7Baggers

PLDT Inc
(NYSE:PHI) 

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PLDT Inc. operates as a integrated telecommunications company in the Philippines. The company operates in three segments: Wireless, Fixed Line, and Others. The company offers cellular mobile, Internet broadband distribution, operations support, software development, and satellite information and mes...

Founded: 1928
Full Time Employees: 19,232
Sector: Communication Services
Industry: Telecom Services

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At a glance:
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Income Statements:
Quarterly
Annual
    Unit: USD2025-05-15 2024-11-12 2024-08-13 2024-05-09 2024-03-07 2023-11-07 2023-08-03 2023-05-04 2022-11-03 2022-08-04 2022-05-05 2022-03-03 2021-11-04 2021-09-30 2021-08-05 2021-06-30 2021-05-06 2021-03-04 2020-11-06 2020-09-30 2020-08-06 2020-06-30 2020-05-07 2020-03-05 2019-11-07 2019-09-30 2019-08-08 2019-06-30 2019-05-09 2019-03-07 2018-11-08 2018-09-30 2018-08-09 2018-06-30 2018-05-11 2018-03-08 2008-12-31 2006-12-31 2005-12-31 2004-12-31 2003-12-31 
                                             
      revenues from contracts with customers
                                             
      service revenues
    53,421 51,552 51,248 52,195 201,832 49,215 49,525 49,726 49,401 49,130 47,974 185,751 46,867 46,867 45,916 45,916 45,677  44,367 44,367 41,685 41,685 41,797 161,355 40,652 40,652 40,803 40,803 39,607 154,207 38,515 38,515 38,616 38,616 37,745 151,165      
      non-service revenues
    1,856 1,807 2,111 2,029 9,121 2,132 2,151 2,636 2,132 2,113 2,174 7,506 1,366 1,366 1,783 1,783 2,247 7,370 2,120 2,120 1,404 1,404 1,849 7,832 1,800 1,800 1,802 1,802 1,826 10,545 2,397 2,397 3,116 3,116 2,762 8,761      
      expenses
                                             
      selling, general and administrative expenses
    18,851 18,990 20,469 19,276 81,876 19,934 19,582 20,251 20,136 21,647 23,527 78,303 19,536 19,536 19,768 19,768 20,014 75,255 16,941 16,941 16,337 16,337 17,851 68,230 18,964 18,964 16,172 16,172 15,891 73,916 17,758 17,758 17,943 17,943 17,309 68,990      
      depreciation and amortization
    13,001 12,881 12,639 11,642 46,652 12,061 12,271 11,679 12,098 28,181 12,567 52,169 12,839 12,839 12,633 12,633 11,721 47,480 10,690 10,690 10,611 10,611 10,286 39,656 9,710 9,710 9,557 9,557 9,346 47,240 9,611 9,611 8,516 8,516 9,373 51,501      
      cost of sales and services
    3,366 3,174 3,592 3,253 15,092 3,654 3,643 4,047 3,723 3,398 3,265 13,341 2,852 2,852 3,109 3,109 3,588 12,295 3,461 3,461 2,587 2,587 3,029 13,429 3,162 3,162 3,418 3,418 2,884 14,427 3,560 3,560 3,896 3,896 3,614 13,633      
      asset impairment
    867 1,020 1,090 959 4,432 1,513 1,045 1,102 1,515 1,272 1,078 4,985 941 941 1,847 1,847 1,592 7,646 2,943 2,943 2,417 2,417 1,060 4,833 1,208 1,208 1,287 1,287 1,357 8,065 1,352 1,352 1,421 1,421 1,391 8,672      
      interconnection costs
    4,464 3,556 3,055 3,491 10,418 1,709 2,101 2,619 1,709 1,252 1,596 3,698 839 839 894 894 833  619 619 339 339 302  1,039 1,039 2,105 2,105 1,650 7,331 1,941 1,941 2,034 2,034 1,874 7,619      
      other incomes — net
    2,924                                         
      income before income tax
    11,804        13,932 9,660 11,905 34,154 7,723 7,723 9,012 9,012 7,696 33,021 10,462 10,462 8,788 8,788 8,331 32,336 5,544 5,544 8,058 8,058 9,013 22,815 5,687 5,687 6,727 6,727 8,835 14,569      
      benefit from income tax
    2,740 3,053 2,487 3,299 9,612 3,232 3,090  3,224 1,889 2,752 7,478 1,722 1,722 1,818 1,818 1,822 8,441 2,985 2,985 2,340 2,340 2,356 9,550 1,743 1,743 2,546 2,546 2,290 3,842 1,166 1,166 1,846 1,846 1,911 1,103      
      net income
    9,064 9,707 8,624 9,893 26,824 10,796 9,458 9,049 10,708 7,771 9,153 26,676 6,001 6,001 7,194 7,194 5,874 24,580 7,477 7,477 6,448 6,448 5,975 22,786 3,801 3,801 5,512 5,512 6,723 18,973 4,521 4,521 4,881 4,881 6,924 13,466      
      yoy
    -66.21% -10.09% -8.82% 9.33% 150.50% 38.93% 3.33% -66.08% 78.44% 29.50% 27.23% 270.81% 2.16% -75.59% -3.78% -3.78% -8.90% 281.20% 25.14% -67.19% 69.64% 69.64% 8.40% 313.39% -43.46% -79.97% 21.92% 21.92% 37.74% 288.71% -34.71% -66.43%          
      qoq
    -6.62% 12.56% -12.83% -63.12% 148.46% 14.15% 4.52% -15.49% 37.79% -15.10% -65.69% 344.53% 0.00% -16.58% 0.00% 22.47% -76.10% 228.74% 0.00% 15.96% 0.00% 7.92% -73.78% 499.47% 0.00% -31.04% 0.00% -18.01% -64.57% 319.66% 0.00% -7.38% 0.00% -29.51% -48.58%       
      attributable to:
                                             
      equity holders of pldt
    9,025 9,657 8,589 9,824 26,614 10,713 9,436 9,015 10,641 7,663 9,078 26,367 5,925 5,925 7,119 7,119 5,803 24,284 7,407 7,407 6,368 6,368 5,912 22,521 3,789 3,789 5,499 5,499 6,708 18,916 4,507 4,507 4,862 4,862 6,900 13,371      
      noncontrolling interests
    39  35 69 210 83 22 34 67 108 75 309 76 76 75 75 71 296 70 70 80 80 63 265 12 12 13 13 15 57 14 14 19 19 24 95      
      earnings per share attributable to common equity holders of pldt
                                             
      basic
    41.71 44.62 39.69 45.4 122.91 49.52 43.61 41.66 49.18 35.4 41.95 121.76 27.36 27.36 32.88 32.88 26.79 112.12 34.22 34.22 29.4 29.4 27.3 103.97 17.46 17.46 25.39 25.39 30.98 87.28 20.78 20.78 22.44 22.44 31.87 61.61      
      diluted
    41.71 44.62 39.69 45.4 122.91 49.52 43.61 41.66 49.18 35.4 41.95 121.76 27.36 27.36 32.88 32.88 26.79 112.12 34.22 34.22 29.4 29.4 27.3 103.97 17.46 17.46 25.39 25.39 30.98 87.28 20.78 20.78 22.44 22.44 31.87 61.61      
      continuing operations
                                             
