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TIXT TELUS International (Cda) Inc

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  • 5.330
  • -0.180-3.27%
15min DelayMarket Closed Feb 14 16:00 ET
1.47BMarket Cap-10.90P/E (TTM)

TELUS International (Cda) Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(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
Assets
Current assets
Cash, cash equivalents and short term investments
37.01%174M
37.01%174M
12.88%149M
6.29%152M
8.45%154M
1.60%127M
1.60%127M
-7.69%132M
16.26%143M
-11.80%142M
-Cash and cash equivalents
37.01%174M
37.01%174M
12.88%149M
6.29%152M
8.45%154M
1.60%127M
1.60%127M
-7.69%132M
16.26%143M
-11.80%142M
Receivables
-15.40%478M
-15.40%478M
-3.90%517M
-10.68%535M
-12.01%520M
9.50%565M
9.50%565M
12.55%538M
21.26%599M
26.01%591M
-Accounts receivable
-30.22%194M
-30.22%194M
-56.68%214M
-10.08%214M
-2.80%243M
24.66%278M
24.66%278M
143.35%494M
23.32%238M
30.21%250M
-Taxes receivable
60.00%8M
60.00%8M
0.00%8M
-70.00%3M
-60.00%2M
-28.57%5M
-28.57%5M
700.00%8M
100.00%10M
400.00%5M
-Due from related parties current
-74.19%16M
-74.19%16M
8.33%39M
-25.25%74M
-47.19%47M
-23.46%62M
-23.46%62M
-28.00%36M
102.04%99M
102.27%89M
-Other receivables
20.72%268M
20.72%268M
--261M
-1.97%249M
-6.05%233M
7.77%222M
7.77%222M
----
2.42%254M
6.44%248M
-Recievables adjustments allowances
-300.00%-8M
-300.00%-8M
---5M
-150.00%-5M
-400.00%-5M
-100.00%-2M
-100.00%-2M
----
-100.00%-2M
0.00%-1M
Hedging assets-current
-18.75%13M
-18.75%13M
-40.00%12M
-10.53%17M
-5.56%17M
-15.79%16M
-15.79%16M
5.26%20M
35.71%19M
125.00%18M
Other current assets
20.00%42M
20.00%42M
-20.75%42M
-13.79%50M
-8.33%55M
0.00%35M
0.00%35M
12.77%53M
11.54%58M
15.38%60M
Total current assets
-4.85%707M
-4.85%707M
-3.10%720M
-7.94%754M
-8.01%746M
6.91%743M
6.91%743M
8.15%743M
19.91%819M
17.54%811M
Non current assets
Net PPE
-11.80%456M
-11.80%456M
-5.46%485M
-4.32%487M
5.47%521M
15.14%517M
15.14%517M
17.39%513M
17.28%509M
17.06%494M
-Gross PPE
0.29%1.05B
0.29%1.05B
9.79%1.11B
9.90%1.08B
15.65%1.09B
21.81%1.05B
21.81%1.05B
22.99%1.01B
22.81%980M
21.32%939M
-Accumulated depreciation
-12.01%-597M
-12.01%-597M
-25.50%-625M
-25.27%-590M
-26.97%-565M
-29.06%-533M
-29.06%-533M
-29.35%-498M
-29.40%-471M
-26.42%-445M
Financial assets
--15M
--15M
----
50.00%9M
-42.86%4M
--0
--0
-46.15%21M
-60.00%6M
--7M
Non current prepaid assets
16.67%21M
16.67%21M
--18M
----
----
-10.00%18M
-10.00%18M
----
----
----
Goodwill and other intangible assets
-5.81%3.31B
-5.81%3.31B
-3.24%3.41B
-5.12%3.41B
-4.85%3.45B
48.81%3.51B
48.81%3.51B
53.46%3.52B
50.57%3.6B
46.23%3.63B
-Goodwill
-1.88%1.93B
-1.88%1.93B
1.03%1.97B
-1.32%1.95B
-0.76%1.95B
45.41%1.96B
45.41%1.96B
51.48%1.95B
48.68%1.97B
