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TMUS · NASDAQ · USD

163,64 $Variación respecto al cierre anterior: +1,18 %Variación absoluta: +1,91 $

Cierre · 2 de octubre de 2026

En resumen

Crecimiento de los ingresos
+8,49 %
2025 frente a 2024
Crecimiento del beneficio neto
−3,06 %
2025 frente a 2024
Margen neto
12,4 %
2024: 13,9 %

Datos financieros

Importes en millones de USD; valores por acción en USD; acciones en millones.

Balance · Trimestral
PartidaT2 2026T1 2026T4 2025T3 2025T2 2025T1 2025T4 2024T3 2024T2 2024T1 2024T4 2023T3 2023
Activo total213.553214.667219.237217.180212.643214.633208.035210.742208.557206.268207.682208.579
Activo corriente21.76922.11824.46121.70326.77227.44118.40422.53119.29719.29519.01518.669
Efectivo y equivalentes2.8253.5205.5983.31010.25912.0035.4099.7546.4176.7085.1355.030
Cuentas por cobrar10.96210.80110.79110.4359.4759.2489.1478.3128.7488.7619.6439.460
Existencias2.1912.3272.4052.3701.6901.9371.6071.7891.3191.5211.6781.685
Inmovilizado material neto64.21365.04966.78567.74365.32165.89967.02266.78867.73369.23270.83772.038
Fondo de comercio13.66713.66413.67813.69013.46013.46713.00513.01513.01512.23412.23412.234
Otros activos intangibles101.473101.137101.875101.86698.366101.351103.070101.498101.63999.59999.32599.513
Pasivo corriente23.55420.34424.50024.30122.10223.62920.17420.95523.03820.56320.92821.711
Proveedores3.8864.2104.3964.3733.8773.7873.7822.6452.9262.6434.8333.890
Deuda a largo plazo78.50483.80981.14777.86376.51577.53074.19774.01971.69972.85771.39971.861
Deuda total119.439121.217122.269120.437117.860———————
Pasivo total157.288158.788160.034156.703151.536153.528146.294146.492145.921144.194142.967143.881
Patrimonio neto (incl. minoritarios)56.26555.87959.20360.47761.10761.10561.74164.25062.63662.07464.71564.698
Reservas24.68822.54121.13620.15518.57616.34214.38412.40110.3608.1967.3475.335