      160,942
     53,359                                        
      119,087
     39,621                                        
      41,855
     13,738                                        
      other incomes – net
      1,403 -2,411        -6,607 -3,503 -3,503 -436 -436 -2,480  -1,371 -1,371 -2,010 -2,010 -2,787  -2,825 -2,825                
      income before income tax from continuing operations
     12,760 11,111 13,192 36,477 14,092 12,552 12,222                                  
      net income from continuing operations
     9,707 8,624 9,893 26,865 10,860 9,462 9,074                                  
      net income from discontinued operations
        -41 -64 -4                                   
      28,224
     9,707                                        
      earnings per share from continuing operations attributable to common equity holders of pldt
                                             
      other income (expenses) – net
        -16,006 1,616 -482  1,580 14,167 3,790       -3,161      -7,065   -2,008  -1,292             
      provision for income tax
           3,148                                  
      net loss from discontinued operations
                                             
      revenues from contract with customers
                                             
      service revenues*
                     173,634                        
      interconnection costs*
                     2,146      3,638                  
      revenues
                                             
      other income
                               -2,008  9,042 -1,003 -1,003 -1,195 -1,195 1,889 5,058      
    Balance Sheets:
    Quarterly
    Annual
      Unit: USD2025-09-30 2023-05-04 2021-12-31 2021-09-30 2021-03-31 2020-12-31 2020-09-30 2020-06-30 2020-03-31 2019-12-31 2019-09-30 2019-06-30 2019-03-31 2018-12-31 2018-09-30 2018-06-30 2018-03-31 2012-06-30 2012-05-08 2010-12-31 2009-12-31 2008-12-31 2008-06-30 2008-03-31 2007-09-30 2006-12-31 2006-09-30 2005-12-31 2005-09-30 2005-06-30 2004-12-31 2004-06-30 2004-03-31 2003-12-31 2003-09-30 2003-03-31 2002-09-30 2001-12-31 
                                            
        assets
                                            
        noncurrent assets
                                            
        property and equipment
      325,310  302,736 290,676 270,964 260,868 247,148 245,064 242,512 232,134 224,021 211,957 200,062 195,964 194,748 190,726 184,455                      
        right-of-use assets
      45,667                                      
        investments in associates and joint ventures
      53,251                   23,203 22,233 1,174 1,315 1,328               
        financial assets at fair value through profit or loss
      1,086                                      
        debt instruments at amortized cost – net of current portion
      350                                      
        investment properties
      5,536                   1,560 1,210 617 558 577 580  672  728 732         
        goodwill and intangible assets
      64,342                   11,485 13,024    13,701  12,244  2,990 3,727         
        deferred income tax assets – net
      10,089                                      
        derivative financial assets – net of current portion
      570                                      
        prepayments and other nonfinancial assets – net of current portion
      58,265                                      
        contract assets – net of current portion
      335                                      
        other financial assets – net of current portion
      2,810                                      
        total noncurrent assets
      567,611                   216,217 215,805 186,525 185,159 185,381 191,435 211,845 206,974 210,959 207,306 213,357 221,715,000,000 251,711 251,463 252,139 254,473 259,225  267,886 
        current assets
                                            
        cash and cash equivalents
      10,092                   36,678 38,319 33,684 18,274 26,509 8,471 16,870 18,664 30,064 32,892 35,629 27,321,000,000 22,373 24,040 19,263 11,430 12,571 7,268.4 4,123 
        short-term investments
      10                   669 3,824 6,670 13,328 24,382 11,522 8,327 2,716 2,746  27 3,873,000,000        
        trade and other receivables
      30,015                   16,428     10,245  11,953  7,791 8,457         
        inventories and supplies
      2,172                   2,219 2,165 2,069 1,709 1,755 1,641  1,265  2,162 2,255         
        current portion of contract assets
      1,350                                      
        current portion of derivative financial assets
      737                                      
        current portion of debt instruments at amortized cost
      20                                      
        current portion of prepayments and other nonfinancial assets
      10,973                                      
        current portion of other financial assets
      260                                      
        assets classified as held-for-sale
      6,316                                      
        total current assets
      61,945                   61,598 64,343 66,033 51,999 68,115 36,536 52,350 38,689 58,261 49,768 49,832 57,924,000,000 49,188 49,949 49,776 42,029 43,311 41,577.5 40,008 
        total assets
      629,556  626,328 612,319 584,510 575,846 547,433 557,692 545,352 525,036 510,388 501,787 496,536 482,750 470,841 473,075 467,655   277,815 280,148 252,558 237,158 253,496 227,971 264,195             
        equity and liabilities
                                            
        equity
                                            
        non-voting serial preferred stock
      360                                      
        voting preferred stock
      150                                      
        common stock
      1,093                   947 947 947 947 945 944 942 940 904 860 857 851,000,000 848  847     
        treasury stock
                         -6,505 -6,405 -4,973 -3,553 -331               
        capital in excess of par value
      130,312                   62,890 62,890 68,337 68,327 67,534 66,998 91,479 65,845 78,873 52,664 51,941 75,396,000,000 49,090 49,019 49,017     
        retained earnings
      38,402                   36,594 37,744 37,177 35,364 26,552 30,614 12,498 23,548  7,726   50,281 43,968 39,665     
        other comprehensive loss
                                            
        total equity attributable to equity holders of pldt
      120,326  123,216 112,970 109,419 115,408 114,318 114,902 108,721 111,996 110,193 114,374 109,361 112,358 109,478 113,185 109,070   97,069 98,575 105,531 104,131 97,776 101,770  94,139            
        noncontrolling interests
      1,166                 -31 -9                    
        total equity
      121,492                   97,385 99,125 106,969 105,928 99,339 103,692  95,900  68,306 59,304         
        noncurrent liabilities
                                            
        interest-bearing financial liabilities – net of current portion
       214,619                          93,897           
        lease liabilities – net of current portion
       28,285                                     
        deferred income tax liabilities – net
       172                                     
        customers’ deposits
       2,325                  2,223 2,166     2,204  2,214   2,174,000,000        
        pension and other employee benefits
       2,081                  1,834 374     7,627  3,943           
        deferred credits and other noncurrent liabilities
       9,423                  13,567 14,438     8,532  8,421   7,160,000,000 15,530 14,995 14,481 10,256 10,940  12,795 
        total noncurrent liabilities
       257,127                  98,215 107,129     97,953  119,367   156,716,000,000 145,616 149,769 159,010 156,381 166,577  171,028 
        current liabilities
                                            
        accounts payable
       91,283                  25,804 19,601     8,347  15,482   7,029,000,000 10,466 8,392 7,540 6,107 8,256 12,224.3 12,234 
        accrued expenses and other current liabilities
       94,552                  35,959 35,446     23,524  15,986   16,574,000,000 13,182 13,086 13,228 15,909 14,726   
        current portion of interest-bearing financial liabilities
       30,850                  13,801 12,714     17,441  19,513   28,503,000,000        
        current portion of lease liabilities
       12,462                                     
        dividends payable
       14,558                  2,086 1,749     777  746   652,000,000 677 550 572 949 413 482.5 323 
        current portion of derivative financial liabilities
       610                                     
        income tax payable
       1,670                  3,010 2,829     2,438  2,080   1,976,000,000 2,852 2,547 761 179 1,439 650.9 355 
        liabilities associated with assets classified as held-for-sale
       3,570                                     
        total current liabilities
       249,555                  82,215 73,894     56,654  57,124   59,027,000,000 49,600 52,408 47,976 46,732 44,803 44,955.3 49,352 
        total liabilities
       506,682                  180,430 181,023                  
        total equity and liabilities
       616,659                  277,815 280,148                  
        derivative financial liabilities – net of current portion
       222                                     
        consolidated statements of financial position
                                            
