Telecom Argentina S.A. (TEO) Estados Financieros e Histórico

Telecom Argentina S.A. (TEO) — Precio $13.80 Communication ServicesTelecommunications Services — NYSE

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Estados financieros detallados de Telecom Argentina S.A. (TEO): cuenta de resultados, balance general y flujo de caja. Sigue la evolución de márgenes, deuda, liquidez y rentabilidad año a año con hasta 20 años de histórico.

Resumen del Análisis

Telecom Argentina S.A. registró ingresos de $8.33T en el último ejercicio fiscal, con un CAGR de 5 años del 56.5%.

Márgenes de los últimos 12 meses: margen bruto 62.6%, margen operativo 25.6%, margen neto 7.5%. El flujo de caja libre creció a un CAGR del 35.0% en 5 años.

Cuenta de Resultados (10 años)

Año2016201720182019202020212022202320242025
Ingresos$60.41B$102.53B$351.95B$487.07B$886.76B$2.58T$4.94T$5.90T$4.14T$8.33T
Coste de Ventas$17.93B$27.96B$91.95B$129.27B$222.19B$695.18B$1.30T$1.57T$1.11T$2.05T
Beneficio Bruto$42.47B$74.57B$260.00B$357.80B$664.58B$1.89T$3.65T$4.33T$3.03T$6.28T
I+D0000000000
Generales y Administrativos$14.93B$25.35B$92.75B$129.74B$227.12B$745.70B$1.45T$1.82T$1.18T$2.28T
Gastos Operativos$30.16B$52.56B$215.48B$325.34B$604.91B$1.90T$5.65T$4.49T$3.18T$5.42T
Beneficio Operativo$12.32B$22.01B$44.52B$32.46B$59.67B-$16.91B-$2.00T-$159.83B-$146.47B$861.44B
EBITDA$26.20B$40.36B$83.89B$163.88B$297.50B$1.18T$238.59B$526.57B$2.91T$2.34T
Gastos por Intereses$1.76B$1.63B$9.08B$220.1M$46.51B$103.21B$100.0M$193.68B$256.5M$479.66B
Beneficio Antes de Impuestos$16.56B$23.65B$5.65B$21.13B$9.25B$262.40B-$1.57T-$1.68T$1.44T-$191.74B
Impuestos$6.01B$8.49B-$5.94B$29.12B$24.26B$202.10B-$179.73B-$968.99B$409.15B-$46.43B
Beneficio Neto$10.46B$14.97B$11.09B-$9.03B-$16.80B$8.66B-$1.41T-$738.31B$1.01T-$170.01B
BPA$20.50$21.05$12.30$-10.20$-39.00$20.10$-3272.00$-1714.05$2350.40$-394.70
BPA Diluido$20.50$21.05$12.30$-10.20$-39.00$20.10$-3272.00$-1714.05$2350.40$-394.70
Acciones en Circulación (Diluidas)$193.8M$362.2M$430.7M$430.7M$430.7M$430.7M$430.7M$430.7M$430.7M$430.7M

Cuenta de Resultados (Trimestral)

Año2025-Q32025-Q42026-Q12026-Q2
Ingresos$2.07T$2.71T$2.36T$2.56T
Beneficio Bruto$1.54T$2.07T$1.80T$1.98T
Beneficio Operativo$649.13B-$864.36B$823.75B$921.27B
EBITDA$350.16B$1.02T$1.64T$994.89B
Beneficio Neto-$200.36B$119.15B$636.68B$174.15B
BPA$-465.15$275.70$1478.10$404.30
BPA Diluido$-465.15$275.70$1478.10$404.30

Balance (10 años)

