BCE INC (BCE) Cash flow

Market cap
$22.2B
P/E ratio
2017/122018/122019/122020/122021/12
Depreciation & amortization3,8504,0144,3984,4044,609
Cash from operations 7,3587,3847,9587,7548,008
Capital expenditures-4,034-3,971-3,988-4,202-4,837
Cash from investing -5,437-4,386-4,036-3,540-7,003
Repurchases of common stock224222142263297
Proceeds from issuance of term debt, net3,0112,9961,9546,0064,985
Repayments of term debt2,6532,7132,2285,0032,751
Cash from financing -2,149-3,198-4,202-4,135-1,022
Free cash flow
FCF margin (%)
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