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additional statement of cash flow information - operating activities and investing activities (Details) - CAD ($)
$ in Millions
3 Months Ended 6 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Jun. 30, 2025
Jun. 30, 2024
Current        
Accounts receivable $ 34 $ (72) $ 225 $ 108
Inventories 81 9 144 (46)
Contract assets 16 12 12 23
Costs incurred to obtain or fulfill contracts with customers (4) (16) (21) (23)
Prepaid maintenance and other (65) (40) (171) (168)
Unrealized change in held for trading derivatives (1) 10 (3) 22
Accounts payable and accrued liabilities (70) 192 (319) (33)
Income and other taxes receivable and payable, net (28) 38 (81) 81
Advance billings and customer deposits (29) 25 (41) 38
Provisions (5) (46) 1 (91)
Total Current (71) 112 (254) (89)
Non-current        
Contract assets 31 9 52 24
Unbilled customer finance receivables 20 115 22 67
Unrealized change in held for trading derivatives   32   89
Costs incurred to obtain or fulfill contracts with customers (14) (18) (28) (34)
Prepaid maintenance 3 2 8 3
Refundable security deposits and other (5) (6) (5) (1)
Provisions (26) (36) (110) (43)
Contract liabilities 25 7 35 19
Other post-employment benefit liabilities 1 6 6 4
Other long-term liabilities 5 (4)   (2)
Total Non-current 40 107 (20) 126
Total (31) 219 (274) 37
Cash payments for capital assets, excluding spectrum licences        
Property, plant and equipment (796) (690) (1,397) (1,326)
Intangible assets subject to amortization (248) (299) (449) (534)
Total (1,044) (989) (1,846) (1,860)
Additions arising from leases 349 261 564 407
Additions arising from non-monetary transactions 17 37 17 37
Capital expenditures (678) (691) (1,265) (1,416)
Other non-cash items included above        
Change in associated non-cash investing working capital 80 25 13 (62)
Total $ (598) $ (666) $ (1,252) $ (1,478)