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MTN Group Limited (MTNOF)
OTHER OTC:MTNOF
US Market

MTN Group (MTNOF) Financial Statements

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MTN Group Financial Overview

MTN Group's market cap is currently $20.98B. The company's EPS TTM is $0.33; its P/E ratio is 14.18; and it has a dividend yield of 1.90%. MTN Group is scheduled to report earnings on March 16, 2026, and the estimated EPS forecast is $―. See an overview of income statement, balance sheet, and cash flow financials.
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Income Statement
Total RevenueRs 225.17BRs 188.00BRs 221.06BRs 207.00BRs 181.65B
Gross ProfitRs 107.20BRs 131.32BRs 157.74BRs 150.81BRs 133.79B
Operating IncomeRs 76.60BRs 37.71BRs 114.26BRs 111.40BRs 98.24B
EBITDARs 116.61BRs 49.99BRs 72.99BRs 87.23BRs 75.23B
Net IncomeRs 20.12BRs -9.59BRs 4.09BRs 19.04BRs 13.75B
Balance Sheet
Cash & Short-Term InvestmentsRs 51.15BRs 99.32BRs 40.91BRs 83.01BRs 83.17B
Total AssetsRs 495.33BRs 430.96BRs 434.71BRs 391.88BRs 365.80B
Total DebtRs 145.73BRs 155.74BRs 148.45BRs 137.84BRs 128.82B
Net DebtRs 102.53BRs 125.44BRs 110.90BRs 95.98BRs 89.33B
Total LiabilitiesRs 326.75BRs 292.51BRs 284.53BRs 269.54BRs 250.82B
Stockholders' EquityRs 144.01BRs 123.44BRs 139.21BRs 116.60BRs 111.05B
Cash Flow
Free Cash FlowRs 44.77BRs 15.14BRs 17.26BRs 22.31BRs 32.06B
Operating Cash FlowRs 77.42BRs 46.82BRs 64.06BRs 68.12BRs 67.29B
Investing Cash FlowRs -41.76BRs -33.34BRs -52.26BRs -43.44BRs -30.95B
Financing Cash FlowRs -23.56BRs -16.20BRs -9.48BRs -17.42BRs -26.18B
Currency in ZAR

MTN Group Earnings and Revenue History

MTN Group Debt to Assets

MTN Group Cash Flow

MTN Group Forecast EPS vs Actual EPS