Telia Company Results Presentation Deck slide image

Telia Company Results Presentation Deck

CASH CAPEX 15 14 13 12 Cash CAPEX development Reported currency in SEK billion, excluding licenses and spectrum fees, R12 Q3 20 Q4 20 OUTLOOK Q1 21 Q2 21 Q3 21 13.6 • Cash CAPEX R12 of SEK 13.6bn or 15.4% of net sales • Cash CAPEX to further increase Q4 • Main risk relate to supply chain issues ● Cash CAPEX by type Reported currency in SEK billion, excluding licenses and spectrum fees ● 3.0 Q3 20 4.2 Q4 20 Mobile NW 2.8 Q1 21 Fixed NW 3.4 Q2 21 Prod dev/IT • Increase in mobile network activities related to modernization and 5G Lower fixed due to less fiber related investments Slight increase in prod dev/IT due to transformation 3.2 2021: Around SEK 14.5-15.5bn (excl. Telia Carrier and license and spectrum fees) 2023: Return to around 15% of net sales by 2023 (excl. Telia Carrier and license and spectrum fees) Q3 21 ■ Other
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