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COM:TELUSINTERNATIONAL

TELUS International

  • Stock

CAD

Last Close

5.01

22/11 21:00

Market Cap

2.30B

Beta: -

Volume Today

453.65K

Avg: -

Preview

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Sep '19
Dec '19
Mar '20
Jun '20
Sep '20
Dec '20
Mar '21
Jun '21
Sep '21
Dec '21
Mar '22
Jun '22
Sep '22
Dec '22
Mar '23
Jun '23
Sep '23
Dec '23
Mar '24
Jun '24
Sep '24
net income
14.80M
-
27.30M
84.46%
11M
59.71%
43M
290.91%
27.60M
35.81%
21M
23.91%
3M
85.71%
16M
433.33%
23M
43.75%
36M
56.52%
34M
5.56%
56M
64.71%
59M
5.36%
34M
42.37%
14M
58.82%
-7M
150%
9M
228.57%
51.76M
475.07%
28M
45.90%
-3M
110.71%
-32M
966.67%
depreciation and amortization
24.20M
-
24.70M
2.07%
34M
37.65%
50M
47.06%
48.60M
2.80%
49.90M
2.67%
63M
26.25%
65M
3.17%
63M
3.08%
66M
4.76%
65M
1.52%
64M
1.54%
61M
4.69%
68M
11.48%
79M
16.18%
81M
2.53%
80M
1.23%
114.41M
43.01%
79M
30.95%
79M
0%
81M
2.53%
deferred income tax
7M
-
7.70M
10%
12M
55.84%
10M
16.67%
12.30M
23%
13M
5.69%
15M
15.38%
13M
13.33%
15M
15.38%
21M
40%
23M
9.52%
21M
8.70%
26M
23.81%
-3M
111.54%
-2M
33.33%
-10M
400%
-20.17M
101.70%
-6.89M
65.82%
4M
-
-6M
250%
stock based compensation
-4.40M
-
2.40M
154.55%
2M
16.67%
10M
400%
-3.80M
138%
6.30M
265.79%
26M
312.70%
19M
26.92%
21M
10.53%
9M
57.14%
7M
22.22%
7M
0%
6M
14.29%
5M
16.67%
14M
180%
2M
85.71%
5M
150%
-231.63M
4,732.58%
1M
100.43%
10M
900%
14M
40%
change in working capital
9.20M
-
-2.60M
128.26%
24M
1,023.08%
-13M
154.17%
2M
115.38%
-11.60M
680%
-53M
356.90%
35M
166.04%
-11M
131.43%
-40M
263.64%
3M
107.50%
-39M
1,400%
17M
143.59%
-7M
141.18%
-50M
614.29%
21M
142%
-15M
171.43%
8.20M
154.67%
11M
34.13%
43M
290.91%
52M
20.93%
accounts receivables
-14.20M
-
19.50M
237.32%
-1M
105.13%
-31M
3,000%
-32.80M
5.81%
35.30M
207.62%
-43M
221.81%
-30M
30.23%
-25M
16.67%
-26M
4%
-13M
50%
-15M
15.38%
-2M
86.67%
4M
300%
-4M
200%
10M
350%
-15M
250%
16.17M
207.81%
11M
-
inventory
-1.02M
-
6.92M
775.94%
48.69M
603.25%
-6.91M
114.19%
-109.13M
1,479.33%
-1
100.00%
accounts payables
1.02M
-
-6.92M
775.94%
-48.69M
603.25%
6.91M
114.19%
27.99K
99.59%
-18.98M
67,907.38%
other working capital
23.40M
-
-22.10M
194.44%
25M
213.12%
18M
28.00%
34.80M
93.33%
-46.90M
234.77%
-10M
78.68%
65M
750%
14M
78.46%
-14M
200%
13M
192.86%
-24M
284.62%
19M
179.17%
-11M
157.89%
-46M
318.18%
11M
123.91%
109.10M
891.84%
11.01M
89.91%
11M
0.11%
-1M
109.09%
52M
5,300%
other non cash items
5.70M
-
-11.90M
308.77%
-49M
311.76%
-50M
2.04%
-3.80M
92.40%
16.90M
544.74%
-18M
206.51%
-52M
188.89%
-25M
51.92%
-28M
12%
-8M
71.43%
-20M
150%
-45M
125%
-13M
71.11%
25M
292.31%
4M
84%
126.17M
3,054.25%
222.84M
76.62%
7M
96.86%
36M
414.29%
12M
66.67%
net cash provided by operating activities
56.50M
-
47.60M
15.75%
34M
28.57%
50M
47.06%
82.90M
65.80%
95.50M
15.20%
36M
62.30%
96M
166.67%
86M
10.42%
64M
25.58%
124M
93.75%
89M
28.23%
124M
39.33%
84M
32.26%
80M
4.76%
91M
13.75%
185M
103.30%
158.68M
14.23%
126M
20.60%
124M
1.59%
121M
2.42%
investments in property plant and equipment
-18.50M
-
-16.50M
10.81%
-1M
93.94%
-17M
1,600%
-19.70M
15.88%
-21.30M
8.12%
-14M
34.27%
-24M
71.43%
-29M
20.83%
-32M
10.34%
-21M
34.38%
-29M
38.10%
-26M
10.34%
-29M
11.54%
-14M
51.72%
-24M
71.43%
-20M
16.67%
-42.00M
110.01%
-22M
47.62%
-29M
31.82%
-25M
13.79%
acquisitions net
-50.80M
-
-805M
1,484.65%
-50M
93.79%
-956.80M
-
-11M
-
-1M
-
-850M
84,900%
-1M
99.88%
-578.41K
42.16%
-2.37M
