C$45.96
C$0.00 (0.00%)
End-of-day quote: 05/04/2024
TSX:BCE

BCE Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue
C$24.67B C$24.17B C$23.45B C$22.88B C$23.79B C$23.47B C$22.76B C$21.72B C$21.51B C$21.04B C$20.40B C$19.98B C$19.50B C$18.07B C$17.74B C$17.66B C$17.71B C$17.55B C$17.55B C$17.01B
GM % Gross Margin %
43.91% 43.31% 43.01% 42.84% 42.78% 41.84% 42.22% 41.71% 40.82% 40.57% 40.39% 40.17% 39.43% 39.24% 74.49% 75.15% 77.08% 77.41% 76.94% 41.82%
OM Operating Margin
22.73% 22.86% 22.45% 22.54% 23.53% 23.23% 23.58% 23.94% 23.34% 22.57% 22.23% 21.85% 22.53% 21.24% 20.77% 18.67% 20.59% 19.81% 21.55% 22.77%
EPS Earnings Per Share
C$0.00 C$3.21 C$3.35 C$3.19 C$3.02 C$3.50 C$3.51 C$3.39 C$3.46 C$3.36 C$3.18 C$2.99 C$3.18 C$3.13 C$2.84 C$2.50 C$2.25 C$2.08 C$1.95 C$2.05 C$2.02
Div. Dividends
C$3.87 C$3.68 C$3.50 C$3.33 C$3.17 C$3.02 C$2.87 C$2.73 C$2.73 C$2.47 C$2.33 C$2.22 C$2.05 C$1.78 C$1.58 C$0.73 C$1.46 C$1.32 C$1.32 C$1.20
PR % Payout Ratio %
120.56% 109.85% 109.72% 110.26% 90.57% 86.04% 84.66% 78.90% 81.25% 77.67% 77.93% 69.81% 65.50% 62.68% 63.20% 32.44% 70.19% 67.69% 64.39% 59.41%
Sha. Shares
912.27m 911.98m 909.02m 904.42m 903.91m 898.2m 901m 870.71m 865.61m 840.33m 775.89m 775.38m 775.44m 752.27m 767.18m 799.56m 805.26m 807.64m 848.5m 847.23m
OCF Operating Cash Flow
C$7.95B C$8.37B C$8.01B C$7.75B C$7.96B C$7.38B C$7.36B C$6.64B C$6.27B C$6.24B C$6.48B C$5.56B C$4.87B C$4.37B C$4.89B C$5.91B C$5.71B C$5.38B C$5.69B C$5.78B
FCF Free Cash Flow
C$3.17B C$3.07B C$3.00B C$3.35B C$3.82B C$3.57B C$3.42B C$3.23B C$3.00B C$2.74B C$2.91B C$2.04B C$1.51B C$1.77B C$2.03B C$2.93B C$2.57B C$2.26B C$2.33B C$2.51B
FCFS Free Cash Flow Per Share
C$3.29 C$3.39 C$1.05 C$3.69 C$4.26 C$3.65 C$3.94 C$3.16 C$2.32 C$2.30 C$3.58 C$2.47 C$1.94 C$1.66 C$2.49 C$3.47 C$3.04 C$2.52 C$2.64 C$2.86