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Rogers Communications (RCI)

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  • 36.060
  • -1.290-3.45%
Close Apr 24 16:00 ET
  • 36.500
  • +0.440+1.22%
Post 19:49 ET
19.48BMarket Cap3.78P/E (TTM)

Rogers Communications (RCI) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2026
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
15.35%1.5B
6.67%6.06B
45.55%1.65B
-19.97%1.52B
8.42%1.6B
9.83%1.3B
8.79%5.68B
-17.69%1.14B
7.92%1.89B
-9.97%1.47B
Net income from continuing operations
72.14%482M
298.27%6.91B
20.07%670M
1,004.18%5.81B
-62.44%148M
9.38%280M
104.24%1.73B
70.12%558M
631.31%526M
261.47%394M
Operating gains losses
-670.59%-97M
-341.76%-220M
-221.74%-28M
-1,894.12%-305M
269.23%96M
-32.00%17M
-80.00%91M
360.00%23M
-96.30%17M
766.67%26M
Depreciation and amortization
7.51%1.27B
4.47%4.89B
4.89%1.24B
6.41%1.25B
4.83%1.22B
1.72%1.19B
11.64%4.68B
0.08%1.19B
-0.34%1.17B
-2.11%1.16B
Deferred tax
73.00%173M
25.87%720M
48.73%235M
5.47%212M
29.10%173M
26.58%100M
10.64%572M
-18.56%158M
81.08%201M
396.30%134M
Other non cash items
-1.03%574M
-0.43%2.1B
5.80%529M
-8.90%481M
0.39%513M
1.22%580M
2.77%2.11B
-6.02%500M
-5.71%528M
-23.16%511M
Change In working capital
-91.57%-159M
32.42%-592M
47.83%-348M
-166.50%-133M
76.67%-28M
71.28%-83M
-39.71%-876M
-80.76%-667M
8.11%200M
-145.98%-120M
-Change in receivables
43.13%448M
9.62%-639M
3.67%-761M
-20.45%-53M
-962.50%-138M
181.98%313M
8.54%-707M
-24.61%-790M
80.00%-44M
-76.12%16M
-Change in inventory
12.66%89M
155.14%102M
59.17%-69M
92.68%79M
285.71%13M
258.00%79M
-4,525.00%-185M
-2,916.67%-169M
-50.60%41M
-129.17%-7M
-Change in payables and accrued expense
-17.85%-416M
89.95%-21M
359.76%377M
-185.60%-208M
231.45%163M
13.90%-353M
-2,000.00%-209M
6.49%82M
-36.72%243M
-214.81%-124M
-Change in other current assets
9.39%-164M
-143.84%-64M
35.29%46M
-258.82%-27M
-22.22%98M
-483.87%-181M
14,500.00%146M
-2.86%34M
189.47%17M
53.66%126M
-Change in other working capital
-296.61%-116M
-62.03%30M
-66.48%59M
233.33%76M
-25.19%-164M
-35.16%59M
-42.75%79M
19.73%176M
-32.56%-57M
-555.00%-131M
Cash from discontinued investing activities
Operating cash flow
15.35%1.5B
6.67%6.06B
45.55%1.65B
-19.97%1.52B
8.42%1.6B
9.83%1.3B
8.79%5.68B
-17.69%1.14B
7.92%1.89B
-9.97%1.47B
Investing cash flow
Cash flow from continuing investing activities
-11.83%-1.11B
-84.33%-8.21B
11.61%-769M
-412.30%-5.54B
36.30%-916M
7.22%-989M
77.95%-4.46B
-288.39%-870M
-13.79%-1.08B
92.05%-1.44B
Capital expenditure reported
17.38%-808M
5.78%-3.86B
-2.25%-1.09B
1.33%-964M
16.82%-831M
7.56%-978M
-1.43%-4.1B
-1.14%-1.07B
3.93%-977M
7.41%-999M
Net PPE purchase and sale
----
164.41%156M
----
----
----
----
-45.37%59M
----
----
----
Net intangibles purchase and sale
-308.33%-98M
-45.83%-105M
-125.00%-36M
36.36%-21M
-140.00%-24M
-84.62%-24M
2.70%-72M
5.88%-16M
-65.00%-33M
16.67%-10M
Net business purchase and sale
---85M
-808.42%-4.32B
--184M
---4.5B
--0
--0
97.07%-475M
--0
--0
97.76%-380M
Net other investing changes
-984.62%-115M
-163.91%-85M
-88.89%17M
23.94%-54M