        cash and cash equivalents and short-term investments
        26,148 18,831 32,476 41,226 33,680 47,493 33,893 24,683 27,562 32,129 45,391 52,819 50,052 56,690 37,920                      
        long-term debt, including current portion
        252,557 245,959 221,529 222,765 222,822 235,300 205,338 192,556 178,376 172,843 173,986 176,276 179,223 183,810 172,239                      
        net debt to equity ratio
        1.83 1.72 1.56 1.64 1.63 1.58 1.5 1.37 1.23 1.18 1.1 1.18 1.12 1.23                      
        consolidated statements of cash flows
                                            
        net cash from operating activities
        91,813 69,941 17,508 87,515 65,074 33,890 16,920 73,390 57,695 35,828 16,477 61,116 42,622 40,882 16,316                      
        net cash from investing activities
        -103,483 -83,749 -20,410 -74,348 -56,210 -39,578 -19,239 -84,170 -58,549 -37,135 -17,474 -25,054 -17,988 -11,258 -16,161                      
        payment for purchase of property and equipment, including capitalized interest
        -103,977 -84,530 -20,005 -78,100 -60,263 -41,046 -17,074 -89,701 -61,157 -40,961 -18,938 48,771 40,484 32,009                       
        net cash from financing activities
        -4,904 -8,573 -5,939 3,703 1,412 27,396 8,896 -15,757 -23,188 -17,517 -5,385 -18,144 -14,038 -11,566 -4,692                      
        operational data
                                            
        number of mobile subscribers
        71,221,952 70,564,976 71,804,412 72,933,839 72,372,163 70,185,489 73,075,627 73,118,155 71,451,288 67,547,646 63,948,886 60,499,017 58,034,007 58,510,872 58,117,819                      
        prepaid
        69,205,731 68,524,765 69,706,746 70,779,021 70,027,763 67,738,421 70,590,758 70,721,789 69,012,106 65,151,418 61,585,197 58,178,978 55,627,968 56,081,230 55,666,020                      
        postpaid
        2,016,221 2,040,211 2,097,666 2,154,818 2,344,400 2,447,068 2,484,869 2,396,366 2,439,182 2,396,228 2,363,689 2,320,039 2,406,039 2,429,642 2,451,799                      
        number of broadband subscribers
        3,951,844 3,777,410 3,276,070 3,090,118 2,841,761 2,609,166 2,282,788 2,161,484 2,091,014 2,041,946 2,016,507 2,025,563 2,054,225 2,038,333 1,995,900                      
        fixed line broadband
        2,966,886 2,768,978 2,385,197 2,273,602 2,194,931 2,105,140 1,986,783 1,931,333 1,878,983 1,841,147 1,818,530 1,812,037 1,859,210 1,829,096 1,772,836                      
        fixed wireless broadband
        984,958 1,008,432 890,873 816,516 646,830 504,026 296,005 230,151 212,031 200,799 197,977 213,526 195,015 209,237 223,064                      
        number of fixed line subscribers
        3,619,372 3,441,847 3,108,796 3,042,815 2,999,174 2,917,641 2,801,187 2,765,209 2,727,035 2,711,411 2,707,077 2,710,972 2,778,274 2,756,865 2,707,079                      
        total number of subscribers
        78,793,168                                    
        number of employees:
        18,822 18,906 18,553 18,848 19,232 18,416 18,384 18,784 19,224 19,457 18,764 17,222 16,978 17,642 17,814                      
        fixed line
        13,389 13,391 13,040 13,065 13,321 12,518 12,504 12,877 12,877 13,157 12,440 10,890 10,264 10,967 10,843                      
        lec
        11,522 11,509 11,322 11,427 11,065 10,937 10,926 10,878 10,905 11,038 10,306 8,772 8,091 6,844 6,853                      
        others
        1,867 1,882 1,718 1,638 2,256 1,581 1,578 1,999 1,972 2,119 2,134 2,118 2,173 4,123 3,990                      
        wireless
        5,433 5,515 5,513 5,783 5,911 5,898 5,880 5,907 6,347 6,300 6,324 6,332 6,014 6,675 6,971                      
        payment for purchase of property and equipment
                      12,944                      
        net income
                       19,471 10,070                    
        other comprehensive income
                         -1,276 -1,017                  
        net fair value gains on cash flow hedges
                       38 32                    
        gains
                                           
        depreciation of revaluation increment on investment properties transferred to property, plant and equipment during the period
                       -1                     
        foreign currency translation differences of subsidiaries
                       -551 -552                    
        total other comprehensive income
                       -511                     
        total comprehensive income
                       18,960 9,550                    
        attributable to:
                                            
        equity holders of pldt
                       18,991 9,559                    
        balances as at january 1, 2011
                       4,419 4,419                    
        total comprehensive income:
                                            
        cash dividends
                                            
        issuance of capital stock – net of conversion
                                            
        balances as at june 30, 2011
                       4,420                     
        balances as at january 1, 2012
                       4,419 4,419                    
        redemption of preferred shares
                       -4,029 -4,029                    
        balances as at june 30, 2012
                       360                     
        gains from changes in fair value of available-for-sale financial assets recognized during the period
                                           
        depreciation of revaluation increment on investment properties transferred to property, plant and equipment during the period – net of tax
                        -1                    
        total other comprehensive loss
                        -520                    
        balances as at march 31, 2011
                        4,419                    
        balances as at march 31, 2012
                        360                    
        property, plant and equipment
                         163,184 161,256      170,051  186,984 190,176         
        available-for-sale financial assets
                         147 134 131                 
        investment in debt securities
                         484  635 637 632 268              
        deferred income tax assets — net
                         6,110 7,721                  
        derivative financial assets
                         178 56 78 60 93              
        prepayments — net of current portion
                         8,679 8,663                  
        advances and refundable deposits — net of current portion
                         1,187 1,102                  
        current portion of prepayments
                         5,418 5,098 4,164 3,173 3,090 4,385  3,785            
        current portion of advances and refundable deposits
                         181 202 1,825 275 307 192  262            
        preferred stock, php10 par value per share, authorized - 822,500,000 shares; issued and outstanding - 441,887,387 shares as at december 31, 2010 and 441,631,062 shares as at december 31, 2009
                         4,419                   
        non-controlling interests
                         316 550                  
        interest-bearing financial liabilities — net of current portion
                         75,888 86,079                  
        deferred income tax liabilities — net
                         1,099 1,321                  
        derivative financial liabilities
                         3,604 2,751                  
        benefit from assessments
                         1,555 1,555                  
        investment in debt securities — net of current portion
                          462                  
        current portion of investment in debt securities
                                            
        trade and other receivables — net
                          14,729                  
        preferred stock, php10 par value per share, authorized - 822,500,000 shares; issued and outstanding - 441,631,062 shares as at december 31, 2009 and 441,480,512 shares as at december 31, 2008
                          4,416                  
        stock options issued
                           10  43  74 124         
        property, plant and equipment - net
                           160,326 155,778 156,112 159,288 164,081  173,007   186,093,000,000        
        goodwill and intangible assets - net
                           10,450 12,573 11,730               
        deferred income tax assets - net
                           9,605    10,042  9,866   11,111,000,000        
        prepayments - net of current portion
                           2,501 2,600 2,294 799  944            
        advances and refundable deposits - net of current portion
                           1,086 1,079 1,023 1,413  1,097            
        trade and other receivables - net
                           15,909 13,349 11,903  10,158  7,113   10,404,000,000        
        preferred stock, php10 par value, authorized - 822,500,000 shares; issued and outstanding - 441,480,512 shares as at december 31, 2008 and 441,650,297 shares as at december 31, 2007
                           4,415                 
        equity portion of convertible preferred stock
                              1,180 1,264         
        cumulative translation adjustments
                           -378 -1,378 -1,352 -1,223  -673  446 -134         
        minority interests
                           1,438 1,797                
        investments-available-for-sale
                            143 142 142 116 113 109 109 109 104,000,000        
        deferred income tax assets
                            10,398 11,483 13,808  20,345  10,344 12,291         
        equity attributable to equity holders of pldt
                                            
