XML 40 R5.htm IDEA: XBRL DOCUMENT v3.26.1
Consolidated statements of financial position - CAD ($)
$ in Millions
Jun. 30, 2026
Dec. 31, 2025
Current assets    
Cash $ 477 $ 314
Cash equivalents 2 6
Trade and other receivables 4,173 4,474
Inventory 449 389
Contract assets 546 575
Contract costs 902 849
Prepaid expenses 491 379
Other current assets 504 414
Assets held for sale 0 7
Total current assets 7,544 7,407
Non-current assets    
Contract assets 241 272
Contract costs 912 959
Property, plant and equipment 32,973 33,541
Intangible assets 17,693 17,234
Deferred tax assets 172 178
Investments in associates and joint ventures 1,509 396
Post-employment benefit assets 4,744 4,310
Other non-current assets 1,934 2,637
Goodwill 13,320 13,231
Total non-current assets 73,498 72,758
Total assets 81,042 80,165
Current liabilities    
Trade payables and other liabilities 4,167 4,392
Contract liabilities 837 872
Interest payable 451 435
Dividends payable 427 425
Current tax liabilities 160 567
Debt due within one year 4,254 6,155
Liabilities held for sale 0 10
Total current liabilities 10,296 12,856
Non-current liabilities    
Contract liabilities 452 374
Long-term debt 37,522 34,904
Deferred tax liabilities 6,320 6,105
Post-employment benefit obligations 1,115 1,151
Other non-current liabilities 1,159 1,465
Total non-current liabilities 46,568 43,999
Total liabilities 56,864 56,855
Equity attributable to BCE shareholders    
Contributed surplus 1,308 1,308
Accumulated other comprehensive (loss) income (55) 573
Deficit (2,098) (3,642)
Total equity attributable to BCE shareholders 23,864 23,020
Non-controlling interest 314 290
Total equity 24,178 23,310
Total liabilities and equity 81,042 80,165
Preferred shares    
Equity attributable to BCE shareholders    
Stated capital 3,216 3,288
Common shares    
Equity attributable to BCE shareholders    
Stated capital $ 21,493 $ 21,493