Telia revenue and financials
kr 44.57Change from previous close: +2.22%Absolute change: +kr 0.97
In the fiscal year ended December 2025, Telia reported revenue of kr 80.98B (+0.02% year over year). Net income was kr 3.53B, a net margin of 4.4%.
Fiscal year ending in December. Sources and method on the page Methodology and sources.
At a glance
- Revenue growth
- +0.02%
- 2025 vs 2024
- Net income growth
- −50.20%
- 2025 vs 2024
- Net margin
- 4.4%
- 2024: 8.7%
Financial data
Amounts in millions of SEK; per-share values in SEK; shares in millions.
| Item | 2025 | 2024 | 2023 | 2022 | 2021 |
|---|---|---|---|---|---|
| Operating cash flow | 27,602 | 21,196 | 24,671 | 24,001 | 27,376 |
| Depreciation and amortization | 19,382 | 18,767 | 20,123 | 19,060 | 19,888 |
| Capital expenditure | -14,980 | -13,889 | -15,466 | -15,908 | -15,647 |
| Investing cash flow | -7,153 | 4,107 | -22,058 | -9,936 | -10,908 |
| Financing cash flow | -18,795 | -27,341 | 2,653 | -21,779 | -10,600 |
| Dividends paid | -7,864 | -7,864 | -5,898 | -8,252 | -8,179 |
| Share repurchases | -31.0 | 0.0 | 0.0 | -5,521 | -21.0 |
| Debt issued | 304 | 23,756 | 15,701 | 53,779 | 8,289 |
| Debt repaid | -9,294 | -44,155 | -8,274 | -62,348 | -17,529 |
| Effect of exchange rates | 61.0 | 85.0 | -372 | 227 | 157 |
| Net change in cash | 1,715 | -1,952 | 4,893 | -7,487 | 6,025 |
| Free cash flow | 12,622 | 7,307 | 9,205 | 8,093 | 11,729 |
| Levered free cash flow | 12,155 | 17,407 | 12,569 | 10,123 | 18,592 |