-24.49%-61M
-87.00%13M
478.26%133M
425.53%153M
-181.61%-71M
-508.33%-49M
Cash from discontinued investing activities
Investing cash flow
-11.83%-1.11B
-84.33%-8.21B
11.61%-769M
-412.30%-5.54B
36.30%-916M
7.22%-989M
77.95%-4.46B
-288.39%-870M
-13.79%-1.08B
92.05%-1.44B
Financing cash flow
Cash flow from continuing financing activities
-123.53%-347M
330.61%2.6B
-521.89%-1.05B
-209.76%-1.43B
1,138.33%3.6B
1,083.33%1.48B
-145.46%-1.13B
94.14%-169M
-133.80%-461M
-110.16%-347M
Net issuance payments of debt
-96.23%61M
-580.81%-3.02B
-664.58%-734M
-339.44%-1.1B
-1,452.78%-2.8B
1,823.81%1.62B
-113.71%-443M
96.75%-96M
-116.34%-251M
-104.77%-180M
Cash dividends paid
-45.95%-270M
-23.55%-913M
-49.17%-270M
-45.16%-270M
-3.30%-188M
2.63%-185M
23.02%-739M
5.24%-181M
29.55%-186M
27.78%-182M
Net other financing activities
-413.64%-138M
11,769.09%6.53B
-143.52%-47M
-129.17%-55M
43,806.67%6.59B
200.00%44M
-73.56%55M
-58.46%108M
-126.09%-24M
114.02%15M
Cash from discontinued financing activities
Financing cash flow
-123.53%-347M
330.61%2.6B
-521.89%-1.05B
-209.76%-1.43B
1,138.33%3.6B
1,083.33%1.48B
-145.46%-1.13B
94.14%-169M
-133.80%-461M
-110.16%-347M
Net cash flow
Beginning cash position
49.67%1.34B
12.25%898M
88.53%1.51B
1,443.90%6.96B
250.79%2.68B
12.25%898M
-93.98%800M
-68.26%802M
25.63%451M
-94.29%764M
Current changes in cash
-97.64%42M
355.10%446M
-275.00%-168M
-1,652.99%-5.45B
1,468.37%4.28B
5,050.00%1.78B
100.78%98M
105.56%96M
-83.81%351M
97.60%-313M
End cash Position
-48.28%1.39B
49.67%1.34B
49.67%1.34B
88.53%1.51B
1,443.90%6.96B
250.79%2.68B
12.25%898M
12.25%898M
-68.26%802M
25.63%451M
Free cash flow
100.34%589M
38.66%2.09B
892.45%526M
-39.98%530M
60.04%741M
169.72%294M
36.47%1.51B
-82.79%53M
23.15%883M
-14.89%463M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Mar 31, 2026(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 15.35%1.5B6.67%6.06B45.55%1.65B-19.97%1.52B8.42%1.6B9.83%1.3B8.79%5.68B-17.69%1.14B7.92%1.89B-9.97%1.47B
Net income from continuing operations 72.14%482M298.27%6.91B20.07%670M1,004.18%5.81B-62.44%148M9.38%280M104.24%1.73B70.12%558M631.31%526M261.47%394M
Operating gains losses -670.59%-97M-341.76%-220M-221.74%-28M-1,894.12%-305M269.23%96M-32.00%17M-80.00%91M360.00%23M-96.30%17M766.67%26M
Depreciation and amortization 7.51%1.27B4.47%4.89B4.89%1.24B6.41%1.25B4.83%1.22B1.72%1.19B11.64%4.68B0.08%1.19B-0.34%1.17B-2.11%1.16B
Deferred tax 73.00%173M25.87%720M48.73%235M5.47%212M29.10%173M26.58%100M10.64%572M-18.56%158M81.08%201M396.30%134M
Other non cash items -1.03%574M-0.43%2.1B5.80%529M-8.90%481M0.39%513M1.22%580M2.77%2.11B-6.02%500M-5.71%528M-23.16%511M
Change In working capital -91.57%-159M32.42%-592M47.83%-348M-166.50%-133M76.67%-28M71.28%-83M-39.71%-876M-80.76%-667M8.11%200M-145.98%-120M
-Change in receivables 43.13%448M9.62%-639M3.67%-761M-20.45%-53M-962.50%-138M181.98%313M8.54%-707M-24.61%-790M80.00%-44M-76.12%16M
-Change in inventory 12.66%89M155.14%102M59.17%-69M92.68%79M285.71%13M258.00%79M-4,525.00%-185M-2,916.67%-169M-50.60%41M-129.17%-7M
