TELUS Financial Ratios for Analysis 2009-2024 | TU

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

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
0.670.740.610.790.780.790.560.500.550.620.710.630.530.350.38
0.570.560.530.600.620.560.600.590.590.550.480.430.420.390.45
1.591.421.311.621.741.371.671.641.581.260.980.870.930.740.81
62.3261.1560.2259.1458.3954.8255.0455.7555.4955.8556.2355.5854.2365.4465.88
11.8116.1518.2616.1820.4120.1319.7317.1518.9319.8518.9418.7818.3620.2720.39
11.8116.1518.2616.1820.4120.1319.7317.1518.9319.8518.9418.7818.3620.2720.39
32.1535.0237.3635.8138.0736.2136.1633.2334.2935.1334.8435.9735.8938.0138.40
5.4412.6913.5311.1515.3815.4415.3913.0615.3316.0515.6016.3615.4113.9712.54
4.208.839.837.8711.9711.3511.069.6111.1211.8711.4212.1511.7710.6110.43
0.360.340.350.350.380.430.450.460.470.520.530.530.520.500.50
15.5713.2314.9515.4013.8916.9415.7017.7115.3716.5615.2213.7713.3911.9412.14
5.265.325.856.136.988.797.688.608.707.607.596.937.2310.0513.53
69.3768.6462.3759.5552.2641.5147.5342.4541.9648.0548.0752.6750.4836.3226.98
5.019.7310.5710.0016.6615.7017.9015.5718.0117.4616.1116.8815.6813.2512.64
-6.95-16.07-19.50-13.04-23.73-30.37-22.37-19.89-22.75-31.74-57.33-59.05-51.20-215.24-83.60
1.543.183.542.914.684.915.014.465.235.605.996.355.915.554.98
2.134.285.004.016.396.887.216.337.337.888.339.689.058.047.00
8.739.499.357.296.646.665.365.085.06------
2.292.642.592.672.462.622.572.052.302.502.452.461.981.932.01
0.680.651.061.070.620.790.580.300.700.760.910.970.550.630.55

