
207.2B 206.29B 196.22B 203.61B 202.01B 222.21B 205.94B 205.3B 205.11B 211.27B 226.88B 213.19B 204.77B 200.16B 194.49B 193.5B 196.42B
Total Debt
148.55B 145.15B 45.76B 136.23B 147.58B 142.75B 147.05B 147.11B 146.31B 147.75B 160.1B 153.24B 147.84B 142.07B 139.15B 140.5B 33.22B
Common Stock
12.77B 12.77B 12.77B 12.77B 12.77B 12.77B 12.77B 12.77B 12.77B 12.77B 12.77B 12.77B 12.77B 12.77B 12.77B 12.19B 12.19B
Retained Earnings
-2.87B -5.75B -9.59B -12.1B -10.53B -12.08B -10.79B -12.87B -10.7B -26.49B -27.45B -28.53B -27.46B -32.18B -33.02B -33.4B -33.06B
Comprehensive Income
n/a n/a n/a 57.49B 234M -525M 1.43B 474M 306M 784M 4.01B 1.53B -838M -1.63B -2.31B -2.96B -2.88B
Shareholders Equity
64.08B 63.3B 58.67B 58.03B 59.13B 56.92B 62.04B 59.64B 62.54B 48.56B 51.44B 47.99B 48.13B 42.68B 41.09B 38.37B 38.73B
Total Investments
8.02B 8.15B 9.15B 8.82B 8.87B 8.66B 12.52B 12.23B 12.81B 2.41B 8.06B 7.21B 6.73B 1.61B 6.03B 6.96B 5.92B