Annual Report 2013

List of Tables.

T 001Selected financial data of the Group
T 002Key data of the Group
T 003Principal subsidiaries
T 004Germany
T 005United States
T 006Europe
T 007Systems Solutions
T 008Group Headquarters & Group Services
T 009T-Share information
T 010Comparison of the Group’s expectations with actual figures
T 011Composition of the Board of Management
T 012Growth areas of Deutsche Telekom
T 013Financial performance indicators
T 014Non-financial performance indicators
T 015GNP growth rates
T 016Contribution of the segments to net revenue
T 017Contribution of the segments to adjusted Group EBITDA
T 018Consolidated income statement and effects of special factors
T 019Condensed consolidated statement of financial position
T 020Financial liabilities
T 021Net debt
T 022The rating of Deutsche Telekom AG
T 023Financial flexibility
T 024Condensed consolidated statement of cash flows
T 025Reconciliation for the change in disclosure of key performance indicators in 2013
T 026Customer development
T 027Development of operations
T 028
T 029Development of operations
T 030Customer development
T 031Development of operations
T 032
T 033Development of operations
T 034Development of operations
T 035Statement of income of Deutsche Telekom AG under German GAAP (total cost method)
T 036Balance sheet of Deutsche Telekom AG under German GAAP
T 037Statement of cash flows
T 038
T 039Expenditure and investment in research and development
T 040Headcount development
T 041Personnel costs
T 042GDP forecasts for 2014 and 2015
T 043Financial performance indicators
T 044Non-financial performance indicators
T 045Exchange rates
T 046Factors that may impact results
T 047Assessment method
T 047
T 048Corporate risks
T 049Major ongoing litigation
T 050
T 050Consolidated statement of financial position
T 051Consolidated income statement
T 052Consolidated statement of comprehensive income
T 053Consolidated statement of changes in equity
T 054Consolidated statement of cash flows
T 055
T 055IASB pronouncements and/or amendments to such pronouncements
T 056Measurement of key assets and liabilities shown in the consolidated statement of financial position
T 057Remaining useful lives of mobile communications licenses
T 058Useful lives of material asset categories
T 059MetroPCS acquisition: Consideration transferred
T 060MetroPCS: Fair values
T 061MetroPCS: Goodwill
T 062MetroPCS: Development of goodwill
T 063Quantitative effects on the composition of the Group
T 064Composition of the Group
T 065Principal subsidiaries
T 066Exchange rates
T 067Trade and other receivables
T 068Maturity structure of trade receivables not impaired
T 069Allowances on trade receivables
T 070Expenses for the full write-off of trade receivables as well as income from recoveries on trade receivables written off
T 071Inventories
T 072Non-current assets and disposal groups held for sale and directly associated liabilities
T 073Input parameters
T 074Intangible assets
T 075Carrying amounts of goodwill allocated to the segment and cash-generating units
T 076Measurement assumptions for major cash-generating units
T 077Property
T 078Significant investments in companies accounted for under the equity method
T 079Aggregated key financial figures for the associates accounted for using the equity method
T 080Aggregated key financial figures for the joint ventures accounted for using the equity method
T 081Other financial assets
T 082Maturity structure of other financial assets not impaired
T 083Financial liabilities
T 084Interest payments and repayments of non-derivative and derivative financial liabilities and assets (reporting year)
T 085Interest payments and repayments of non-derivative and derivative financial liabilities and assets (prior year)
T 086Trade and other payables
T 087Pension obligations
T 088Calculation of net defined benefit liabilities/assets
T 089Reconciliation of net defined benefit liabilities/assets
T 090Assumptions for the measurement of defined benefit obligations
T 091Duration
T 092Development of defined benefit obligations
T 093Distribution of obligations relating to the most significant plans
T 094Sensitivity analysis of defined benefit obligations
T 095Development of plan assets at fair value
T 096Breakdown of plan assets at fair value by investment category
T 097Breakdown of plan assets at fair value by investment category (prior year)
T 098Development of the effect of the asset ceiling
T 099Defined benefit cost
T 100Remeasurements recognized in other comprehensive income
T 101Total benefit payments expected
T 102Defined benefit obligations in excess of plan assets
T 103Experience-based adjustments
T 104Other provisions
T 105Provisions for staff restructuring
T 106Other liabilities
T 107Share capital breakdown
T 108Authorized capital and contingent capital
T 109Shareholders’ equity: Changes in the composition of the Group and transactions with owners
T 110Net revenue
T 111Cost of sales
T 112Selling expenses
T 113General and administrative expenses
T 114Other operating income
T 115Other operating expenses
T 116Finance costs
T 117Share of profit/loss of associates and joint ventures accounted for using the equity method
T 118Other financial income/expense
T 119Income taxes in Germany and internationally
T 120Reconciliation of the effective tax rate
T 121Current income taxes in the consolidated income statement
T 122Deferred taxes in the consolidated income statement
T 123Current income taxes in the consolidated statement of financial position
T 124Deferred taxes in the consolidated statement of financial position
T 125Development of deferred taxes
T 126Development of deferred taxes on loss carryforwards
T 127Deferred taxes relating to key items in the statement of financial position
T 128Loss carryforwards
T 129Loss carryforwards and temporary differences for which no deferred taxes were recorded
T 130Disclosure of tax effects relating to each component of other comprehensive income
T 131Basic/diluted earnings per share
T 132Average number of employees/personnel costs
T 133Depreciation
T 134Impairment losses
T 135Net cash used in investing activities
T 136Net cash from/used in financing activities
T 137Segment reporting I
T 138Segment reporting II
T 139Segment reporting III
T 140Non-current assets and net revenue by region
T 141Net revenue by products and services
T 142Net carrying amounts of leased assets capitalized in connection with a finance lease
T 143Finance lease maturities
T 144Future obligations from operating leases
T 145Net investment in a finance lease
T 146Gross investment amounts and present value of payable minimum lease payments
T 147Future minimum lease payments
T 148Other financial obligations
T 149Plan development of the share-based payment at T-Mobile US
T 150Development of the T-Mobile US stock options
T 151Carrying amounts
T 152Fair value hierarchy for financial instruments not measured at fair value
T 153Financial instruments measured at fair value
T 154
T 154Net gain/loss by measurement category
T 155Offsetting
T 155
T 156Derivatives
T 157Calculation of net debt; shareholders’ equity
T 158Compensation of the Board of Management: Nominal amounts of Variable II
T 159Compensation of the Board of Management: Total share-based payment expense
T 160Compensation of the Board of Management: Service cost and defined benefit obligation
T 161Compensation of the Board of Management: Total compensation
T 162Supervisory Board compensation
T 163Auditor’s fees and services