44.13%1.97B
-Other intangible assets
-10.80%1.38B
-10.80%1.38B
-8.53%1.44B
-9.73%1.47B
-9.69%1.5B
53.37%1.55B
53.37%1.55B
56.01%1.57B
52.92%1.62B
48.79%1.66B
Non current deferred assets
-58.62%12M
-58.62%12M
56.00%39M
20.00%30M
12.00%28M
107.14%29M
107.14%29M
177.78%25M
92.31%25M
38.89%25M
Other non current assets
-28.57%5M
-28.57%5M
100.00%8M
333.33%26M
-42.86%4M
0.00%7M
0.00%7M
-33.33%4M
-14.29%6M
0.00%7M
Total non current assets
-6.52%3.81B
-6.52%3.81B
-3.11%3.96B
-4.30%3.97B
-3.65%4.01B
42.61%4.08B
42.61%4.08B
46.63%4.09B
44.96%4.14B
42.11%4.16B
Total assets
-6.26%4.52B
-6.26%4.52B
-3.11%4.68B
-4.90%4.72B
-4.36%4.76B
35.63%4.82B
35.63%4.82B
39.02%4.83B
40.13%4.96B
37.42%4.97B
Liabilities
Current liabilities
Current debt and capital lease obligation
-4.92%116M
-4.92%116M
-1.64%120M
-3.28%118M
0.00%120M
46.99%122M
46.99%122M
-61.27%122M
-61.64%122M
-62.73%120M
-Current debt
-4.92%116M
-4.92%116M
-1.64%120M
-3.28%118M
0.00%120M
46.99%122M
46.99%122M
-61.27%122M
-61.64%122M
-62.73%120M
Payables
22.61%347M
22.61%347M
17.03%323M
22.57%315M
19.03%294M
26.91%283M
26.91%283M
43.75%276M
36.70%257M
13.30%247M
-accounts payable
-2.70%36M
-2.70%36M
-10.53%34M
8.11%40M
7.89%41M
-5.13%37M
-5.13%37M
137.50%38M
117.65%37M
-30.91%38M
-Total tax payable
19.30%68M
19.30%68M
-16.44%61M
-11.59%61M
-22.22%63M
-14.93%57M
-14.93%57M
-12.05%73M
-6.76%69M
6.58%81M
-Due to related parties current
29.78%231M
29.78%231M
44.00%216M
44.53%198M
47.93%179M
60.36%178M
60.36%178M
85.19%150M
55.68%137M
51.25%121M
-Other payable
9.09%12M
9.09%12M
-20.00%12M
14.29%16M
57.14%11M
83.33%11M
83.33%11M
25.00%15M
55.56%14M
0.00%7M
Current accrued expenses
9.66%261M
9.66%261M
1.61%252M
-3.14%247M
-8.10%227M
-0.42%238M
-0.42%238M
-3.88%248M
-4.49%255M
-7.14%247M
Current provisions
250.00%7M
250.00%7M
40.00%7M
-37.50%5M
-88.89%1M
100.00%2M
100.00%2M
--5M
--8M
--9M
Pension and other retirement benefit plans
----
----
----
----
----
----
----
--0
-75.00%2M
-88.24%2M
Current deferred liabilities
200.00%12M
200.00%12M
--3M
--2M
--1M
-20.00%4M
-20.00%4M
----
----
----
Other current liabilities
--2M
--2M
----
--4M
----
----
----
-88.89%1M
----
----
Current liabilities
14.79%745M
14.79%745M
8.13%705M
7.30%691M
2.88%643M
17.57%649M
17.57%649M
-16.73%652M
-18.17%644M
-24.43%625M
Non current liabilities
Long term debt and capital lease obligation
-13.45%1.41B
-13.45%1.41B
-11.38%1.48B
-14.29%1.54B
-11.25%1.59B
84.79%1.63B
84.79%1.63B
148.88%1.67B
144.47%1.79B
131.61%1.8B
-Long term debt
-13.45%1.41B
-13.45%1.41B
-11.38%1.48B
-14.29%1.54B
-11.25%1.59B
84.79%1.63B
84.79%1.63B
148.88%1.67B
144.47%1.79B
131.61%1.8B
Derivative product liabilities
--0
--0
--14M
--0
--0
--12M
--12M
----
----
-25.00%3M
Long term provisions
-27.23%139M
