₪4.61
+ ₪0.04 (0.87%)
End-of-day quote: 04/29/2024
TASE:BEZQ

Bezeq The Israel Telecommunication Corp. Ltd Annual Report

Year Year 2022 2020 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue
₪8.99B ₪8.72B ₪9.32B ₪9.79B ₪10.08B ₪9.99B ₪9.06B ₪9.56B ₪10.28B ₪11.37B ₪11.99B ₪11.52B ₪11.02B ₪11.14B ₪12.23B ₪11.93B ₪9.27B
GM % Gross Margin %
79.61% 78.23% 78.53% 79.52% 79.90% 80.24% 80.24% 80.27% 80.58% 81.39% 82.95% 82.52% 37.60% 34.74% 30.08% 28.18% 48.33%
OM Operating Margin
20.58% 20.78% 17.47% 22.57% 22.76% 24.41% 28.98% 28.52% 28.24% 30.04% 29.47% 27.35% 24.38% 20.36% 14.81% 12.03% 15.01%
EPS Earnings Per Share
₪0.00 ₪0.48 ₪0.42 ₪0.42 ₪0.22 ₪0.47 ₪0.53 ₪0.62 ₪0.77 ₪0.65 ₪0.68 ₪0.76 ₪0.90 ₪0.80 ₪0.61 ₪0.50 ₪0.31 ₪0.23 ₪0.24
Div. Dividends
₪0.09 ₪0.00 ₪0.24 ₪0.39 ₪0.45 ₪0.62 ₪0.77 ₪0.65 ₪1.13 ₪1.17 ₪0.43 ₪0.92 ₪0.62 ₪1.24 ₪0.84 ₪0.46 ₪0.00
PR % Payout Ratio %
21.43% 0.00% 109.09% 82.98% 84.91% 100.00% 100.00% 100.00% 166.18% 153.95% 47.78% 115.00% 101.64% 248.00% 270.97% 200.00% 0.00%
Sha. Shares
2765.57m 2765.49m 2765.49m 2765.47m 2765.47m 2762.15m 2743.28m 2730.13m 2724.75m 2713.63m 2685.92m 2659.73m 2605.05m 2605.05m 2605.05m 2605.05m 2605.05m
OCF Operating Cash Flow
₪3.50B ₪3.22B ₪3.51B ₪3.53B ₪3.53B ₪3.74B ₪3.80B ₪4.15B ₪4.01B ₪3.19B ₪3.70B ₪3.92B ₪3.41B ₪2.95B ₪3.54B ₪3.19B ₪2.85B
FCF Free Cash Flow
₪2.15B ₪2.09B ₪2.30B ₪2.09B ₪2.11B ₪2.26B ₪2.75B ₪3.24B ₪2.78B ₪1.64B ₪2.21B ₪2.55B ₪2.11B ₪1.97B ₪2.59B ₪1.72B ₪1.20B
FCFS Free Cash Flow Per Share
₪0.65 ₪0.62 ₪0.69 ₪0.72 ₪0.76 ₪0.77 ₪0.92 ₪1.07 ₪0.91 ₪0.48 ₪0.78 ₪0.84 ₪0.63 ₪0.65 ₪0.91 ₪0.57 ₪0.46