BC

BCE

BCE
TSXCommunication Services

Income Statement

Total Revenue$17.65B
Gross Profit$7.67B
Operating Income$3.69B
EBITDA$5.53B
EBIT$1.88B
Pre-tax Income$7.67B
Net Income$229.22M

Balance Sheet

Net Cash$13.67B
Cash Equivalent$1.09B
Total Debt$28.53B
Net Debt$14.86B
Book Value$13.77B
Net Cash Per Share14.66
Book Value Per Share15.09

Key Ratios

Return on Equity (ROE)+2.02%
Return on Assets (ROA)+47.00%
Return on Invested Capital (ROI)+60.00%
Net Profit Margin+1.41%
Current Ratio0.60
Quick Ratio0.56
Long-Term Debt / Equity1.65