-27.23%139M
-33.33%138M
-33.00%136M
-17.50%165M
9,450.00%191M
9,450.00%191M
--207M
--203M
--200M
Non current deferred liabilities
-11.72%256M
-11.72%256M
-6.87%271M
-8.17%281M
-13.11%285M
9.85%290M
9.85%290M
3.93%291M
5.52%306M
10.07%328M
Other non current liabilities
68.75%27M
68.75%27M
10.00%22M
0.00%21M
-9.52%19M
-15.79%16M
-15.79%16M
-4.76%20M
-8.70%21M
-8.70%21M
Total non current liabilities
-14.32%1.83B
-14.32%1.83B
-12.02%1.93B
-14.99%1.97B
-12.14%2.06B
83.28%2.14B
83.28%2.14B
125.10%2.19B
121.99%2.32B
113.36%2.35B
Total liabilities
-7.54%2.58B
-7.54%2.58B
-7.39%2.63B
-10.15%2.67B
-8.98%2.71B
62.17%2.79B
62.17%2.79B
61.82%2.84B
61.81%2.97B
54.23%2.97B
Shareholders'equity
Share capital
0.49%1.66B
0.49%1.66B
0.97%1.66B
1.03%1.66B
1.22%1.66B
9.65%1.65B
9.65%1.65B
9.73%1.65B
9.74%1.65B
9.50%1.64B
-common stock
0.49%1.66B
0.49%1.66B
0.97%1.66B
1.03%1.66B
1.22%1.66B
9.65%1.65B
9.65%1.65B
9.73%1.65B
9.74%1.65B
9.50%1.64B
Additional paid-in capital
25.45%69M
25.45%69M
10.17%65M
-5.56%51M
-23.33%46M
0.00%55M
0.00%55M
55.26%59M
54.29%54M
81.82%60M
Retained earnings
-17.58%286M
-17.58%286M
10.75%340M
24.83%372M
22.55%375M
18.84%347M
18.84%347M
20.39%307M
52.04%298M
117.02%306M
Gains losses not affecting retained earnings
-407.69%-66M
-407.69%-66M
20.83%-19M
-3,000.00%-31M
-833.33%-28M
-8.33%-13M
-8.33%-13M
68.00%-24M
95.45%-1M
-113.64%-3M
Total stockholders'equity
-4.52%1.95B
-4.52%1.95B
3.02%2.05B
2.91%2.05B
2.50%2.05B
10.83%2.04B
10.83%2.04B
15.72%1.99B
16.86%2B
18.27%2B
Total equity
-4.52%1.95B
-4.52%1.95B
3.02%2.05B
2.91%2.05B
2.50%2.05B
10.83%2.04B
10.83%2.04B
15.72%1.99B
16.86%2B
18.27%2B
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
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(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
Assets
Current assets
Cash, cash equivalents and short term investments 37.01%174M37.01%174M12.88%149M6.29%152M8.45%154M1.60%127M1.60%127M-7.69%132M16.26%143M-11.80%142M
-Cash and cash equivalents 37.01%174M37.01%174M12.88%149M6.29%152M8.45%154M1.60%127M1.60%127M-7.69%132M16.26%143M-11.80%142M
Receivables -15.40%478M-15.40%478M-3.90%517M-10.68%535M-12.01%520M9.50%565M9.50%565M12.55%538M21.26%599M26.01%591M
-Accounts receivable -30.22%194M-30.22%194M-56.68%214M-10.08%214M-2.80%243M24.66%278M24.66%278M143.35%494M23.32%238M30.21%250M
-Taxes receivable 60.00%8M60.00%8M0.00%8M-70.00%3M-60.00%2M-28.57%5M-28.57%5M700.00%8M100.00%10M400.00%5M
-Due from related parties current -74.19%16M-74.19%16M8.33%39M-25.25%74M-47.19%47M-23.46%62M-23.46%62M-28.00%36M102.04%99M102.27%89M
-Other receivables 20.72%268M20.72%268M--261M-1.97%249M-6.05%233M7.77%222M7.77%222M----2.42%254M6.44%248M
