R$45.85
+ R$0.54 (1.19%)
End-of-day quote: 05/15/2024
BOVESPA:VIVT3

Telefônica Brasil Annual Report

Year Year 2023 2022 2021 2020 2017 2016 2015 2014 2013 2012 2011 2010
Rev. Revenue
R$52.10B R$48.04B R$44.03B R$43.13B R$43.21B R$42.51B R$40.29B R$35.00B R$34.72B R$33.92B R$29.13B R$15.80B
GM % Gross Margin %
47.50% 46.87% 47.59% 51.30% 53.08% 55.39% 49.50% 55.63% 49.48% 56.52% 52.76% 45.54%
OM Operating Margin
15.96% 14.32% 14.48% 14.83% 15.35% 16.21% 15.53% 16.84% 14.21% 20.28% 19.40% 21.28%
EPS Earnings Per Share
R$0.00 R$3.03 R$2.44 R$3.21 R$2.79 R$2.73 R$2.42 R$1.97 R$4.12 R$3.30 R$3.96 R$4.51 R$4.73
Div. Dividends
R$1.66 R$2.75 R$3.49 R$1.97 R$2.72 R$2.27 R$1.30 R$4.45 R$3.06 R$0.00 R$5.02 R$3.78
PR % Payout Ratio %
54.79% 112.70% 108.72% 70.61% 99.63% 93.80% 65.99% 108.01% 92.73% 0 111.31% 79.92%
Sha. Shares
1652.58m 1663.56m 1676.94m 1688.17m 1688.69m 1688.69m 1688.69m 1123.27m 1123.27m 1123.27m 1123.88m 505.84m
OCF Operating Cash Flow
R$18.79B R$18.94B R$18.07B R$19.34B R$12.64B R$11.44B R$9.90B R$9.38B R$9.58B R$10.05B R$8.14B R$4.53B
FCF Free Cash Flow
R$10.14B R$9.05B R$8.78B R$11.05B R$4.27B R$3.97B R$3.10B R$1.85B R$3.54B R$5.18B R$3.49B R$2.41B
FCFS Free Cash Flow Per Share
R$6.01 R$5.42 R$5.21 R$6.55 R$2.53 R$2.35 R$2.08 R$1.65 R$3.33 R$4.90 R$3.76 R$4.76