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additional statement of cash flow information - operating activities and investing activities (Details) - CAD ($)
$ in Millions
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Current    
Accounts receivable $ (54) $ (184)
Inventories (145) 53
Contract assets (20) (4)
Prepaid expenses (81) (60)
Unrealized change in held for trading derivatives 24 8
Accounts payable and accrued liabilities 307 (268)
Income and other taxes receivable and payable, net 41 (72)
Advance billings and customer deposits 46 74
Provisions (92) 135
Total Current 26 (318)
Non-current    
Contract assets (22) 17
Unbilled customer finance receivables 7 (66)
Unrealized change in held for trading derivatives 211 (12)
Costs incurred to obtain or fulfill contracts with customers (83) (64)
Prepaid maintenance 7 15
Refundable security deposits and other (22) (21)
Provisions (131) (115)
Contract liabilities 27  
Other post-employment benefit liabilities 10 8
Other long-term liabilities (9) 4
Total Non-current (5) (234)
Total 21 (552)
Cash payments for capital assets, excluding spectrum licences    
Property, plant and equipment (2,639) (2,622)
Intangible assets subject to amortization (1,048) (981)
Total (3,687) (3,603)
Additions arising from leases 1,015 781
Additions arising from non-monetary transactions 37  
Capital expenditures (2,635) (2,822)
Effect of asset retirement obligations 2 (59)
Total (2,633) (2,881)
Other non-cash items included above    
Change in associated non-cash investing working capital (115) (360)
Non-cash change in asset retirement obligation (2) 59
Total (117) (301)
Total $ (2,750) $ (3,182)