-Recievables adjustments allowances -300.00%-8M-300.00%-8M---5M-150.00%-5M-400.00%-5M-100.00%-2M-100.00%-2M-----100.00%-2M0.00%-1M
Hedging assets-current -18.75%13M-18.75%13M-40.00%12M-10.53%17M-5.56%17M-15.79%16M-15.79%16M5.26%20M35.71%19M125.00%18M
Other current assets 20.00%42M20.00%42M-20.75%42M-13.79%50M-8.33%55M0.00%35M0.00%35M12.77%53M11.54%58M15.38%60M
Total current assets -4.85%707M-4.85%707M-3.10%720M-7.94%754M-8.01%746M6.91%743M6.91%743M8.15%743M19.91%819M17.54%811M
Non current assets
Net PPE -11.80%456M-11.80%456M-5.46%485M-4.32%487M5.47%521M15.14%517M15.14%517M17.39%513M17.28%509M17.06%494M
-Gross PPE 0.29%1.05B0.29%1.05B9.79%1.11B9.90%1.08B15.65%1.09B21.81%1.05B21.81%1.05B22.99%1.01B22.81%980M21.32%939M
-Accumulated depreciation -12.01%-597M-12.01%-597M-25.50%-625M-25.27%-590M-26.97%-565M-29.06%-533M-29.06%-533M-29.35%-498M-29.40%-471M-26.42%-445M
Financial assets --15M--15M----50.00%9M-42.86%4M--0--0-46.15%21M-60.00%6M--7M
Non current prepaid assets 16.67%21M16.67%21M--18M---------10.00%18M-10.00%18M------------
Goodwill and other intangible assets -5.81%3.31B-5.81%3.31B-3.24%3.41B-5.12%3.41B-4.85%3.45B48.81%3.51B48.81%3.51B53.46%3.52B50.57%3.6B46.23%3.63B
-Goodwill -1.88%1.93B-1.88%1.93B1.03%1.97B-1.32%1.95B-0.76%1.95B45.41%1.96B45.41%1.96B51.48%1.95B48.68%1.97B44.13%1.97B
-Other intangible assets -10.80%1.38B-10.80%1.38B-8.53%1.44B-9.73%1.47B-9.69%1.5B53.37%1.55B53.37%1.55B56.01%1.57B52.92%1.62B48.79%1.66B
Non current deferred assets -58.62%12M-58.62%12M56.00%39M20.00%30M12.00%28M107.14%29M107.14%29M177.78%25M92.31%25M38.89%25M
Other non current assets -28.57%5M-28.57%5M100.00%8M333.33%26M-42.86%4M0.00%7M0.00%7M-33.33%4M-14.29%6M0.00%7M
Total non current assets -6.52%3.81B-6.52%3.81B-3.11%3.96B-4.30%3.97B-3.65%4.01B42.61%4.08B42.61%4.08B46.63%4.09B44.96%4.14B42.11%4.16B
Total assets -6.26%4.52B-6.26%4.52B-3.11%4.68B-4.90%4.72B-4.36%4.76B35.63%4.82B35.63%4.82B39.02%4.83B40.13%4.96B37.42%4.97B
Liabilities
Current liabilities
Current debt and capital lease obligation -4.92%116M-4.92%116M-1.64%120M-3.28%118M0.00%120M46.99%122M46.99%122M-61.27%122M-61.64%122M-62.73%120M
-Current debt -4.92%116M-4.92%116M-1.64%120M-3.28%118M0.00%120M46.99%122M46.99%122M-61.27%122M-61.64%122M-62.73%120M
Payables 22.61%347M22.61%347M17.03%323M22.57%315M19.03%294M26.91%283M26.91%283M43.75%276M36.70%257M13.30%247M
-accounts payable -2.70%36M-2.70%36M-10.53%34M8.11%40M7.89%41M-5.13%37M-5.13%37M137.50%38M117.65%37M-30.91%38M
-Total tax payable 19.30%68M19.30%68M-16.44%61M-11.59%61M-22.22%63M-14.93%57M-14.93%57M-12.05%73M-6.76%69M6.58%81M
-Due to related parties current 29.78%231M29.78%231M44.00%216M44.53%198M47.93%179M60.36%178M60.36%178M85.19%150M55.68%137M51.25%121M
-Other payable 9.09%12M9.09%12M-20.00%12M14.29%16M57.14%11M83.33%11M83.33%11M25.00%15M55.56%14M0.00%7M
