TELENOR Stock Xetra
Stocks
TEQ
NO0010063308
Wireless Telecommunications Services
OTC Markets Traded|
Real-time Estimate
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| 13.86 EUR | 0.00% |
|
| 06-11 | Berenberg Boosts Telenor PT, Maintains Hold Rating | MT |
| 06-11 | Carnegie Strategifond gains 0.99 percent in May: invests in bonds from Sobi, Thule, Tele2, and Tieto | FW |
| Market Cap | 205B 21.57B 18.63B 17.17B 16.07B 30.12B 2,051B 30.59B 203B 79.05B 998B 80.96B 79.24B 3,456B | P/E Ratio 2026 * |
12.8x | P/E Ratio 2027 * | 15.9x |
|---|---|---|---|---|---|
| Enterprise Value | 264B 27.79B 24B 22.12B 20.7B 38.79B 2,641B 39.4B 261B 102B 1,286B 104B 102B 4,451B | EV / Sales 2026 * |
3.54x | EV / Sales 2027 * | 3.55x |
| Free-Float |
46% | Yield 2026 * |
6.54% | Yield 2027 * | 6.64% |
Last Transcript: TELENOR
| Manager | Title | Age | Since |
|---|---|---|---|
| Chief Executive Officer | 61 | 01/12/2024 | |
| Director of Finance/CFO | 58 | 01/02/2025 | |
Cathal Kennedy
CTO | Chief Tech/Sci/R&D Officer | - | 25/11/2024 |
| Director | Title | Age | Since |
|---|---|---|---|
Pieter Knook
BRD | Director/Board Member | 67 | 11/05/2020 |
Irene Vold
BRD | Director/Board Member | 62 | 27/05/2021 |
| Chairman | 65 | 10/05/2023 |
| Change | 5-day change | 1-year change | 3-year change | Capi.($) | ||
|---|---|---|---|---|---|---|
| +25.01% | 0.00% | - | - | 1,767B | ||
| +1.54% | -12.27% | +220.40% | +338.71% | 226B | ||
| +1.90% | +6.23% | -17.28% | +44.66% | 201B | ||
| +2.46% | +3.39% | -16.80% | +47.65% | 160B | ||
| +0.42% | +4.75% | +14.19% | +23.84% | 65.42B | ||
| +1.80% | +4.85% | +57.70% | +58.89% | 34.93B | ||
| +1.95% | +1.67% | +25.34% | +67.12% | 32.37B | ||
| -2.17% | -3.49% | -24.21% | +20.60% | 28.74B | ||
| +2.13% | -0.72% | +11.64% | +29.18% | 17.72B | ||
| Average | +3.90% | -0.22% | +33.87% | +78.83% | 281.52B | |
| Weighted average by Cap. | +18.19% | -0.81% | +61.33% | +130.68% |
| 2026 * | 2027 * | |
|---|---|---|
| Net sales | 74.57B 7.86B 6.79B 6.25B 5.85B 10.97B 747B 11.14B 73.85B 28.79B 364B 29.49B 28.86B 1,259B | 75.06B 7.91B 6.83B 6.29B 5.89B 11.04B 752B 11.21B 74.33B 28.98B 366B 29.68B 29.05B 1,267B |
| Net income | 15.82B 1.67B 1.44B 1.33B 1.24B 2.33B 158B 2.36B 15.67B 6.11B 77.14B 6.26B 6.12B 267B | 12.52B 1.32B 1.14B 1.05B 983M 1.84B 125B 1.87B 12.4B 4.83B 61.05B 4.95B 4.85B 211B |
| Net Debt | 58.96B 6.21B 5.37B 4.94B 4.63B 8.67B 591B 8.81B 58.39B 22.76B 287B 23.32B 22.82B 995B | 61.83B 6.52B 5.63B 5.19B 4.85B 9.1B 619B 9.24B 61.23B 23.87B 301B 24.45B 23.93B 1,044B |
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ESG MSCI
The MSCI ESG score assesses a company’s environmental, social, and governance practices relative to its industry peers. Companies are rated from CCC (laggard) to AAA (leader). This rating helps investors incorporate sustainability risks and opportunities into their investment decisions.
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