CA Stock MarketDetailed Quotes

T TELUS Corp

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  • 19.460
  • +0.010+0.05%
15min DelayMarket Closed Dec 27 16:00 ET
29.03BMarket Cap30.89P/E (TTM)

TELUS Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
9.56%1.43B
24.26%1.39B
24.84%950M
-6.49%4.5B
16.70%1.31B
0.54%1.31B
-10.64%1.12B
-32.95%761M
9.64%4.81B
25.67%1.13B
Net income from continuing operations
87.59%257M
12.76%221M
-37.50%140M
-49.53%867M
16.98%310M
-75.14%137M
-60.64%196M
-44.55%224M
1.18%1.72B
-60.03%265M
Operating gains losses
11.76%19M
10.00%22M
131.58%88M
215.29%98M
-30.00%42M
113.71%17M
138.46%20M
22.58%38M
70.38%-85M
115.79%60M
Depreciation and amortization
-3.20%968M
-1.19%994M
4.01%1.06B
17.87%4.07B
12.06%1.04B
17.65%1B
21.06%1.01B
21.38%1.02B
7.34%3.45B
11.93%929M
Remuneration paid in stock
62.96%44M
30.00%39M
-37.21%27M
-4.10%117M
-29.17%17M
-10.00%27M
-28.57%30M
65.38%43M
-12.23%122M
50.00%24M
Deferred tax
-19.39%-117M
-94.44%-70M
-5.38%-98M
-551.61%-140M
680.00%87M
-288.46%-98M
-620.00%-36M
-9,200.00%-93M
-34.04%31M
-124.19%-15M
Other non cashItems
-1,600.00%-45M
-48.00%-37M
-575.00%-57M
20.51%-186M
-57.14%-242M
105.88%3M
-152.08%-25M
115.58%12M
31.78%-234M
6.10%-154M
Change In working capital
38.46%306M
395.95%219M
56.08%-213M
-68.91%-326M
247.06%59M
2,862.50%221M
33.93%-74M
-438.89%-485M
-135.37%-193M
112.98%17M
-Change in receivables
73.21%-30M
540.00%64M
8.52%191M
37.95%-188M
-43.17%-262M
40.11%-112M
105.41%10M
-30.16%176M
-1.68%-303M
-48.78%-183M
-Change in inventory
26.67%38M
125.00%9M
-17.02%-55M
159.55%53M
273.68%66M
148.39%30M
-94.74%4M
27.69%-47M
-117.07%-89M
67.24%-38M
-Change in prepaid assets
93.18%85M
-13.21%-60M
0.74%-135M
-7.14%-60M
-40.51%94M
204.76%44M
-76.67%-53M
4.23%-136M
-40.00%-56M
203.85%158M
-Change in payables and accrued expense
0.93%109M
966.67%192M
58.56%-225M
-254.91%-268M
24.17%149M
-48.57%108M
1,000.00%18M
-250.32%-543M
-40.14%173M
126.42%120M
-Change in other current liabilities
66.67%-3M
-500.00%-4M
----
----
----
---9M
--1M
----
----
----
-Change in other working capital
-33.13%107M
133.33%18M
-83.08%11M
67.07%137M
115.00%6M
119.18%160M
-286.21%-54M
225.00%65M
925.00%82M
-1,433.33%-40M
Cash from discontinued investing activities
Operating cash flow
9.56%1.43B
24.26%1.39B
24.84%950M
-6.49%4.5B
16.70%1.31B
0.54%1.31B
-10.64%1.12B
-32.95%761M
9.64%4.81B
25.67%1.13B
Investing cash flow
Cash flow from continuing investing activities
1.14%-782M
-38.22%-1.26B
57.48%-992M
12.20%-4.75B
16.16%-716M
58.74%-791M
36.86%-908M
-94.58%-2.33B
1.06%-5.41B
57.06%-854M
Net PPE purchase and sale
8.86%-679M
14.29%-666M
16.80%-812M
12.75%-3.18B
12.98%-684M
10.46%-745M
23.52%-777M
3.65%-976M
-17.76%-3.65B
8.60%-786M
Net intangibles purchas and sale
--0
-9,820.00%-496M
---124M
---29M
--0
---24M
---5M
--0
--0
--0
Net business purchase and sale
-727.27%-91M
-1,114.29%-71M
94.06%-75M
16.59%-1.28B
75.00%-11M
98.92%-11M
102.02%7M
-934.43%-1.26B
-3,927.50%-1.53B
-108.80%-44M
Net investment purchase and sale
-200.00%-7M
8.70%-21M
121.74%20M
38.32%-132M
-200.00%-24M
110.61%7M
69.33%-23M
-41.54%-92M
-44.59%-214M
85.45%-8M
Net other investing changes
