BCE Financial Ratios for Analysis 2009-2024 | BCE

Fifteen years of historical annual and quarterly financial ratios and margins for BCE (BCE).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012201120102009
0.650.570.680.690.560.560.430.480.480.500.640.580.620.600.69
0.600.550.540.530.510.490.480.480.470.520.500.490.460.370.36
1.761.421.291.231.231.181.201.201.171.321.161.091.000.650.60
42.2242.1942.1941.9842.1740.6340.4040.4639.7540.7741.0839.4639.1372.6174.49
21.9122.2621.5622.2323.3422.9522.6223.6921.7822.0321.0922.5022.4021.5620.96
21.9122.2621.5622.2323.3422.9522.6223.6921.7822.0321.0922.5022.4021.5620.96
41.8541.8041.2141.4841.7040.0539.5639.8437.6738.4337.6639.4639.1339.7839.97
13.4716.1016.7914.2718.3016.9117.6519.3216.9817.3315.7619.4116.8917.3013.81
8.4111.2411.5510.9212.6911.8712.2613.3211.7412.9211.7115.2813.2012.609.80
0.340.350.350.380.400.410.420.430.450.450.450.490.490.460.47
30.6621.3028.1230.2432.4532.2535.6332.0931.1637.4331.3830.8527.7911.3310.10
6.125.845.946.497.897.817.257.297.156.866.786.866.2510.1211.05
59.6362.4861.4756.2746.2746.7550.3750.0651.0553.2453.8053.1758.3936.0633.03
13.7815.6915.2714.2718.6917.8219.1922.2920.4919.8916.7421.7921.6214.5013.58
-33.27-63.97-90.35-104.04-124.59-93.67-69.88-99.52-122.75-66.31-127.90-451.33-573.4036.5935.07
3.234.224.334.085.415.215.476.165.694.834.746.036.385.695.44
4.505.825.795.477.427.357.888.978.347.076.608.639.167.777.31
16.6918.9920.1417.6017.8517.7716.6815.4915.69------
6.457.067.056.406.666.346.355.775.807.128.127.186.386.045.56
2.732.732.792.933.322.932.872.502.452.883.642.632.122.262.31

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.620.650.610.650.570.550.570.570.600.650.650.680.940.830.830.690.880.920.880.560.600.570.550.560.570.500.590.430.510.400.420.480.570.470.470.480.400.410.530.500.650.570.630.640.650.740.660.580.710.760.640.620.760.690.840.600.670.730.700.690.830.860.83
0.640.620.610.600.580.570.550.550.540.530.530.540.540.530.530.530.540.540.520.510.510.520.520.490.480.470.490.480.480.480.480.480.500.490.480.470.470.490.520.520.540.510.500.500.500.480.480.490.490.490.460.460.470.460.460.370.350.360.360.360.370.390.38
2.231.971.851.761.631.601.521.421.371.281.261.291.241.221.291.231.321.311.271.231.281.351.341.181.161.161.231.201.251.231.251.201.281.211.211.171.271.251.391.321.371.201.201.161.191.121.131.091.071.051.011.001.041.011.060.650.600.600.610.600.610.700.73
45.5944.9142.6739.6243.8743.6041.9237.6042.9644.1944.1739.1143.8343.4542.5739.3742.4143.5442.9939.7243.3543.7642.0138.4941.8142.0040.3237.2941.6741.7841.1237.1241.3542.4741.0435.3940.9641.2640.2345.7242.7341.2539.4945.0340.6642.0339.6536.9740.7541.0238.7235.1040.9339.7539.8368.5371.1973.9972.6285.0170.7270.0460.19
23.6823.6817.8721.3223.4421.6521.2818.8622.9923.0524.2718.8223.3223.1021.1520.4622.8122.5323.3121.9624.7324.3722.3621.2323.8924.1622.5819.8624.1323.9522.7221.4224.8625.1323.4012.1123.8926.9126.1112.1019.1722.8622.268.5723.5123.1823.3019.5522.9725.1523.5021.8820.3624.1325.633.6242.3122.7923.303.0827.2928.7236.86
23.6823.6817.8721.3223.4421.6521.2818.8622.9923.0524.2718.8223.3223.1021.1520.4622.8122.5323.3121.9624.7324.3722.3621.2323.8924.1622.5819.8624.1323.9522.7221.4224.8625.1323.4012.1123.8926.9126.1112.1019.1722.8622.268.5723.5123.1823.3019.5522.9725.1523.5021.8820.3624.1325.633.6242.3122.7923.303.0827.2928.7236.86
---------------------------------------------------------------
