Koninklijke KPN NV ADR (KKPNY)

2.690 -0.110 (-3.93%)
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2.708 +0.017 (+0.651%)

KKPNY Financial Summary

Koninklijke KPN N.V. reported earnings results for the second quarter and six months ended June 30, 2022. For the second quarter, the company reported sales was EUR 1,313 million compared to EUR 1,294 million a year ago. Revenue was EUR 1,329 million compared to EUR 2,136 million a year ago. Net income was EUR 185 million compared to EUR 800 million a year ago. Basic earnings per share from continuing operations was EUR 0.05 compared to EUR 0.19 a year ago. Diluted earnings per share from continuing operations was EUR 0.05 compared to EUR 0.19 a year ago. Basic earnings per share was EUR 0.05 compared to EUR 0.19 a year ago. Diluted earnings per share was EUR 0.05 compared to EUR 0.19 a year ago.For the six months, sales was EUR 2,624 million compared to EUR 2,584 million a year ago. Revenue was EUR 2,651 million compared to EUR 3,426 million a year ago. Net income was EUR 364 million compared to EUR 940 million a year ago. Basic earnings per share from continuing operations was EUR 0.09 compared to EUR 0.22 a year ago. Diluted earnings per share from continuing operations was EUR 0.09 compared to EUR 0.22 a year ago. Basic earnings per share was EUR 0.09 compared to EUR 0.22 a year ago. Diluted earnings per share was EUR 0.09 compared to EUR 0.22 a year ago.
TTM
Trailing Twelve Months
MRQ
Most Recent Quarter
KKPNY
Gross margin TTM 53.33%
Operating margin TTM 21.9%
Net Profit margin TTM 13.41%
Return on Investment TTM 8.65%
Total Revenue
Net Income
Title
Jun 30, 2022
Mar 31, 2022
Dec 31, 2021
Jun 30, 2021
Total Revenue 1,289
Gross Profit 983
Operating Income 295 295 262
Net Income 185 800
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KKPNY
Quick Ratio MRQ 0.61
Current Ratio MRQ 0.71
LT Debt to Equity MRQ -
Total Debt to Equity MRQ 227.91%
Total Assets
Total Liabilities
Title
Jun 30, 2022
Mar 31, 2022
Dec 31, 2021
Jun 30, 2021
Total Assets 12,136 12,137 12,737 12,371
Total Liabilities 8,956 8,759 9,509 9,144
Total Equity 3,180 3,378 3,228 3,227
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KKPNY
Cash Flow/Share TTM -
Revenue/Share TTM -
Operating Cash Flow 23.56%
Cash
Net Change in Cash
Title
Jun 30, 2022
Mar 31, 2022
Dec 31, 2021
Jun 30, 2021
Cash From Operating Activities 536 506 2,127 523
Cash From Investing Activities -440 -17 -1,212 -197
Cash From Financing Activities -286 -654 -717 -245
Net Change in Cash -187 -168 198 -54
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* In Millions of EUR (except for per share items)

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