72.22%-5M
99.09%-1M
66.67%-1M
-700.00%-128M
--3M
---18M
-10,900.00%-110M
-400.00%-3M
61.90%-16M
----
Cash from discontinued investing activities
Investing cash flow
1.14%-782M
-38.22%-1.26B
57.48%-992M
12.20%-4.75B
16.16%-716M
58.74%-791M
36.86%-908M
-94.58%-2.33B
1.06%-5.41B
57.06%-854M
Financing cash flow
Cash flow from continuing financing activities
-2,056.41%-763M
-213.50%-1.37B
-9.02%1.34B
-83.61%139M
-27.10%-938M
-97.67%39M
-114.22%-437M
1,182.61%1.48B
-11.02%848M
-1,437.50%-738M
Net issuance payments of debt
-189.82%-353M
-1,439.34%-939M
-4.51%1.72B
-30.57%1.53B
-56.40%-599M
-80.30%393M
-135.67%-61M
326.07%1.8B
3,205.63%2.21B
-271.75%-383M
Cash dividends paid
-13.61%-384M
-34.69%-431M
-12.89%-359M
-10.69%-1.32B
-10.06%-339M
-13.80%-338M
-10.34%-320M
-8.53%-318M
-13.68%-1.19B
-13.24%-308M
Net other financing activities
-62.50%-26M
----
-220.00%-16M
54.44%-77M
--0
30.43%-16M
34.12%-56M
64.29%-5M
-121.98%-169M
-4,800.00%-47M
Cash from discontinued financing activities
Financing cash flow
-2,056.41%-763M
-213.50%-1.37B
-9.02%1.34B
-83.61%139M
-27.10%-938M
-97.67%39M
-114.22%-437M
1,182.61%1.48B
-11.02%848M
-1,437.50%-738M
Net cash flow
Beginning cash position
42.84%927M
146.75%2.16B
-11.29%864M
34.72%974M
-16.39%1.2B
69.90%649M
13.31%877M
34.72%974M
-14.74%723M
-22.75%1.44B
Current changes in cash
-120.36%-113M
-442.54%-1.24B
1,440.21%1.3B
-143.82%-110M
27.04%-340M
-47.54%555M
41.84%-228M
-290.20%-97M
300.80%251M
59.16%-466M
End cash Position
-32.39%814M
42.84%927M
146.75%2.16B
-11.29%864M
-11.29%864M
-16.39%1.2B
69.90%649M
13.31%877M
34.72%974M
34.72%974M
Free cash from
39.96%753M
-32.54%226M
106.51%14M
10.65%1.29B
85.29%630M
14.96%538M
43.16%335M
-276.23%-215M
225.43%1.16B
122.34%340M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 9.56%1.43B24.26%1.39B24.84%950M-6.49%4.5B16.70%1.31B0.54%1.31B-10.64%1.12B-32.95%761M9.64%4.81B25.67%1.13B
Net income from continuing operations 87.59%257M12.76%221M-37.50%140M-49.53%867M16.98%310M-75.14%137M-60.64%196M-44.55%224M1.18%1.72B-60.03%265M
Operating gains losses 11.76%19M10.00%22M131.58%88M215.29%98M-30.00%42M113.71%17M138.46%20M22.58%38M70.38%-85M115.79%60M
Depreciation and amortization -3.20%968M-1.19%994M4.01%1.06B17.87%4.07B12.06%1.04B17.65%1B21.06%1.01B21.38%1.02B7.34%3.45B11.93%929M
Remuneration paid in stock 62.96%44M30.00%39M-37.21%27M-4.10%117M-29.17%17M-10.00%27M-28.57%30M65.38%43M-12.23%122M50.00%24M
Deferred tax -19.39%-117M-94.44%-70M-5.38%-98M-551.61%-140M680.00%87M-288.46%-98M-620.00%-36M-9,200.00%-93M-34.04%31M-124.19%-15M
Other non cashItems -1,600.00%-45M-48.00%-37M-575.00%-57M20.51%-186M-57.14%-242M105.88%3M-152.08%-25M115.58%12M31.78%-234M6.10%-154M
Change In working capital 38.46%306M395.95%219M56.08%-213M-68.91%-326M247.06%59M2,862.50%221M33.93%-74M-438.89%-485M-135.37%-193M112.98%17M
-Change in receivables 73.21%-30M540.00%64M8.52%191M37.95%-188M-43.17%-262M40.11%-112M105.41%10M-30.16%176M-1.68%-303M-48.78%-183M
-Change in inventory 26.67%38M125.00%9M-17.02%-55M159.55%53M273.68%66M148.39%30M-94.74%4M27.69%-47M-117.07%-89M67.24%-38M
-Change in prepaid assets 93.18%85M-13.21%-60M0.74%-135M-7.14%-60M-40.51%94M204.76%44M-76.67%-53M4.23%-136M-40.00%-56M203.85%158M