Current accrued expenses 9.66%261M9.66%261M1.61%252M-3.14%247M-8.10%227M-0.42%238M-0.42%238M-3.88%248M-4.49%255M-7.14%247M
Current provisions 250.00%7M250.00%7M40.00%7M-37.50%5M-88.89%1M100.00%2M100.00%2M--5M--8M--9M
Pension and other retirement benefit plans ------------------------------0-75.00%2M-88.24%2M
Current deferred liabilities 200.00%12M200.00%12M--3M--2M--1M-20.00%4M-20.00%4M------------
Other current liabilities --2M--2M------4M-------------88.89%1M--------
Current liabilities 14.79%745M14.79%745M8.13%705M7.30%691M2.88%643M17.57%649M17.57%649M-16.73%652M-18.17%644M-24.43%625M
Non current liabilities
Long term debt and capital lease obligation -13.45%1.41B-13.45%1.41B-11.38%1.48B-14.29%1.54B-11.25%1.59B84.79%1.63B84.79%1.63B148.88%1.67B144.47%1.79B131.61%1.8B
-Long term debt -13.45%1.41B-13.45%1.41B-11.38%1.48B-14.29%1.54B-11.25%1.59B84.79%1.63B84.79%1.63B148.88%1.67B144.47%1.79B131.61%1.8B
Derivative product liabilities --0--0--14M--0--0--12M--12M---------25.00%3M
Long term provisions -27.23%139M-27.23%139M-33.33%138M-33.00%136M-17.50%165M9,450.00%191M9,450.00%191M--207M--203M--200M
Non current deferred liabilities -11.72%256M-11.72%256M-6.87%271M-8.17%281M-13.11%285M9.85%290M9.85%290M3.93%291M5.52%306M10.07%328M
Other non current liabilities 68.75%27M68.75%27M10.00%22M0.00%21M-9.52%19M-15.79%16M-15.79%16M-4.76%20M-8.70%21M-8.70%21M
Total non current liabilities -14.32%1.83B-14.32%1.83B-12.02%1.93B-14.99%1.97B-12.14%2.06B83.28%2.14B83.28%2.14B125.10%2.19B121.99%2.32B113.36%2.35B
Total liabilities -7.54%2.58B-7.54%2.58B-7.39%2.63B-10.15%2.67B-8.98%2.71B62.17%2.79B62.17%2.79B61.82%2.84B61.81%2.97B54.23%2.97B
Shareholders'equity
Share capital 0.49%1.66B0.49%1.66B0.97%1.66B1.03%1.66B1.22%1.66B9.65%1.65B9.65%1.65B9.73%1.65B9.74%1.65B9.50%1.64B
-common stock 0.49%1.66B0.49%1.66B0.97%1.66B1.03%1.66B1.22%1.66B9.65%1.65B9.65%1.65B9.73%1.65B9.74%1.65B9.50%1.64B
Additional paid-in capital 25.45%69M25.45%69M10.17%65M-5.56%51M-23.33%46M0.00%55M0.00%55M55.26%59M54.29%54M81.82%60M
Retained earnings -17.58%286M-17.58%286M10.75%340M24.83%372M22.55%375M18.84%347M18.84%347M20.39%307M52.04%298M117.02%306M
Gains losses not affecting retained earnings -407.69%-66M-407.69%-66M20.83%-19M-3,000.00%-31M-833.33%-28M-8.33%-13M-8.33%-13M68.00%-24M95.45%-1M-113.64%-3M
Total stockholders'equity -4.52%1.95B-4.52%1.95B3.02%2.05B2.91%2.05B2.50%2.05B10.83%2.04B10.83%2.04B15.72%1.99B16.86%2B18.27%2B
Total equity -4.52%1.95B-4.52%1.95B3.02%2.05B2.91%2.05B2.50%2.05B10.83%2.04B10.83%2.04B15.72%1.99B16.86%2B18.27%2B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------

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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