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
0.690.660.750.670.660.630.750.740.660.580.640.610.800.940.840.790.780.910.900.780.800.710.770.790.830.850.900.560.550.540.630.500.570.500.490.550.500.540.990.620.690.510.620.710.590.700.580.630.520.480.470.530.570.540.430.350.360.290.440.380.430.440.52
0.600.590.590.570.570.570.570.560.540.530.530.530.530.540.530.600.590.590.580.620.600.590.580.560.570.570.580.600.590.590.600.590.580.570.580.590.580.580.580.550.530.490.480.480.480.470.420.430.390.400.420.420.410.410.380.390.400.370.440.450.440.450.47
1.711.711.711.591.601.551.521.421.421.311.311.311.291.281.291.621.521.501.471.741.591.571.571.371.401.461.471.671.611.621.691.641.511.561.671.581.591.571.501.261.161.141.010.981.010.950.820.870.820.880.910.930.890.890.810.740.760.780.800.810.780.830.89
62.9562.7662.8059.5162.7763.7263.3958.4061.3462.5762.5557.8060.9060.8461.5156.6158.8060.1261.4556.0759.2659.1359.2751.8053.0856.6657.9851.4854.3756.0358.7852.1355.7857.2958.0138.4955.8768.1956.1959.8559.3056.8456.4256.1456.5057.1657.4852.8855.5155.9957.2346.9055.0756.0759.9461.7563.7666.4265.4464.4364.3661.2853.51
15.6313.9211.8212.9010.3611.8012.1613.1817.1617.4317.0823.6316.3016.0116.7113.5815.5817.3418.6718.0421.2920.6321.8417.4121.6420.1221.4616.5919.3420.5022.897.0419.1022.1420.6731.2218.845.5724.326.4115.2721.4122.8211.1320.9018.7321.3915.6619.7220.3320.9816.6720.0219.2216.8118.6023.8322.1022.3917.6724.1827.1936.65
15.6313.9211.8212.9010.3611.8012.1613.1817.1617.4317.0823.6316.3016.0116.7113.5815.5817.3418.6718.0421.2920.6321.8417.4121.6420.1221.4616.5919.3420.5022.897.0419.1022.1420.6731.2218.845.5724.326.4115.2721.4122.8211.1320.9018.7321.3915.6619.7220.3320.9816.6720.0219.2216.8118.6023.8322.1022.3917.6724.1827.1936.65
---------------------------------------------------------------
6.136.123.727.523.315.255.676.6716.4215.2112.8819.3311.7311.0711.568.8710.8611.8213.4313.4715.8415.3617.0213.1216.1815.7616.8012.3614.9016.1418.562.9815.1017.8416.706.4915.5820.1018.1114.7516.8617.4917.4813.4516.8015.1217.6213.6017.0617.1517.5310.9116.5116.3518.3211.2512.4516.3615.135.1715.5212.8912.85
5.554.652.615.612.734.054.414.7711.0810.709.0514.478.138.158.236.447.757.939.569.6511.7414.4112.279.5712.3411.3412.248.3810.9411.6313.602.3710.7913.3512.218.1111.5710.9913.719.9711.8312.9113.029.8412.3910.1213.1410.2112.6512.3113.239.1512.4312.6212.928.9010.0612.3411.286.3911.6110.2613.56
0.090.090.080.090.090.090.090.090.090.090.090.090.090.090.090.100.100.090.090.100.100.100.100.110.110.110.110.120.110.110.110.120.120.110.120.120.120.100.120.120.120.130.130.130.140.130.140.140.140.130.130.130.130.130.120.130.130.120.130.140.130.140.15
3.803.443.364.283.383.093.093.763.603.753.114.185.004.433.684.444.664.353.843.864.094.393.964.674.994.524.064.454.304.464.024.915.443.793.813.043.433.764.084.504.364.424.074.073.893.803.833.834.363.974.133.623.243.543.253.403.704.663.833.454.224.003.02
1.401.351.351.351.421.451.471.411.441.541.591.541.561.621.621.661.701.811.801.841.881.852.062.272.172.312.292.022.112.172.112.202.142.332.262.152.181.852.211.731.932.072.001.852.031.881.831.821.852.201.871.871.721.651.772.712.472.573.163.702.793.293.39
64.4266.6466.7766.8863.6062.1861.1163.8562.5558.5156.5558.3657.5355.5055.4354.0952.8549.7849.9848.9547.8048.6043.6739.6341.5339.0139.3244.5842.7341.5142.7540.8742.0638.6539.8041.8141.3248.7440.8051.9446.6043.5345.0948.7044.4447.9149.1649.5448.7240.9748.1448.1052.3154.6250.9333.2036.3935.0028.5024.3532.3127.3726.55
1.521.300.811.790.781.121.261.403.092.992.464.122.252.202.152.222.572.542.713.584.054.914.223.474.474.074.303.544.354.595.411.054.285.154.943.254.913.685.543.664.154.654.663.394.883.764.543.784.344.214.593.254.143.953.802.863.163.743.542.213.833.575.47
-1.85-1.60-1.11-2.48-1.11-1.59-1.83-2.31-5.28-5.94-4.77-7.59-5.09-5.06-4.75-2.90-3.99-4.27-5.26-5.10-6.76-8.31-7.91-6.72-7.99-7.03-7.17-4.42-5.81-6.10-7.31-1.34-6.15-7.02-6.15-4.11-5.87-4.57-10.90-6.66-10.04-11.45-17.99-12.05-13.01-11.53-19.05-13.22-19.70-16.49-16.16-10.62-16.77-18.40-17.97-46.48-43.87-38.72-29.17-14.64-24.54-20.05-28.33
0.450.390.240.550.240.350.400.461.021.020.831.380.750.750.730.650.780.780.861.001.201.451.261.091.381.241.320.991.251.331.540.301.281.531.410.951.411.081.681.181.441.641.741.261.721.351.781.421.731.631.761.231.631.591.541.201.311.531.430.871.501.392.10
0.610.530.340.760.330.480.530.621.421.421.161.941.051.021.020.891.061.041.141.371.632.031.761.521.941.731.811.421.781.872.160.431.782.202.081.322.071.532.301.651.952.352.431.752.541.982.652.172.642.522.671.882.442.352.371.741.902.341.981.232.171.962.89
8.328.408.668.738.979.049.159.499.629.469.419.359.309.409.057.297.306.997.656.646.836.596.496.666.406.346.375.365.715.275.215.085.385.304.71----------------------------
1.851.150.482.291.630.960.392.642.011.350.652.592.041.310.572.672.061.490.702.461.951.210.662.621.991.330.562.571.991.150.452.051.610.950.352.321.701.370.482.521.861.080.432.521.911.070.552.471.931.170.591.971.410.730.311.921.390.710.312.011.630.990.39
0.800.430.080.680.350.07-0.110.650.460.210.071.060.740.400.111.070.870.660.240.620.620.320.000.790.570.380.080.580.430.18-0.050.300.330.13-0.050.702.910.310.070.760.580.240.040.940.780.320.170.970.810.440.250.550.360.05-0.010.630.520.180.080.550.490.290.09