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TSX:TIXT

TELUS International

  • Stock

CAD

Last Close

5.49

08/11 21:00

Market Cap

2.30B

Beta: 0.72

Volume Today

826.68K

Avg: 120.24K

PE Ratio

48.50

PFCF: 9.49

Preview

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Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
asset turnover
0.92
-
0.87
4.99%
0.42
51.58%
0.61
43.27%
0.69
14.70%
0.56
19.10%
cash conversion cycle
51.48
-
44.01
14.51%
-223.29
607.39%
-195.06
12.64%
-135.04
30.77%
59.53
144.08%
cash per share
0.25
-
0.30
21.19%
0.57
91.15%
0.44
23.89%
0.47
7.88%
0.48
1.74%
company equity multiplier
4.62
-
4.76
2.90%
3.37
29.12%
2.19
35.01%
1.93
11.69%
2.37
22.38%
days of inventory outstanding
0.83
-
6.59
688.91%
2.20
66.63%
2.53
15.35%
14.82
484.62%
12.67
14.51%
days of payables outstanding
19.20
-
40.51
111.00%
310.92
667.49%
276.28
11.14%
226.18
18.14%
29.30
87.05%
days of sales outstanding
69.84
-
77.93
11.58%
85.43
9.63%
78.69
7.89%
76.31
3.02%
76.15
0.21%
dividend yield
ebit per revenue
0.12
-
0.11
12.33%
0.11
6.50%
0.12
9.84%
0.08
31.40%
0.12
36.47%
0.07
41.27%
ebt per ebit
0.86
-
0.79
8.54%
0.83
5.83%
0.77
7.02%
0.77
0.85%
0.88
14.68%
0.32
63.37%
effective tax rate
0.27
-
0.32
19.48%
0.27
13.77%
0.32
15.56%
0.45
42.50%
0.27
40.54%
0.08
68.38%
enterprise value multiple
53.49
-
38.95
27.18%
26.48
32.02%
21.01
20.65%
10.44
50.30%
6.86
34.28%
fixed asset turnover
7.24
-
3.39
53.24%
4.37
28.95%
5.42
24.03%
5.50
1.47%
5.24
4.71%
free cash flow per share
0.17
-
0.17
0.86%
0.33
93.26%
0.76
128.44%
0.69
9.37%
1.25
80.06%
1.49
19.60%
gross profit margin
0.82
-
0.79
3.06%
0.82
3.82%
0.81
1.18%
0.80
0.97%
0.81
0.91%
0.83
2.39%
interest coverage
6.80
-
3.78
44.43%
3.14
16.85%
4.28
36.23%
4.20
1.81%
6.93
64.75%
1.30
81.26%
inventory turnover
437.25
-
55.42
87.32%
166.11
199.71%
144
13.31%
24.63
82.89%
28.81
16.97%
long term debt to capitalization
0.61
-
0.66
9.03%
0.60
8.97%
0.33
44.87%
0.32
2.20%
0.44
37.09%
net income per ebt
0.73
-
0.68
7.05%
0.73
6.40%
0.68
5.86%
0.55
19.66%
0.73
33.26%
0.92
25.03%
net profit margin
0.08
-
0.06
25.47%
0.07
19.92%
0.07
3.86%
0.04
45.36%
0.07
108.57%
0.02
73.11%
operating cash flow per share
0.34
-
0.35
2.86%
0.53
51.44%
0.99
85.08%
1.07
8.22%
1.64
53.80%
1.82
10.63%
operating cycle
70.68
-
84.52
19.58%
87.63
3.68%
81.22
7.31%
91.13
12.20%
88.82
2.53%
operating profit margin
0.12
-
0.11
12.33%
0.11
6.50%
0.12
9.84%
0.08
31.40%
0.12
36.47%
0.07
41.27%
payables turnover
19.01
-
9.01
52.61%
1.17
86.97%
1.32
12.54%
1.61
22.16%
12.46
672.06%
pretax profit margin
0.10
-
0.08
19.82%
0.09
12.70%
0.10
2.13%
0.06
31.98%
0.10
56.51%
0.02
78.49%
price fair value
39.50
-
33.21
15.93%
7.52
77.34%
5.28
29.83%
2.85
46.01%
1.15
59.51%
receivables turnover
5.23
-
4.68
10.38%
4.27
8.78%
4.64
8.57%
4.78
3.11%
4.79
0.21%
return on assets
0.05
-
0.06
13.93%
0.03
53.45%
0.02
21.71%
0.05
139.23%
0.01
78.24%
return on capital employed
0.12
-
0.13
4.39%
0.06
53.03%
0.07
9.37%
0.09
44.06%
0.04
53.63%
return on equity
0.24
-
0.28
17.23%
0.09
67.00%
0.05
49.12%
0.10
111.26%
0.03
73.37%
total debt to capitalization
0.61
-
0.68
11.30%
0.61
9.63%
0.41
33.28%
0.34
16.00%
0.46
34.32%

All numbers in CAD (except ratios and percentages)