Telstra Group

TLS · ASX · AUD

$4.83Change from previous close: +0.42%Absolute change: +$0.02

Close · October 2, 2026

At a glance

Revenue growth
−0.81%
FY to Jun 2026 vs FY to Jun 2025
Net income growth
+3.18%
FY to Jun 2026 vs FY to Jun 2025
Net margin
9.8%
FY to Jun 2025: 9.4%

Financial data

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

Cash flow · Annual
ItemFY to Jun 2026FY to Jun 2025FY to Jun 2024FY to Jun 2023FY to Jun 2022
Operating cash flow7,5547,3247,0496,8027,249
Depreciation and amortization3,4953,4933,4873,4723,535
Capital expenditure-2,609-2,375-2,288-2,474-2,176
Investing cash flow-3,473-3,368-4,990-5,951-3,395
Financing cash flow-3,950-3,997-1,942-969-3,971
Dividends paid-2,262-2,137-2,022-1,964-1,888
Share repurchases-1,279-769-19.0-21.0-1,355
Debt issued4,6606,0669,4658,627—
Debt repaid-3,356-6,073-7,829-7,067—
Effect of exchange rates-40.07.0-3.010.032.0
Net change in cash91.0-34.0114-108-85.0
Free cash flow4,9454,9494,7614,3285,073
Levered free cash flow3,4371,9242,3202,2223,615