-Change in payables and accrued expense -17.85%-416M89.95%-21M359.76%377M-185.60%-208M231.45%163M13.90%-353M-2,000.00%-209M6.49%82M-36.72%243M-214.81%-124M
-Change in other current assets 9.39%-164M-143.84%-64M35.29%46M-258.82%-27M-22.22%98M-483.87%-181M14,500.00%146M-2.86%34M189.47%17M53.66%126M
-Change in other working capital -296.61%-116M-62.03%30M-66.48%59M233.33%76M-25.19%-164M-35.16%59M-42.75%79M19.73%176M-32.56%-57M-555.00%-131M
Cash from discontinued investing activities
Operating cash flow 15.35%1.5B6.67%6.06B45.55%1.65B-19.97%1.52B8.42%1.6B9.83%1.3B8.79%5.68B-17.69%1.14B7.92%1.89B-9.97%1.47B
Investing cash flow
Cash flow from continuing investing activities -11.83%-1.11B-84.33%-8.21B11.61%-769M-412.30%-5.54B36.30%-916M7.22%-989M77.95%-4.46B-288.39%-870M-13.79%-1.08B92.05%-1.44B
Capital expenditure reported 17.38%-808M5.78%-3.86B-2.25%-1.09B1.33%-964M16.82%-831M7.56%-978M-1.43%-4.1B-1.14%-1.07B3.93%-977M7.41%-999M
Net PPE purchase and sale ----164.41%156M-----------------45.37%59M------------
Net intangibles purchase and sale -308.33%-98M-45.83%-105M-125.00%-36M36.36%-21M-140.00%-24M-84.62%-24M2.70%-72M5.88%-16M-65.00%-33M16.67%-10M
Net business purchase and sale ---85M-808.42%-4.32B--184M---4.5B--0--097.07%-475M--0--097.76%-380M
Net other investing changes -984.62%-115M-163.91%-85M-88.89%17M23.94%-54M-24.49%-61M-87.00%13M478.26%133M425.53%153M-181.61%-71M-508.33%-49M
Cash from discontinued investing activities
Investing cash flow -11.83%-1.11B-84.33%-8.21B11.61%-769M-412.30%-5.54B36.30%-916M7.22%-989M77.95%-4.46B-288.39%-870M-13.79%-1.08B92.05%-1.44B
Financing cash flow
Cash flow from continuing financing activities -123.53%-347M330.61%2.6B-521.89%-1.05B-209.76%-1.43B1,138.33%3.6B1,083.33%1.48B-145.46%-1.13B94.14%-169M-133.80%-461M-110.16%-347M
Net issuance payments of debt -96.23%61M-580.81%-3.02B-664.58%-734M-339.44%-1.1B-1,452.78%-2.8B1,823.81%1.62B-113.71%-443M96.75%-96M-116.34%-251M-104.77%-180M
Cash dividends paid -45.95%-270M-23.55%-913M-49.17%-270M-45.16%-270M-3.30%-188M2.63%-185M23.02%-739M5.24%-181M29.55%-186M27.78%-182M
Net other financing activities -413.64%-138M11,769.09%6.53B-143.52%-47M-129.17%-55M43,806.67%6.59B200.00%44M-73.56%55M-58.46%108M-126.09%-24M114.02%15M
Cash from discontinued financing activities
Financing cash flow -123.53%-347M330.61%2.6B-521.89%-1.05B-209.76%-1.43B1,138.33%3.6B1,083.33%1.48B-145.46%-1.13B94.14%-169M-133.80%-461M-110.16%-347M
Net cash flow
Beginning cash position 49.67%1.34B12.25%898M88.53%1.51B1,443.90%6.96B250.79%2.68B12.25%898M-93.98%800M-68.26%802M25.63%451M-94.29%764M
Current changes in cash -97.64%42M355.10%446M-275.00%-168M-1,652.99%-5.45B1,468.37%4.28B5,050.00%1.78B100.78%98M105.56%96M-83.81%351M97.60%-313M
End cash Position -48.28%1.39B49.67%1.34B49.67%1.34B88.53%1.51B1,443.90%6.96B250.79%2.68B12.25%898M12.25%898M-68.26%802M25.63%451M
Free cash flow 100.34%589M38.66%2.09B892.45%526M-39.98%530M60.04%741M169.72%294M36.47%1.51B-82.79%53M23.15%883M-14.89%463M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------
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