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Consolidated statements of changes in equity - CAD ($)
$ in Millions
Total
TOTAL
SHARES ISSUED
PREFERRED SHARES
SHARES ISSUED
COMMON SHARES
CONTRI-BUTED SURPLUS
ACCUM-ULATED OTHER COMPRE-HENSIVE (LOSS) INCOME
DEFICIT
NON-CONTR-OLLING INTEREST
Beginning balance at Dec. 31, 2021 $ 22,941 $ 22,635 $ 4,003 $ 20,662 $ 1,157 $ 213 $ (3,400) $ 306
Net earnings 2,926 2,868         2,868 58
Other comprehensive income (loss) 182 175       (238) 413 7
Total comprehensive (loss) income 3,108 3,043       (238) 3,281 65
Common shares issued under employee stock option plan 171 171   177 (6)      
Other share-based compensation (27) (27)   1 13   (41)  
Repurchase of preferred shares (125) (125) (133)   8      
Dividends declared on BCE common and preferred shares (3,508) (3,508)         (3,508)  
Dividends declared by subsidiaries to non-controlling interest (39)             (39)
Settlement of cash flow hedges transferred to the cost basis of hedged items (11) (11)       (11)    
Other 5         (19) 19 5
Ending balance at Dec. 31, 2022 22,515 22,178 3,870 20,840 1,172 (55) (3,649) 337
Net earnings 2,327 2,263         2,263 64
Other comprehensive income (loss) (348) (345)       59 (404) (3)
Total comprehensive (loss) income 1,979 1,918       59 1,859 61
Common shares issued under employee stock option plan 18 18   19 (1)      
Other share-based compensation 1 1     24   (23)  
Repurchase of preferred shares (140) (140) (203)   63      
Dividends declared on BCE common and preferred shares (3,717) (3,717)         (3,717)  
Dividends declared by subsidiaries to non-controlling interest (47)             (47)
Settlement of cash flow hedges transferred to the cost basis of hedged items (29) (29)       (29)    
Disposition of production studios (23)             (23)
Other 0         (17) 17  
Ending balance at Dec. 31, 2023 $ 20,557 $ 20,229 $ 3,667 $ 20,859 $ 1,258 $ (42) $ (5,513) $ 328