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Consolidated debt as of 30 September 2011

 

Euro million
Incl. Oi & Contax
Excl. Oi & Contax
debt maturity including Oi and Contax and excluding Oi and contax
Amount % Amount %
Years
2011
1,393
11.2%
1,323
14.8%
2012
2,609
21.0%
2,013
22.5%
2013
1,593
12.8%
1,163
13.0%
2014
2,008
16.2%
1,569
17.5%
2015
352
2.8%
39
0.4%
2016
1,012
8.2%
623
7.0%
2017
1,282
10.3%
776
8.7%
2018
327
2.6%
115
1.3%
> 2018
1,832
14.8%
1,340
15.0%
Gross debt
12,408
100%
8,960
100%
Cash, equivalents & short-term investments
3,867
31.2%
2,584
28.8%
TEF receivable
2,000
16,1%
2,000
22.3%
Adjusted cash, equivalents & short-term investments
5,867
47.3%
4,584
36.9%
Tax effect on unfunded post retirement benefits
226
1.8%
226
2.5%
Adjusted net debt
6,315
50.9%
4,151
33.5%
Average cost of debt
n.a.
3.4%
Average maturity (years)
5.9
 
5.9
 
Last Update: 22 Dec 2011
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