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additional statement of cash flow information - Financing activities (Details) - CAD ($)
$ in Millions
3 Months Ended 6 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Jun. 30, 2025
Jun. 30, 2024
Dividends payable to holders of Common Shares        
Changes in liabilities arising from financing activities        
Beginning $ 610 $ 554 $ 605 $ 550
Redemptions, repayments or payments (610) (554) (1,215) (1,104)
Other 634 577 1,244 1,131
Ending 634 577 634 577
Dividends reinvested in shares from Treasury        
Changes in liabilities arising from financing activities        
Redemptions, repayments or payments 205 123 408 314
Other (205) (123) (408) (314)
Dividends payable to holders of Common Shares net of dividends reinvested in shares from treasury        
Changes in liabilities arising from financing activities        
Beginning 610 554 605 550
Redemptions, repayments or payments (405) (431) (807) (790)
Other 429 454 836 817
Ending 634 577 634 577
Short-term borrowings        
Changes in liabilities arising from financing activities        
Beginning 1,325 104 922 104
Issued or received   1,040 392 1,040
Redemptions, repayments or payments (330) (100) (330) (100)
Foreign exchange movement (73)   (62)  
Ending 922 1,044 922 1,044
Net-settled derivatives used to manage currency risk arising from U.S. dollar-denominated short-term borrowings - liability (asset)        
Changes in liabilities arising from financing activities        
Beginning (6)   2  
Issued or received     7  
Redemptions, repayments or payments (60)   (60)  
Foreign exchange movement 67   52  
Ending 1   1  
Short-term borrowings including Net-settled derivatives used to manage currency risk arising from U.S. dollar-denominated short-term borrowings - liability (asset)        
Changes in liabilities arising from financing activities        
Beginning 1,319 104 924 104
Issued or received   1,040 399 1,040
Redemptions, repayments or payments (390) (100) (390) (100)
Foreign exchange movement (6)   (10)  
Ending 923 1,044 923 1,044
Long-term debt including derivatives used to manage currency risks arising from U.S. dollar-denominated long-term debt        
Changes in liabilities arising from financing activities        
Beginning 28,659 29,373 28,786 27,362
Issued or received 8,178 1,829 10,611 4,999
Redemptions, repayments or payments (4,757) (3,708) (7,517) (5,161)
Foreign exchange movement (55) 16 (21) 53
Other 388 634 554 891
Ending 32,413 28,144 32,413 28,144
Long-term debt        
Changes in liabilities arising from financing activities        
Beginning 28,659 29,373 28,786 27,362
Issued or received 6,469 1,222 8,132 3,789
Redemptions, repayments or payments (3,048) (3,101) (5,038) (3,951)
Foreign exchange movement (55) 16 (21) 53
Other 388 634 554 891
Ending 32,413 28,144 32,413 28,144
TELUS Corporation senior notes | Long-term debt including derivatives used to manage currency risks arising from U.S. dollar-denominated long-term debt        
Changes in liabilities arising from financing activities        
Beginning 21,277 22,194 22,077 20,301
Issued or received       1,800
Redemptions, repayments or payments   (1,100) (800) (1,100)
Foreign exchange movement (238) 45 (242) 150
Other 6 6 10 (6)
Ending 21,045 21,145 21,045 21,145
TELUS Corporation commercial paper | Long-term debt including derivatives used to manage currency risks arising from U.S. dollar-denominated long-term debt        
Changes in liabilities arising from financing activities        
Beginning 2,116 1,172 1,404 1,021
Issued or received 662 1,165 2,124 1,876
Redemptions, repayments or payments (1,690) (588) (2,440) (1,172)
Foreign exchange movement (97) 11 (97) 35
Ending 991 1,760 991 1,760
TELUS Corporation credit facilities | Long-term debt including derivatives used to manage currency risks arising from U.S. dollar-denominated long-term debt        
Changes in liabilities arising from financing activities        
Beginning   1,144   1,144
Issued or received 770   770  
Redemptions, repayments or payments (764) (1,144) (764) (1,144)
Foreign exchange movement (6)   (6)  
TELUS Communications Inc. debentures | Long-term debt including derivatives used to manage currency risks arising from U.S. dollar-denominated long-term debt        
Changes in liabilities arising from financing activities        
Beginning 200 200 200 200
Ending 200 200 200 200
TELUS Corporation junior subordinated notes | Long-term debt including derivatives used to manage currency risks arising from U.S. dollar-denominated long-term debt        
Changes in liabilities arising from financing activities        
Issued or received 4,451   4,451  
Foreign exchange movement (5)   (5)  
Other (32)   (32)  
Ending 4,414   4,414  
TELUS International (Cda) Inc. credit facility | Long-term debt including derivatives used to manage currency risks arising from U.S. dollar-denominated long-term debt        
Changes in liabilities arising from financing activities        
Beginning 1,649 1,791 1,703 1,781
Issued or received 306 57 507 113
Redemptions, repayments or payments (256) (121) (509) (211)
Foreign exchange movement (91) 18 (93) 63
Other 2   2 (1)
Ending 1,610 1,745 1,610 1,745
Other | Long-term debt including derivatives used to manage currency risks arising from U.S. dollar-denominated long-term debt        
Changes in liabilities arising from financing activities        
Beginning 580 282 588 288
Redemptions, repayments or payments (129) (1) (137) (7)
Other 117 332 117 332
Ending 568 613 568 613
Other (unsecured) | Long-term debt including derivatives used to manage currency risks arising from U.S. dollar-denominated long-term debt        
Changes in liabilities arising from financing activities        
Issued or received 280   280  
Foreign exchange movement (7)   (7)  
Ending 273   273  
Lease liabilities | Long-term debt including derivatives used to manage currency risks arising from U.S. dollar-denominated long-term debt        
Changes in liabilities arising from financing activities        
Beginning 2,902 2,583 2,882 2,614
Redemptions, repayments or payments (176) (154) (369) (332)
Foreign exchange movement 7 2 19 8
Other 360 257 561 398
Ending 3,093 2,688 3,093 2,688
Derivatives used to manage currency risks arising from U.S. dollar-denominated long-term debt - liability (asset) | Long-term debt including derivatives used to manage currency risks arising from U.S. dollar-denominated long-term debt        
Changes in liabilities arising from financing activities        
Beginning (65) 7 (68) 13
Issued or received 1,709 607 2,479 1,210
Redemptions, repayments or payments (1,742) (600) (2,498) (1,195)
Foreign exchange movement 382 (60) 410 (203)
Other (65) 39 (104) 168
Ending 219 (7) 219 (7)
To eliminate effect of gross settlement of derivatives used to manage currency risks arising from U.S. dollar-denominated long-term debt        
Changes in liabilities arising from financing activities        
Issued or received (1,709) (607) (2,479) (1,210)
Redemptions, repayments or payments $ 1,709 $ 607 $ 2,479 $ 1,210