Año2016201720182019202020212022202320242025
Caja y Equivalentes$3.94B$6.52B$10.60B$427.3M$27.96B$38.66B$124.72B$347.93B$318.32B$468.87B
Inversiones a Corto$1.75B$162.0M$2.11B$7.2M$7.80B$21.01B$26.07B$269.96B$33.58B$322.94B
Cuentas por Cobrar$7.96B$3.03B$31.12B$340.4M$36.63B$51.22B$157.50B$325.57B$317.26B$882.16B
Inventario$1.28B$136.0M$4.21B$53.6M$5.62B$6.07B$20.08B$68.66B$60.44B$87.90B
Activos Corrientes$15.56B$10.63B$51.52B$848.1M$80.40B$126.91B$351.83B$1.05T$754.86B$1.83T
Inmovilizado Material$23.16B$45.70B$232.11B$4.27B$511.14B$943.95B$2.66T$5.42T$4.82T$7.51T
Fondo de Comercio0$31.95B$185.29B0$380.23B$738.46B$1.54T$3.36T$3.37T$4.44T
Activos Intangibles$7.59B$4.63B$91.47B$1.38B$157.02B$280.72B$793.49B$1.97T$1.90T$2.67T
Activos Totales$47.91B$94.07B$571.87B$9.66B$1.14T$2.10T$5.38T$11.93T$10.94T$16.62T
Cuentas por Pagar$3.03B$5.74B$35.16B$533.8M$59.41B$95.90B$277.95B$777.10B$444.69B$1.11T
Deuda a Corto$3.26B$1.38B$30.68B$467.9M$62.02B$126.00B$418.97B$1.23T$1.07T$1.33T
Pasivos Corrientes$16.51B$18.62B$82.22B$1.44B$160.07B$322.54B$897.82B$2.41T$1.96T$3.84T
Deuda a Largo$8.65B$14.63B$91.18B$1.95B$239.37B$393.58B$1.04T$3.41T$1.81T$2.75T
Pasivos Totales$28.04B$39.04B$219.72B$4.48B$548.22B$1.03T$2.85T$7.04T$5.41T$9.64T
Reservas$3.98B$41.15B$41.41B$3.17B-$8.70B$16.74B-$647.21B-$561.24B$1.01T$3.10T
Patrimonio Neto$19.34B$54.18B$347.19B$5.10B$577.28B$1.05T$2.48T$4.72T$5.43T$6.86T
Deuda Total$11.91B$16.01B$121.86B$2.48B$316.94B$556.43B$1.55T$4.83T$3.09T$4.31T
Deuda Neta$6.21B$9.33B$109.15B$2.04B$281.17B$496.75B$1.40T$4.21T$2.74T$3.52T
Capital Circulante-$949.0M-$8.00B-$30.70B-$588.0M-$79.68B-$195.64B-$545.99B-$1.36T-$1.20T-$2.00T

Balance (Trimestral)

Año2025-Q32025-Q42026-Q12026-Q2
Caja y Equivalentes$382.86B$468.87B$675.48B$401.24B
Activos Totales$15.63T$16.62T$18.28T$19.26T
Pasivos Totales$9.09T$9.64T$10.06T$10.33T
Patrimonio Neto$6.44T$6.86T$8.09T$8.83T
Deuda Total$5.49T$4.31T$5.89T$6.01T

Flujo de Caja (10 años)

Año2016201720182019202020212022202320242025
Beneficio Neto$10.55B$15.17B$11.59B-$4.40B-$15.01B$60.29B-$1.39T-$715.27B$1.03T-$198.07B
Amortizaciones$7.88B$15.08B$69.16B$120.67B$241.74B$814.48B$1.69T$2.02T$1.31T$2.40T
Compensación en Acciones0000000000
Cambio en Capital Circulante-$1.16B-$3.92B-$35.40B-$15.06B-$19.36B$1.63B$27.39B$527.23B-$186.75B-$474.76B
Flujo de Caja Operativo$25.98B$35.10B$70.38B$168.36B$293.88B$788.80B$1.45T$1.77T$811.50B$2.18T
Inversiones (CapEx)-$19.43B-$30.65B-$70.72B-$101.04B-$159.83B-$461.78B-$830.54B-$1.33T-$394.21B-$1.58T
Adquisiciones-$3.72B$554.0M$8.24B-$61.0M0$1.6M-$2.76B$62.62B-$10.66B-$1.47T
Recompra de Acciones000-$125.0M0-$59.0M000-$17.49B
Dividendos Pagados-$3.00B-$4.01B-$71.25B-$35.53B-$1.08B-$744.0M000-$23.63B
Flujo de Caja Libre$6.56B$4.45B-$339.0M$63.98B$134.05B$327.01B$620.82B$441.70B$417.29B$601.69B

