Deutsche Telekom

DTE · Xetra · EUR

€26.56Change from previous close: +1.88%Absolute change: +€0.49

Close · October 2, 2026

At a glance

Revenue growth
+2.86%
2025 vs 2024
Net income growth
−14.27%
2025 vs 2024
Net margin
7.9%
2024: 9.5%

Financial data

Amounts in millions of EUR; per-share values in EUR; shares in millions.

Cash flow · Quarterly
ItemQ2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023
Operating cash flow10,24210,8758,96110,7289,76711,1729,17110,81010,2799,6148,7429,692
Depreciation and amortization5,9116,1853,9765,9135,7415,9943,7625,8305,9886,0583,9585,904
Capital expenditure-2,758-2,641-3,482-2,982-2,659-3,191-2,760-2,542-2,556-3,340-2,316-2,995
Investing cash flow-4,481-3,759-4,620-10,349-3,484-5,340-4,619-5,756-3,895-4,630-4,113-3,827
Financing cash flow-9,321-6,159-2,266-5,123-11,9993,095-8,953-1,076-8,701-1,552-4,635-7,329
Dividends paid-5,392-456-6,438-561-4,949-449-474-495-4,272-351-326-138
Share repurchases-526-471-524-585-472-418-504-537-481-452——
Debt issued6,0435,8845,0058603,2058,9021,3212,3993,3453,98033.01,876
Debt repaid-7,265-6,805-4,324-3,496-7,507-2,278-4,796-1,905-6,185-2,945-2,192-6,519
Effect of exchange rates45.0113-24.070.0-853-389669-36581.0121-189192
Net change in cash-3,5141,0692,073-4,696-6,5678,536-3,7323,613-2,2353,552-196-1,272
Free cash flow7,4848,2345,4797,7467,1087,9816,4118,2687,7236,2746,4266,697
Levered free cash flow7,1325,3744,6701197,9032,1973,1971,1976,5674,8973,8484,892