        preferred stock, php10 par value, authorized - 822,500,000 shares; issued and outstanding - 441,685,257 shares as at june 30, 2008 and 441,650,297 shares as at december 31, 2007
                            4,417                
        preferred stock, php10 par value, authorized - 822,500,000 shares; issued and outstanding - 441,666,057 shares as at march 31, 2008 and 441,650,297 shares as at december 31, 2007
                             4,417               
        minority interest
                             1,563 1,922  1,761  873 882         
        investments in associates
                              1,343  451  13 12         
        preferred stock, php10 par value, authorized - 822,500,000 shares; issued and outstanding - 441,819,482 shares as at september 30, 2007 and 442,375,057 shares as at december 31, 2006
                              4,418              
        inventories and supplies - net
                               1,230  1,548   2,140,000,000        
        derivative assets
                               47 711 37 3,703 3,694 335,000,000        
        prepaid expenses
                               5,293  5,259   1,229,000,000        
        other current assets
                               383  1,628  1,773 1,511,000,000        
        investments - net
                               637  361   294,000,000        
        goodwill and other intangible assets - net
                               27,241  16,875   16,561,000,000        
        other noncurrent assets - net
                               3,630  4,376   5,631,000,000        
        liabilities and stockholders’ equity
                                            
        unearned revenues
                               4,019  3,125   3,820,000,000        
        derivative liabilities
                               108  192   473,000,000        
        deferred income tax liabilities
                               382  44           
        interest-bearing financial liabilities - net of current portion
                               69,648     131,978,000,000        
        remaining excess of debt forgiven over value of consideration given - net
                               2,688  5,071   5,834,000,000        
        minority interest in consolidated subsidiaries
                               2,041  1,130   861,000,000 853 784 784 772 884 862.8 953 
        preferred stock subject to mandatory redemption
                               1,374  12,004   14,956,000,000        
        stockholders’ equity
                                        92,617 90,272 91,765.3 86,561 
        preferred stock, php10 par value, authorized - 822,500,000 shares:
                                            
        series a to gg (issued and outstanding - 406,375,057 shares as at december 31, 2006 and 407,343,035 shares as at december 31, 2005
                               4,064             
        series iv
                               360  360   360,000,000        
        accumulated other comprehensive income
                               -3,170  673   532,000,000        
        total stockholders’ equity
                               106,173  79,595   48,079,000,000 104,830  94,145     
        total liabilities and stockholders’ equity
                               264,195             
        notes receivable
                                346  346 346         
        preferred stock, php10 par value, authorized-822,500,000 shares; issued and outstanding-442,675,465 shares as at september 30, 2006 and 443,343,035 shares as at december 31, 2005
                                4,427            
        series a to ee
                                 4,073   4,091,000,000        
        series iii
                                    46,000,000        
        accumulated deficit
                                 -5,288   -33,197,000,000        
        prepayments
                                  1,037 1,207         
        advances and refundable deposits
                                  1,052          
        preferred stock, php10 par value, authorized 822,500,000 shares; issued and outstanding 448,306,428 as at september 30, 2005 and 449,682,057 shares as at december 31, 2004
                                  4,483          
        total equity attributable to equity holders
                                  67,433 58,422         
        other noncurrent assets
                                   1,063         
        preferred stock, php10 par value, authorized 822,500,000 shares; issued and outstanding 448,708,863 as at june 30, 2005 and 449,682,057 shares as at december 31, 2004
                                   4,487         
        deficit
                                   -117         
        pension and other benefits
                                    2,640,000,000        
        preferred stock, php10 par value, authorized 822,500,000 shares:
                                            
        receivables – net
                                     19,541 19,340 19,516     
        inventories and supplies – net
                                     2,768 2,527 2,421 3,479 4,636 4,443.6 5,204 
        prepayments and other current assets
                                     4,506 4,042 2,043 2,633 1,845 1,443.8 2,258 
        property, plant and equipment – net
                                     243,444 243,455 244,345 247,148 248,909 252,201.5 256,477 
        investments – net
                                     1,572 1,652 1,610 1,647 5,377  6,424 
        deferred income tax – net
                                     663 325 6,533 4,166 3,336  1,626 
        other noncurrent assets – net
                                     6,032 6,031 6,184 5,678 4,939  4,985 
        notes payable
                                     150 2,132 2,133 2,094 882 1,782.1 6,462 
        current portion of long-term debt
                                     22,273 25,701 23,742 21,494 19,087 19,017 19,286 
        long-term debt – net of current portion
                                     123,840 129,127 133,939 134,944 144,855 150,253.5 149,611 
        preferred stock, php10 par value, authorized 822,500,000 shares; issued and outstanding 461,146,615 shares as of june 30, 2004 and 461,588,319 shares as of december 31, 2003
                                     4,611       
        liabilities and shareholders’ equity
                                            
        shareholders’ equity
                                            
        preferred share, php10 par value, authorized 822,500,000 shares; issued and outstanding 461,664,795 shares at march 31, 2004 and 461,588,319 shares at december 31, 2003
                                      4,617      
        common share, php5 par value, authorized 234,000,000 shares; issued and outstanding 169,497,020 shares at march 31, 2004 and 169,476,120 shares at december 31, 2003
                                      847      
        total shareholders’ equity
                                      98,451      
        preferred stock, php10 par value, authorized 822,500,000 shares; issued and outstanding 461,588,319 shares at december 31, 2003 and 458,434,729 shares at december 31, 2002
                                       4,616     
        accounts receivable – net
                                        20,321 20,923 24,698.2 26,797 
        deferred income tax
                                          3,723.5  
        investments
                                          5,765.8  
        other assets
                                          5,495.7  
        accrued and other current liabilities
                                          10,798.5 10,692 
        deferred credits and other liabilities
                                          6,577.4  
        326,153
                                           307,894 
      Cashflow Statements:
      Quarterly
      Annual
        Unit: USD2020-12-31 2020-09-30 2020-06-30 2020-03-31 2019-12-31 2019-09-30 2019-06-30 2019-03-31 2018-09-30 2018-06-30 2018-03-31 2017-12-31 2017-09-30 2017-06-30 2017-03-31 2016-12-31 2016-09-30 2016-06-30 2016-03-31 2015-12-31 2015-09-30 2015-06-30 2015-03-31 2014-12-31 2014-09-30 2014-06-30 2014-03-31 2013-09-30 2013-03-31 2012-12-31 2012-09-30 2012-06-30 2012-03-31 2011-09-30 2011-06-30 2011-03-31 2010-12-31 2010-09-30 2010-06-30 2010-03-31 2009-12-31 2009-09-30 2009-06-30 2009-03-31 2008-12-31 2008-09-30 2008-06-30 2008-03-31 2007-12-31 2007-09-30 2006-12-31 2006-09-30 2006-06-30 2006-03-31 2005-12-31 2005-09-30 2005-06-30 2005-03-31 2004-12-31 2004-09-30 2004-06-30 2004-03-31 2003-03-31 2002-12-31 2002-09-30 
                                                                         