Flujo de Caja (Trimestral)

Año2025-Q32025-Q42026-Q12026-Q2
Flujo de Caja Operativo$379.08B$980.28B$765.30B$947.05B
Inversiones (CapEx)-$159.19B-$744.09B-$465.81B-$633.09B
Flujo de Caja Libre$219.89B$236.19B$299.50B$313.96B
Dividendos Pagados0-$23.90B0-$54.59B
Compensación en Acciones0000

Crecimiento y Márgenes (10 años)

Año2016201720182019202020212022202320242025
Crecimiento Ingresos (anual)+69.7%+243.3%+38.4%+82.1%+191.1%+91.6%+19.3%-29.9%+101.3%
Crecimiento Beneficio Neto (anual)+43.1%-25.9%-181.5%-86.0%+151.6%-16365.2%+47.6%+237.1%-116.8%
Crecimiento BPA (anual)+2.7%-41.6%-182.9%-282.4%+151.5%-16378.6%+47.6%+237.1%-116.8%
Cambio en Acciones (anual)+86.8%+18.9%-0.0%+0.0%+0.0%+0.0%+0.0%+0.0%+0.0%
Crecimiento FCF (anual)-32.2%-107.6%+18972.0%+109.5%+143.9%+89.8%-28.9%-5.5%+44.2%
Margen Bruto70.3%72.7%73.9%73.5%74.9%73.1%73.8%73.4%73.3%75.4%
Margen Operativo20.4%21.5%12.6%6.7%6.7%-0.7%-40.4%-2.7%-3.5%10.3%
Margen EBITDA43.4%39.4%23.8%33.6%33.5%45.7%4.8%8.9%70.4%28.1%
Margen Neto17.3%14.6%3.2%-1.9%-1.9%0.3%-28.5%-12.5%24.5%-2.0%
Margen FCF10.9%4.3%-0.1%13.1%15.1%12.7%12.6%7.5%10.1%7.2%
Tasa Impositiva Efectiva36.3%35.9%-105.2%137.8%262.2%77.0%11.4%57.5%28.4%24.2%

Datos por Acción (10 años)

Año2016201720182019202020212022202320242025
FCF por Acción$33.82$12.28$-0.79$148.53$311.21$759.19$1441.30$1025.45$968.78$1396.89
Dividendo por Acción$15.50$11.08$165.43$82.48$2.51$1.73$0.00$0.00$0.00$54.87
Acciones en Circulación (Básicas)$193.8M$362.2M$430.7M$430.7M$430.7M$430.7M$430.7M$430.7M$430.7M$430.7M

Qué mirar en empresas de Communication Services

Rentabilidad

Margen bruto62.55%
Margen operativo25.65%
Margen neto7.53%

Salud financiera

Deuda / Patrimonio0.68
Ratio corriente0.58

Ratios Clave (10 años)

Año2016201720182019202020212022202320242025
P/E14.0532.9147.59-66.61-14.1426.05-0.29-3.375.52-42.68
P/VC2.894.630.7357.430.410.210.170.531.031.06
P/V0.922.450.720.600.270.090.080.421.350.87
Margen Bruto70.3%72.7%73.9%73.5%74.9%73.1%73.8%73.4%73.3%75.4%
Margen Operativo20.4%21.5%12.6%6.7%6.7%-0.7%-40.4%-2.7%-3.5%10.3%
Margen Neto17.3%14.6%3.2%-1.9%-1.9%0.3%-28.5%-12.5%24.5%-2.0%

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