-Change in payables and accrued expense 0.93%109M966.67%192M58.56%-225M-254.91%-268M24.17%149M-48.57%108M1,000.00%18M-250.32%-543M-40.14%173M126.42%120M
-Change in other current liabilities 66.67%-3M-500.00%-4M---------------9M--1M------------
-Change in other working capital -33.13%107M133.33%18M-83.08%11M67.07%137M115.00%6M119.18%160M-286.21%-54M225.00%65M925.00%82M-1,433.33%-40M
Cash from discontinued investing activities
Operating cash flow 9.56%1.43B24.26%1.39B24.84%950M-6.49%4.5B16.70%1.31B0.54%1.31B-10.64%1.12B-32.95%761M9.64%4.81B25.67%1.13B
Investing cash flow
Cash flow from continuing investing activities 1.14%-782M-38.22%-1.26B57.48%-992M12.20%-4.75B16.16%-716M58.74%-791M36.86%-908M-94.58%-2.33B1.06%-5.41B57.06%-854M
Net PPE purchase and sale 8.86%-679M14.29%-666M16.80%-812M12.75%-3.18B12.98%-684M10.46%-745M23.52%-777M3.65%-976M-17.76%-3.65B8.60%-786M
Net intangibles purchas and sale --0-9,820.00%-496M---124M---29M--0---24M---5M--0--0--0
Net business purchase and sale -727.27%-91M-1,114.29%-71M94.06%-75M16.59%-1.28B75.00%-11M98.92%-11M102.02%7M-934.43%-1.26B-3,927.50%-1.53B-108.80%-44M
Net investment purchase and sale -200.00%-7M8.70%-21M121.74%20M38.32%-132M-200.00%-24M110.61%7M69.33%-23M-41.54%-92M-44.59%-214M85.45%-8M
Net other investing changes 72.22%-5M99.09%-1M66.67%-1M-700.00%-128M--3M---18M-10,900.00%-110M-400.00%-3M61.90%-16M----
Cash from discontinued investing activities
Investing cash flow 1.14%-782M-38.22%-1.26B57.48%-992M12.20%-4.75B16.16%-716M58.74%-791M36.86%-908M-94.58%-2.33B1.06%-5.41B57.06%-854M
Financing cash flow
Cash flow from continuing financing activities -2,056.41%-763M-213.50%-1.37B-9.02%1.34B-83.61%139M-27.10%-938M-97.67%39M-114.22%-437M1,182.61%1.48B-11.02%848M-1,437.50%-738M
Net issuance payments of debt -189.82%-353M-1,439.34%-939M-4.51%1.72B-30.57%1.53B-56.40%-599M-80.30%393M-135.67%-61M326.07%1.8B3,205.63%2.21B-271.75%-383M
Cash dividends paid -13.61%-384M-34.69%-431M-12.89%-359M-10.69%-1.32B-10.06%-339M-13.80%-338M-10.34%-320M-8.53%-318M-13.68%-1.19B-13.24%-308M
Net other financing activities -62.50%-26M-----220.00%-16M54.44%-77M--030.43%-16M34.12%-56M64.29%-5M-121.98%-169M-4,800.00%-47M
Cash from discontinued financing activities
Financing cash flow -2,056.41%-763M-213.50%-1.37B-9.02%1.34B-83.61%139M-27.10%-938M-97.67%39M-114.22%-437M1,182.61%1.48B-11.02%848M-1,437.50%-738M
Net cash flow
Beginning cash position 42.84%927M146.75%2.16B-11.29%864M34.72%974M-16.39%1.2B69.90%649M13.31%877M34.72%974M-14.74%723M-22.75%1.44B
Current changes in cash -120.36%-113M-442.54%-1.24B1,440.21%1.3B-143.82%-110M27.04%-340M-47.54%555M41.84%-228M-290.20%-97M300.80%251M59.16%-466M
End cash Position -32.39%814M42.84%927M146.75%2.16B-11.29%864M-11.29%864M-16.39%1.2B69.90%649M13.31%877M34.72%974M34.72%974M
Free cash from 39.96%753M-32.54%226M106.51%14M10.65%1.29B85.29%630M14.96%538M43.16%335M-276.23%-215M225.43%1.16B122.34%340M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion with Explanatory Notes--

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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