310.45%
-3M
26.36%
purchases of investments
sales maturities of investments
other investing activites
-20M
-
7M
135%
-421.59K
-
1M
-
net cash used for investing activites
-18.50M
-
-67.30M
263.78%
-806M
1,097.62%
-67M
91.69%
-19.70M
70.60%
-978.10M
4,864.97%
-14M
98.57%
-24M
71.43%
-40M
66.67%
-32M
20%
-21M
34.38%
-49M
133.33%
-19M
61.22%
-30M
57.89%
-864M
2,780%
-25M
97.11%
-21M
16%
-44.38M
111.31%
-25M
43.66%
-28M
12%
-25M
10.71%
debt repayment
-14.10M
-
-44.20M
213.48%
-589M
1,232.58%
-70M
88.12%
-66.80M
4.57%
-104.40M
56.29%
-547M
423.95%
-72M
86.84%
-69M
4.17%
-77M
11.59%
-56M
27.27%
-73M
30.36%
-78M
6.85%
-475M
508.97%
-137M
71.16%
-111M
18.98%
-187M
68.47%
-123.73M
33.83%
-49M
60.40%
-73M
48.98%
-78M
6.85%
common stock issued
284M
-
75M
73.59%
296.60M
-
525M
77.01%
1M
-
1M
0%
1M
0%
1M
0%
22.49K
97.75%
1M
4,345.83%
1M
0%
1M
0%
-1.39B
139,597.93%
1.36M
100.10%
1M
-
common stock repurchased
-1M
-
-1M
0%
-1M
0%
-2M
-
dividends paid
-1M
-
-1M
0%
-1.58B
158,197.93%
other financing activites
600K
-
61.40M
10,133.33%
1.15B
1,764.82%
11.10M
-
709M
6,287.39%
-32M
104.51%
34M
-
30M
11.76%
-1M
-
-22.49K
97.75%
396M
1,760,647.73%
938M
136.87%
47M
94.99%
2.99B
6,265.87%
-1.36M
100.05%
-23M
1,593.61%
-1M
95.65%
-24M
2,300%
net cash used provided by financing activities
-13.50M
-
17.20M
227.41%
840M
4,783.72%
5M
99.40%
-55.70M
1,214%
901.20M
1,717.95%
-54M
105.99%
-72M
33.33%
-34M
52.78%
-46M
35.29%
-55M
19.57%
-73M
32.73%
-78M
6.85%
-78M
0%
800M
1,125.64%
-65M
108.13%
-174M
167.69%
-123.73M
28.89%
-74M
40.19%
-97M
31.08%
-102M
5.15%
effect of forex changes on cash
800K
-
-1.30M
262.50%
-1M
-
-3.50M
250%
-5M
42.86%
-4M
20%
2M
150%
-1M
150%
-1M
0%
-2M
100%
-5M
150%
-7M
40%
6M
185.71%
1M
83.33%
-1M
-
-1.57M
57.35%
-1M
-
3M
400%
net change in cash
25.30M
-
-3.80M
115.02%
68M
1,889.47%
-13M
119.12%
4M
130.77%
13.60M
240%
-36M
364.71%
2M
105.56%
11M
450%
-15M
236.36%
46M
406.67%
-38M
182.61%
20M
152.63%
-18M
190%
17M
194.44%
1M
94.12%
-11M
1,200%
-11.00M
0.02%
27M
345.41%
-2M
107.41%
-3M
50%
cash at beginning of period
58M
-
83.30M
43.62%
80M
3.96%
148M
85%
134.90M
8.85%
138.90M
2.97%
153M
10.15%
117M
23.53%
119M
1.71%
130M
9.24%
115M
11.54%
161M
40%
123M
23.60%
143M
16.26%
125M
12.59%
142M
13.60%
143M
0.70%
178.46M
24.80%
127M
28.84%
154M
21.26%
152M
1.30%
cash at end of period
83.30M
-
79.50M
4.56%
148M
86.16%
135M
8.78%
138.90M
2.89%
152.50M
9.79%
117M
23.28%
119M
1.71%
130M
9.24%
115M
11.54%
161M
40%
123M
23.60%
143M
16.26%
125M
12.59%
142M
13.60%
143M
0.70%
132M
7.69%
167.46M
26.87%
154M
8.04%
152M
1.30%
149M
1.97%
operating cash flow
56.50M
-
47.60M
15.75%
34M
28.57%
50M
47.06%
82.90M
65.80%
95.50M
15.20%
36M
62.30%
96M
166.67%
86M
10.42%
64M
25.58%
124M
93.75%
89M
28.23%
124M
39.33%
84M
32.26%
80M
4.76%
91M
13.75%
185M
103.30%
158.68M
14.23%
126M
20.60%
124M
1.59%
121M
2.42%
capital expenditure
-18.50M
-
-16.50M
10.81%
-1M
93.94%
-17M
1,600%
-19.70M
15.88%
-21.30M
8.12%
-14M
34.27%
-24M
71.43%
-29M
20.83%
-32M
10.34%
-21M
34.38%
-29M
38.10%
-26M
10.34%
-29M
11.54%
-14M
51.72%
-24M
71.43%
-20M
16.67%
-42.00M
110.01%
-22M
47.62%
-29M
31.82%
-25M
13.79%
free cash flow
38M
-
31.10M
18.16%
33M
6.11%
33M
0%
63.20M
91.52%
74.20M
17.41%
22M
70.35%
72M
227.27%
57M
20.83%
32M
43.86%
103M
221.88%
60M
41.75%
98M
63.33%
55M
43.88%
66M
20%
67M
1.52%
165M
146.27%
116.68M
29.28%
104M
10.87%
95M
8.65%
96M
1.05%

All numbers in CAD (except ratios and percentages)