          consolidated statements of cash flows
                                                                         
          net cash from operating activities
        22,441 31,184 16,970 16,920 15,695 21,867 19,351 16,477 1,740 24,566 16,316                 19,807,000,000 14,302,000,000  18,902 17,328 18,592    -54,025,922,740 22,178,000,000   18,060,000,000 21,978,000,000 34,347,984,854 15,146 78,302  18,216 22,169   5,183 -33,600,943,982 18,172,000,000 15,429,000,000 64,968,945,322 20,059 -15,249,965,381 15,250,000,000     11,686 54,157.1 40,418.6 
          net cash from investing activities
        -18,138 -16,632 -20,339 -19,239 -25,621 -21,414 -19,661 -17,474 -6,730 4,903 -16,161                 6,848,000,000 4,846,000,000  10,280 6,875 5,610 -6,297,985,640 3,599,000,000 2,699,000,000 -15,501,976,717 9,729,000,000 7,430,000,000 -1,657,000,000 12,975,000,000 30,673,000,000 5,483,998,381 1,619 -17,014 6,991,008,603 4,316 -12,919 -18,801,000,000 -308,000,000 -11,630 -13,898,025,134 8,073,000,000 5,825,000,000 13,080,004,578 -2,358 -2,191,002,220 2,191,000,000  28,109,000,000 -16,183,000,000 4,687,000,000 -1,533 -15,111.9 -11,830.9 
          payment for purchase of property and equipment, including capitalized interest
        -17,837 -19,217 -23,972 -17,074 -28,544 -20,196 -22,023 -18,938 8,475                                                         
          net cash from financing activities
        2,291 -25,984 18,500 8,896 7,431 -5,671 -12,132 -5,385 -2,472 -6,874 -4,692                 21,100,000,000 7,470,000,000  1,493   -26,284,955,367 25,061,000,000 1,224,000,000 -49,675,944,678 14,081,000,000 40,744,000,000 -5,149,000,000 -6,504,000,000 5,706,000,000 21,090,999,396 604 -45,464 48,514,031,272 -31,113 -159 -42,898,000,000 22,029,000,000 4,847 -23,943,041,763 19,946,000,000 3,997,000,000 48,159,044,337 -20,341 -10,245,023,996 10,245,000,000  9,352,000,000 13,115,000,000 7,237,000,000 -8,491  -25,500.5 
          operational data
                                                                         
          number of mobile subscribers
        561,676 2,186,674 -2,890,138 73,075,627 1,666,867 3,903,642 3,598,760 63,948,886 -476,865 393,053 58,117,819                                                       
          prepaid
        751,258 2,289,342 -2,852,337 70,590,758 1,709,683 3,860,688 3,566,221 61,585,197 -453,262 415,210 55,666,020                                                       
          postpaid
        -189,582 -102,668 -37,801 2,484,869 -42,816 42,954 32,539 2,363,689 -23,603 -22,157 2,451,799                                                       
          number of broadband subscribers
        248,357 232,595 326,378 2,282,788 70,470 49,068 25,439 2,016,507 15,892 42,433 1,995,900                           40,796,000,000 117,762,000,000 1,846,826,000,000 248,059,000,000 150,858,000,000 1,215,488,915,712 1,084,288         33,583,000,000 140,110,000,000            
          fixed line broadband
        78,671 89,791 118,357 1,986,783 52,350 37,836 22,617 1,818,530 30,114 56,260 1,772,836                                                       
          fixed wireless broadband
        169,686 142,804 208,021 296,005 18,120 11,232 2,822 197,977 -14,222 -13,827 223,064                                                       
          number of fixed line subscribers
        43,641 81,533 116,454 2,801,187 38,174 15,624 4,334 2,707,077 21,409 49,786 2,707,079                    -6,290 -17,658 2,151,136    -1,839,960,177,895 -23,030,000,000 2,994,000,000 1,859,998,000,000 -50,351,000,000 80,430,000,000 1,786,460,223,709 1,776,291                      
          total number of subscribers
                                                                         
          number of employees:
        -384 816 32 18,384 -440 -233 693 18,764 -664 -172 17,814                    992 -215 35,405                                 
          fixed line
        -256 803 14 12,504 -280 717 12,440 -703 124 10,843                    8,642 6,281 886,678    -630,983,356,952 21,841,000,000 19,348,000,000 589,795,000,000 11,351,000,000 38,626,000,000 509,686,529,135 470,865         14,672,000,000 101,195,000,000            
          lec
        362 128 11 10,926 -27 -133 732 10,306 1,247 -9 6,853                     -1,092 9,064                                 
          others
        -618 675 1,578 27 -147 -15 2,134 -1,950 133 3,990                     132 2,642            830  -42 -349   -152     -125       618 1,227.5 838.8 
          wireless
        -128 13 18 5,880 -440 47 -24 6,324 -661 -296 6,971                    98,703 55,814 2,112,913    -1,374,398,622,044 18,955,000,000 98,414,000,000 1,257,031,000,000 236,708,000,000 112,232,000,000 705,802,386,577 613,423         18,911,000,000 38,915,000,000            
          payment for purchase of property and equipment
                  12,944                                                       
          cash flows
                                                                         
          net cash flows from operating activities
                    7,819,000,000 4,405,000,000 15,131,000,000  8,093,000,000 7,404,000,000 17,780,000,000 21,948,000,000 16,850,000,000 14,800,000,000 16,146,000,000 19,442,000,000 14,917,000,000 14,315,000,000 17,341,000,000                                       
          net cash flows used in investing activities
                   -18,740,000,000 -2,482,000,000 7,320,000,000 -9,681,000,000  6,069,000,000   -20,787,000,000 -9,535,000,000   -15,097,000,000   4,366,000,000                                       
          capital expenditures
        -17,837 -19,217 -23,972 -17,074 -28,544 -20,196 -22,023 -18,938 8,475 12,944                 10,101,000,000 3,066,000,000  9,996 6,547 2,751    -16,922,971,234 7,223,000,000   10,005,000,000 7,398,000,000 10,665,996,056 3,944 -24,425  -5,475 -2,867   -3,904 7,516,000,000 4,869,000,000 -2,399 4,263,000,000     
          free cash flows
        4,604 11,967 -7,002 -154 -12,849 1,671 -2,672 -2,461 10,215 24,566 29,260                 29,908,000,000 17,368,000,000  28,898 23,875 21,343    -70,948,893,974 29,401,000,000   28,065,000,000 29,376,000,000 45,013,980,910 19,090 53,877  12,741 19,302   1,279 -33,600,943,982 25,688,000,000 20,298,000,000 64,968,945,322 17,660 -15,249,965,381 19,513,000,000     11,686 54,157.1 40,418.6 
          net cash flows used in financing activities
                   -4,072,000,000 -13,655,000,000 -9,836,000,000 -12,756,000,000  -11,577,000,000 -21,207,000,000 -3,163,000,000 11,211,000,000 -10,986,000,000   -1,380,000,000 -8,155,000,000                                         
          net decrease in cash and cash equivalents
                   7,537,000,000 -8,209,000,000 1,949,000,000 -7,094,000,000        18,559,000,000 2,965,000,000                          12,480,000,000                
          capitalization
                                                                         
          long-term portion of interest-bearing financial liabilities – net of current portion:
                                                                         
          long-term debt
                    -984,000,000 2,266,000,000 157,975,000,000  -45,000,000 -1,809,000,000 129,974,000,000 10,402,000,000 6,589,000,000 7,405,000,000 119,586,000,000 -2,529,000,000 8,961,000,000 -173,000,000 109,140,000,000 7,938,000,000 99,787,000,000                                     
          current portion of interest-bearing financial liabilities:
                                                                         