-19.8613.9110.369.9415.6311.0517.4811.9815.7515.1221.6914.6019.1717.0216.4714.7017.217.2117.2215.3020.7718.4318.9014.2118.5618.1016.8914.5318.5619.4418.3516.5920.0521.4419.3011.9319.8921.6314.0516.1019.0718.1418.4515.9812.1617.6418.4519.6118.9121.1417.7415.4117.2117.5616.9713.9914.7219.3720.4415.2612.5613.2911.87
-20.728.946.695.8910.535.4211.988.0111.8710.1714.9910.0512.9712.0211.2514.3811.964.4311.9710.6414.4912.8312.919.7213.8512.1711.829.7013.5613.3712.6111.4713.9114.5713.428.8513.8314.2510.159.8011.5511.6112.069.206.7311.4211.5113.7211.4215.7012.419.9113.0811.9111.919.3711.6913.9014.378.7912.528.048.68
0.080.080.080.090.090.090.090.090.090.090.090.090.090.090.090.100.090.090.090.110.100.100.100.110.100.100.100.110.100.110.100.110.110.110.110.110.110.110.110.110.110.110.110.110.110.110.120.130.120.120.130.130.120.130.120.120.120.120.120.110.120.120.14
8.518.077.528.345.375.215.225.905.485.795.767.807.847.717.148.587.846.796.658.957.026.857.048.686.977.707.5310.037.587.597.418.827.557.407.508.337.027.737.629.447.268.018.107.937.166.977.588.397.287.878.267.496.107.176.213.282.622.772.632.962.443.384.09
1.481.541.531.591.581.611.581.501.581.641.651.561.671.761.761.761.971.901.902.092.091.991.952.031.991.971.901.941.982.001.911.902.002.001.871.781.931.931.941.591.761.821.791.661.801.781.771.781.771.801.761.651.631.511.722.723.153.232.952.663.223.243.21
60.6558.5958.8356.4756.8155.9556.9160.0557.0655.0454.6057.5553.9451.2451.2151.0945.8047.2747.3843.1243.1045.2046.1044.4145.1545.6147.3046.4245.4044.9347.1147.4345.1145.0248.1150.5546.6246.6246.4156.4351.0649.5350.2854.1050.0250.7050.8250.6150.8350.0551.0254.6855.3259.4252.3533.1328.5327.9030.5533.7927.9227.7928.01
-8.263.672.732.554.032.254.272.864.043.294.693.454.173.913.744.174.301.693.774.175.344.964.783.765.064.524.354.095.225.384.774.986.276.505.913.565.916.134.844.275.114.884.913.582.674.524.846.275.086.845.354.375.474.974.972.953.513.994.232.463.832.713.32
13.04-6.73-6.18-6.16-11.39-6.65-16.08-11.66-19.86-22.48-33.79-20.42-186.47-68.41-46.83-30.39-30.55-12.55-96.96-27.80-32.14-23.72-23.35-19.76-30.20-23.22-19.39-14.89-19.12-17.17-15.94-22.24-22.73-25.27-24.20-21.33-25.73-26.33-16.16-14.24-16.97-22.92-32.15-27.34-19.35111-247.53-129.79-141.56-353.50-271.97-115.90-74.17-95.3332.237.448.709.9910.836.369.938.089.73
-1.640.810.630.601.000.571.130.771.120.961.390.981.231.141.071.191.190.471.121.211.521.361.321.101.501.331.251.171.471.511.351.381.611.721.580.991.551.621.161.041.231.331.371.010.751.301.351.731.391.931.571.291.541.511.481.161.421.621.700.991.550.991.20
-2.351.140.880.831.390.801.581.061.551.291.841.311.611.521.451.601.600.631.501.662.111.931.861.552.131.931.791.682.142.221.962.002.412.552.321.452.392.381.711.521.761.891.931.411.051.861.952.481.982.702.231.852.282.172.161.581.932.162.281.332.051.381.73
---16.69---18.99---20.14--19.5317.6017.5016.8619.3217.8517.8317.0017.1917.7718.0217.8917.8816.6817.4115.7616.1215.4914.7714.9614.12----------------------------
4.112.620.926.454.552.951.017.065.303.701.497.055.494.041.746.405.083.201.206.664.933.001.276.344.773.071.316.355.052.861.135.774.522.841.085.754.292.781.006.755.563.341.158.135.733.661.337.146.083.971.546.335.302.820.996.065.303.191.385.654.592.680.95
1.751.030.112.731.650.990.132.732.361.830.662.792.532.040.862.932.831.860.553.322.551.490.562.932.221.350.502.872.451.300.402.502.071.230.372.431.890.710.212.732.451.380.303.652.721.710.412.622.711.700.492.102.340.910.132.262.831.660.722.352.131.130.34