          long-term debt maturing within one year
                   -668,000,000 799,000,000 -2,346,000,000 17,172,000,000  3,495,000,000 -1,950,000,000 31,216,000,000 -45,000,000 211,000,000 1,125,000,000 15,619,000,000 -50,000,000 748,000,000 -91,000,000 14,117,000,000 -16,380,000,000 11,996,000,000      7,632,000,000 14,160,000,000              -917,000,000                
          total interest-bearing financial liabilities
                   -2,271,000,000 -185,000,000 -81,000,000 175,148,000,000  3,451,000,000 -3,760,000,000 161,191,000,000 10,356,000,000 6,799,000,000 8,529,000,000 135,209,000,000 -2,580,000,000 9,708,000,000 -266,000,000 123,267,000,000 -8,444,000,000 111,800,000,000      310,000,000 93,856,000,000              -3,488,000,000                
          total equity attributable to equity holders of pldt
                   -7,760,000,000 -4,146,000,000 12,777,000,000 109,954,000,000 -102,358,000,000 -6,914,000,000 6,123,000,000 105,322,000,000 3,219,000,000 -14,009,000,000 5,910,000,000 118,488,000,000 11,937,000,000 -7,673,000,000 9,899,000,000 120,201,000,000 -4,263,000,000 130,216,000,000  -5,200 9,341 136,775 -91,291,914,006 10,455,000,000 80,837,000,000 -88,689,902,931 -5,268,000,000 10,462,000,000 83,496,000,000 9,326,000,000 -10,048,000,000 99,296,910,597 89,403                      
          other selected financial data
                                                                         
          total assets
                    -13,412,000,000 -1,652,000,000 467,456,000,000 -443,397,000,000 -10,265,000,000 -2,894,000,000 466,102,000,000 21,386,000,000 -4,389,000,000 -2,433,000,000 440,531,000,000 20,158,000,000 4,985,000,000 -15,696,000,000 426,848,000,000 -4,794,000,000 407,046,000,000  16,973 -15,012 400,286                           5,079,000,000 -513,000,000 301,412,000,000    
          property and equipment
                   -614,000,000 -5,619,000,000 -4,166,000,000 197,306,000,000  -1,565,000,000 -2,528,000,000 202,588,000,000                                               
          cash and cash equivalents
                   7,537,000,000 -8,209,000,000 1,949,000,000 31,628,000,000 -25,617,000,000 3,009,000,000 -21,876,000,000 45,262,000,000 12,553,000,000 -3,303,000,000 -8,013,000,000 45,218,000,000 2,965,000,000 -19,173,000,000 -17,586,000,000 60,453,000,000 -10,354,000,000 39,135,000,000      -17,311,000,000 55,969,000,000             -8,050,000,000 -4,318,000,000                
          short-term investments
                   -7,595,000,000 -1,954,000,000 2,298,000,000 8,325,000,000  -5,018,000,000 3,460,000,000 3,228,000,000 268,000,000 -387,000,000 -224,000,000 1,772,000,000 3,000,000 -419,000,000 436,000,000 623,000,000 -2,790,000,000 1,587,000,000      -44,000,000 644,000,000                              
          obligations under finance lease
                      1,000,000         -1,000,000 -1,000,000 -2,000,000 5,000,000 -1,000,000 9,000,000      -1,000,000 8,000,000                              
          statements of operations data:
                                                                         
          revenues
                                      42,325 42,656 43,576                                 
          service revenues
                                                                         
          non-service revenues
                                                                         
          expenses
                                      31,200 32,598 30,643    -64,915,911,097 21,615,000,000 21,505,000,000 21,796,000,000 24,596,000,000 22,197,000,000 43,317,978,237 21,763         24,134,000,000 19,602,000,000    17,325,000,000        
          net income for the year
                                                                         
          continuing operations
                                                                         
          discontinued operations
                                                                         
          earnings per common share for the year attributable to equity holders of pldt
                                                                         
          basic
                                      42.58 43.56 46.59    -169,379,787.15 54,540,000 54,310,000 60,530,000 51,680,000 54,480,000 104,219,949.45 50.55                      
          diluted
                                      42.58 43.56 46.59    -169,379,787.15 54,610,000 54,260,000 60,510,000 51,680,000 54,480,000 104,199,949.45 50.55                      
          earnings per common share from continuing operations for the year attributable to equity holders of pldt
                                                                         
          balance sheets data
                                                                         
          net assets
                                                                         
          total long-term debt – net of current portion
                                                                         
          total debt
                                                                   12,862,000,000      
          total liabilities
                                                                         
          weighted-average number of common shares for the year
                                                                         
          other data:
                                                                         
          depreciation and amortization
                                                    24,709  6,359 6,363   4,471    27,854,983,344 5,795       5,813 24,109.6 17,864 
          ratio of earnings to fixed charges
                                                                         
          dividends declared to common shareholders
                                                                         
          dividends declared per common share
                                                                         
          net increase in cash and cash equivalents
                        3,009,000,000 -21,876,000,000 -1,193,000,000 12,553,000,000 -3,303,000,000     -17,586,000,000 28,548,000,000  1,956,000,000      -17,311,000,000 19,291,000,000         16,237 5,102,999,173 -8,235 9,062   -1,789     -2,737    5,034,000,000 -1,667,000,000 4,777,000,000 1,695 6,753.8 3,145.7 
          obligations under finance lease maturing within one year
                          1,000,000 -1,000,000 -1,000,000 -1,000,000 4,000,000 5,000,000 -1,000,000 8,000,000      -1,000,000 7,000,000                              
          net cash flows from investing activities
                          -15,180,000,000    1,016,000,000                                           
          property, plant and equipment
                           3,086,000,000 1,906,000,000 2,732,000,000 188,058,000,000 4,996,000,000 594,000,000 -1,711,000,000 188,105,000,000 2,414,000,000 195,755,000,000      -3,373,000,000 159,662,000,000                 261,000,000 173,571,000,000    192,921,000,000        
          net cash flows from financing activities
                              1,502,000,000    15,687,000,000                                       
          operating activities
                                                                         
          investing activities
                                                                         
          financing activities
                                                                         
          net effect of foreign exchange rate changes on cash and cash equivalents
                                                                         
          net cash inflow
                                                                         
          (in millions, except for net debt to equity ratio, ebitda margin, earnings per common share, operational
                                                                         
          data and exchange rates)
                                                                         
          consolidated statements of financial position
                                                                         
          property, plant and equipment – net
                                      4,237 -1,178 192,968    -158,032,836,816 266,000,000 -2,285,000,000 160,052,000,000 1,804,000,000 508,000,000 158,943,840,807 159,193                      
          cash and cash equivalents and short-term investments
                                      6,981 -15,176 47,399    -30,267,962,653 692,000,000 -22,060,000,000 51,636,000,000 13,620,000,000 -15,112,000,000 43,634,945,872 54,128         -8,807,000,000 37,945,000,000    31,924,000,000        
          notes payable and long-term debt, including current portion
                                      12,552 135 114,088                                 
          net debt to equity ratio
                                      0.06 0.07 0.49    -709,999.46 30,000 170,000 510,000 -160,000 340,000 389,999.72 0.28         -80,000 800,000    1,910,000        
          consolidated income statements
                                                                         
          other income
                                      242 2,031 933       323,000,000    -1,764                      
          income before income tax
                                      11,367 12,089 13,866    -43,031,946,315 13,655,000,000 14,336,000,000 15,041,000,000 11,890,000,000 14,632,000,000 28,316,986,713 13,287 54,491  13,902 16,167    -18,624,970,502 7,348,000,000 11,277,000,000  10,625 -12,925,977,489 12,926,000,000       5,619.8 
          net income for the period
                                             10,437,000,000 10,247,000,000 11,374,000,000                          
          net income attributable to equity holders of pldt:
                                                                         
          reported net income
                                      9,212 9,423 10,079    -31,987,959,783 10,309,000,000 10,258,000,000 11,421,000,000                          
          core income
                                      9,359 9,353 9,308    -31,422,957,972 10,193,000,000 10,745,000,000 10,485,000,000                          
          ebitda
                                      19,278 18,833 20,467    -63,812,916,283 20,556,000,000 22,074,000,000 21,183,000,000                          
          ebitda margin
                                            -59,999,941 1,000,000 59,000,000                          
          reported earnings per common share:
                                                                         
          core earnings per common share:
                                                                         
          number of cellular subscribers
                                      1,170,631 1,319,149 66,109,953    -44,112,297,363,992 -1,233,655,000,000 2,138,675,000,000 43,207,323,000,000 2,180,651,000,000 627,960,000,000 38,519,993,073,301 36,926,699         1,565,525,000,000 20,899,631,000,000    20,252,513,000,000        
          number of broadband subscribers:
                                      107,345 62,095 2,999,591                                 
          business process outsourcing
                                      969 677 15,636                                 
          net income
                                       9,401 10,070                    6,874,000,000 8,765,000,000            
          ebitda margin and
                                       -2 48                                 
          other incomes
                                            -323,998,129 853,000,000   4,549,000,000 -3,949,000,000                        
          information and communications technology
                                            -16,082,983,790 -173,000,000 1,014,000,000 15,242,000,000 -251,000,000 176,000,000 15,655,983,782 16,218                      
          notes payable
                                                         229,000,000                
          notes payable and long-term debt
                                             104,000,000 -1,209,000,000 94,565,000,000 5,120,000,000 11,148,000,000 82,460,920,879 79,121         -8,296,000,000 98,987,000,000    136,014,000,000        
          net income attributable to equity holders of pldt
                                                9,763,000,000 10,298,000,000 19,719,990,420 9,580                      
          reported earnings per common share
                                                                         
          core earnings per common share
                                                                         
          number of employees
                                             -93,000,000 849,000,000 28,868,000,000 -413,000,000 271,000,000 29,176,970,220 29,780         484,000,000 20,134,000,000    18,581,000,000        
          earnings per common share
                                                                         
          pre-tax income margin
                                                -2,000,000 1,000,000 37,999,964 36                      
          net income margin
                                                26,999,973 27         -3,000,000 28,000,000    31,000,000        
          cash flows from operating activities
                                                                         
          adjustments for:
                                                                         
          foreign exchange losses – net
                                                    6,170  3,267 288                  
          interest on loans and related items – net
                                                    5,083  1,608 1,095                  
          asset impairment
                                                    4,180  417 302                  
          incentive plans
                                                    1,281  -416 -77                  
          accretion on financial liabilities – net
                                                    956  220 265                  
          pension benefit costs
                                                    725                     
          amortization of intangible assets
                                                    377  86 94   147               
          equity share in net losses of associates and joint ventures
                                                    176                     
          dividends on preferred stock subject to mandatory redemption
                                                            64          
          gain on disposal of property, plant and equipment
                                                    -534                     
          interest income
                                                    -1,668  -438 -450        -368       -276 -1,060.5 -794.6 
          gain on reversal of provision for onerous contracts
                                                                         
          operating income before changes in assets and liabilities
                                                    92,968  22,280 22,212                  
          decrease (increase) in:
                                                                         
          trade and other receivables
                                                    -3,003  -1,148 937   286     119          
          inventories and supplies
                                                    -913  100 -501   141     -54       -281 305.7 439.5 
          prepayments
                                                    -877  -214 -585        -169          
          advances and refundable deposits
                                                    -1,338  34 168                  
          increase (decrease) in:
                                                                         
          accounts payable
                                                    5,244  607 -74   -5,908     1,857       -1,402 -3,455.5 -1,181.6 
          accrued expenses and other current liabilities
                                                    2,339  2,415 823   842     1,952       1,346   
          pension and other employee benefits
                                                    -1,125  -101 -134                  
          customers’ deposits
                                                    27  20        -11          
          other noncurrent liabilities
                                                            -698          
          net cash generated from operations
                                                    93,323  23,871 22,659        22,905          
          income taxes paid
                                                    -15,021  -5,655 -490        -2,846       -15 -351.1 -307.3 
          cash flows from investing activities
                                                                         
          proceeds from:
                                                                         
          maturity of short-term investments
                                                    28,476                     
          redemption of investment in debt securities
                                                    2,676                     
          disposal of property, plant and equipment
                                                    1,015                     
          disposal of investment in associates
                                                    188                     
          disposal of investment properties
                                                                        
          disposal of available-for-sale financial assets
                                                                         
          collection of notes receivable
                                                                         
          payments for:
                                                                         
          acquisition of intangibles
                                                    -69                     
          available-for-sale financial assets
                                                    -206                     
          purchase of subsidiaries – net of cash acquired
                                                    -375                     
          purchase of investments in associates
                                                    -379                     
          purchase of investment in debt securities
                                                    -3,457                     
          interest received
                                                    1,461  463 219        305       361 731.6 510 
          increase in advances and refundable deposits
                                                    -78                     
          interest paid – capitalized to property, plant and equipment
                                                    -778  -158 -184               -270 -1,343.6 -1,083.4 
          additions to short-term investments
                                                    -21,072  -6,118 -10,931                  
          additions to property, plant and equipment
                                                    -24,425  -5,475 -2,867   -3,904     -2,399          
          cash flows from financing activities
                                                                         
          proceeds from availment of long-term debt
                                                    17,912                     
          additional capital expenditures under long-term financing
                                                    6,614  1,846 544                  
          proceeds from notes payable
                                                    660  109 127   81     -52          
          proceeds from issuance of capital stock
                                                           124       40 463.6 391.4 
          payments of debt issuance costs
                                                    -149      -13     -39          
          payments of obligations under finance lease
                                                    -474  -15 -295                  
          payments of notes payable
                                                    -678  -152 -56              120   
          settlements of derivative financial instruments
                                                    -2,891  -624 -203                  
          interest paid - net of capitalized portion
                                                    -5,167  -1,748 -930        -2,259          
          payments for redemption of shares
                                                    -5,281  -3,222 -331                  
          reduction in capital expenditures under long-term financing
                                                    -5,519  -2,617 -1,146                  
          payments of long-term debt
                                                    -13,375  -3,399 -1,943        -13,292       -6,091 -42,019.1  
          cash dividends paid
                                                    -37,124  -23,379 -50        -4,026       -368 -1,582.3 -1,178.3 
          effect of foreign exchange rate changes on cash and cash equivalents
                                                    413  346 -29                  
          cash and cash equivalents at beginning of year
                                                    17,447                   4,122.7  
          cash and cash equivalents at end of year
                                                    33,684                   10,876.5  
          obligations under capital lease
                                                         -13,000,000                
          obligations under capital lease maturing within one year
                                                         -18,000,000                
          preferred stock subject to mandatory redemption
                                                         -60,000,000                
          total equity
                                                         -9,022,000,000   9,118,000,000 76,752,000,000    54,383,000,000        
          other financial data
                                                                         
          property, plant and equipment - net
                                                         -1,447,000,000          512,000,000 -11,000,000 243,455,000,000    
          pension
                                                      190 175                  
          equity share in net losses of associates
                                                      20 23                  
          gain on disposal of fixed assets
                                                                         
          loss
                                                                         
          unearned revenues
                                                      -108 -209   585     -555          
          proceeds from redemption of investment in debt securities
                                                      1,187                  
          proceeds from disposal of property, plant and equipment
                                                      797 36        -66          
          proceeds from disposal of investment properties
                                                                         
          payments for acquisition of intangibles
                                                      -10 -27                  
          payments for purchase of investment in debt securities
                                                      -1,844 -355                  
          payments for purchase of investments – net of cash acquired
                                                                         
          proceeds from maturity of short-term investments
                                                                         
          proceeds from issuance of long-term debt
                                                      2,086 4,121                  
          cash and cash equivalents at beginning of period
                                                      17,447              10,876  4,122.7 
          cash and cash equivalents at end of period
                                                      -8,235 26,509        -2,737       12,571  7,268.4 
          loss on disposal of fixed assets
                                                       91                  
          losses
                                                       -1,777                  
          decrease in advances and refundable deposits
                                                                        
          statements of operating data:
                                                                         
          total revenues
                                                                         
          foreign exchange gains – net
                                                                         
          balance sheets data:
                                                                         
          total long-term debt - net of current portion
                                                                         
          total stockholders’ equity
                                                                         
          adjustments to reconcile net income to net cash from operating activities:
                                                                         
          loss on derivative instruments
                                                                         
          minority interest in net income of consolidated subsidiaries
                                                                         
          provision for doubtful accounts
                                                          39     540       1,130 4,023.6 3,218.2 
          accretion on financial liabilities
                                                                         
          provision for inventory obsolescence
                                                                         
          equity share in net loss of associates
                                                                         
          loss on disposal of property and equipment
                                                                         
          benefit from deferred income tax including tax on cumulative cumulative effect of change in accounting policy
                                                                         
          gain on early settlement of debt, debt exchange and debt restructuring transactions
                                                                         
          unrealized foreign exchange losses
                                                                         
          operating cash flows before working capital changes
                                                                         
          changes in assets and liabilities, net of effect from purchase of subsidiaries:
                                                                         
          decrease in:
                                                                         
          prepaid expenses and other current assets
                                                                         
          increase in:
                                                                         
          income tax payable
                                                                         
          deferred credits and other noncurrent liabilities
                                                                         
          proceeds from disposal of property and equipment
                                                                         
          payments for business acquired – net of cash acquired
                                                                         
          (disbursements) cash receipts for lease deposits and other noncurrent assets
                                                                         
          decrease in short-term investments
                                                               26          
          decrease in investments in debt securities
                                                                         
          proceeds from long-term borrowings
                                                                         
          payments of long-term borrowings
                                                                         
          repayments of notes payable
                                                                         
          dividends paid
                                                                         
          payments of capital lease liabilities
                                                                         
          redemption of shares of minority
                                                                         
          settlements of derivatives
                                                          -526               
          interest on loans and related items - net of capitalized interest
                                                               2,595          
          accretion on financial liabilities - net
                                                               707          
          write-down of inventories to net realizable values
                                                                         
          loss on derivative transactions - net
                                                                         
          equity share in net income of associates
                                                                         
          provisions for onerous contracts and assessments
                                                                         
          foreign exchange gains - net
                                                                         
          operating income before working capital changes
                                                               20,350       13,980 51,012.5 38,457.2 
          payments for purchase of investments - net of cash acquired
                                                                         
          proceeds from sale of investment properties
                                                                         
          payments for purchase of investments-available-for sale
                                                                         
          increase in short-term investments
                                                                         
          decrease in investments in notes receivable
                                                                         
          payments of obligations under capital lease
                                                               -88          
          effect of exchange rate changes on cash and cash equivalents
                                                               -97       33 97.2 58.5 
          consolidated balance sheets
                                                                         
          interest-bearing financial liabilities
                                                            -9,467,000,000 111,109,000,000    151,070,000,000        
          consolidated statements of income
                                                                         
          revenues and other income
                                                                         
          earnings per common share – basic
                                                            36,280,000 46,740,000            
          number of fixed lines in service
                                                            -15,183,000,000 2,085,904,000,000    2,149,489,000,000        
          ict
                                                            382,000,000 5,898,000,000            
          net income attributable to equity holders
                                                             8,581,000,000    9,361,000,000        
          amounts in conformity with u.s. gaap:
                                                                         
          operating revenues
                                                                         
          service
                                                                         
          non-service
                                                                         
          operating expenses
                                                                         
          operating income
                                                                         
          operating income per share
                                                                         
          write-down of inventories at net realizable value
                                                               169          
          provision for onerous contracts
                                                               51          
          equity in net losses of associates
                                                                         
          gain on derivative transactions - net
                                                                         
          foreign exchange losses - net
                                                               -393          
          gain on debt exchange and debt restructuring transactions
                                                                         
          pension and other benefits
                                                               435          
          interest paid - capitalized to property, plant and equipment
                                                               -145          
          additions to investment properties
                                                                         
          increase in investment-held-for-sale
                                                                         
          investments in notes receivable
                                                                        
          proceeds from long-term debt
                                                                     1,245 32,586.1  
          equity in net losses
                                                                         
          other current assets
                                                                         
          payments for purchase of investments
                                                                         
          payments for purchase of investments-available-for-sale
                                                                         
          decrease in other noncurrent assets
                                                                      -87 -546.6  
          service income
                                                                 29,361,000,000        
          current portion of long-term debt
                                                                   9,235,000,000 -3,428,000,000 25,701,000,000    
          long-term debt - net of current portion
                                                                   3,759,000,000 -5,287,000,000 129,127,000,000    
          net debt
                                                                   7,719,000,000 -9,030,000,000 132,920,000,000    
          stockholders’ equity
                                                                    6,379,000,000 98,451,000,000    
          net operating income
                                                                         
          net operating income per share
                                                                         
          depreciation
                                                                         
          income before income tax and minority interest in net income (losses) of consolidated subsidiaries
                                                                      3,462   
          equity in net losses (income) of investees, including goodwill amortization and provision for impairment in value of investment
                                                                        
          interest expense
                                                                      3,229 13,886.4 10,693.2 
          accounts receivable
                                                                      -1,918 2,604.1 -543.4 
          prepayments and other current assets
                                                                      -24 331.7  
          cash generated from operations
                                                                      11,701 54,508.2 40,725.9 
          cash flows from investingactivities
                                                                         
          net additions to property, plant and equipment
                                                                      -1,537 -13,355.1 -10,024.5 
          interest paid – net of capitalized portion
                                                                      -2,838 -13,955.6 -10,060.9 
          decrease in deferred credits and other noncurrent liabilities
                                                                      -599   
          redemption of preferred stock
                                                                       -72 -72 
          income before income tax and minority interest
                                                                       4,662.9  
          equity in net losses of subsidiaries, including goodwill amortization and provision for impairment in value of investment
                                                                       4,163  
          dividend income
                                                                         
          accrued and other current liabilities
                                                                       3,709.7 3,419.2 
          net reduction in (additions to) investments
                                                                       -598.2  
          dividends received
                                                                         
          purchase of smart’s local exchange carrier assets
                                                                         
          proceeds from (payments of) notes payable
                                                                       -5,743.1  
          increase in deferred credits and other noncurrent liabilities
                                                                       -2,066.2  
          net cash from (used in) financing activities
                                                                       -32,388.6  
          adjustments to reconcile net income to net cash provided by operating activities:
                                                                         
          minority interest in net income (losses) of consolidated subsidiaries
                                                                        -20.3 
          equity in net losses of investees, including goodwill amortization and provision for permanent decline in value of investment
                                                                        1,038.1 
          changes in operating assets and liabilities
                                                                         
          (increase) decrease in:
                                                                         
          prepayment and other current assets
                                                                        135 
          net additions to investments
                                                                        -354.7 
          decrease in other assets
                                                                        -878.3 
          additions to long-term debt
                                                                        31,934.2 
          reductions of long-term debt
                                                                        -36,959.8 
          additions to (reductions of) notes payable
                                                                        -4,703.3 
          increase in deferred credits and other liabilities
                                                                        -4,851.8