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RCI.A Rogers Communications Inc

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  • 39.540
  • +0.540+1.38%
15min DelayMarket Closed Apr 29 16:00 ET
21.27BMarket Cap12.20P/E (TTM)

Rogers Communications Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
250.79%2.68B
12.25%898M
12.25%898M
-68.26%802M
25.63%451M
38.16%764M
72.79%800M
72.79%800M
267.83%2.53B
-46.02%359M
-Cash and cash equivalents
250.79%2.68B
12.25%898M
12.25%898M
-68.26%802M
25.63%451M
38.16%764M
72.79%800M
72.79%800M
267.83%2.53B
-46.02%359M
Receivables
7.25%5.34B
3.98%5.65B
3.98%5.65B
13.17%5.09B
13.21%5.04B
17.07%4.98B
26.08%5.43B
26.08%5.43B
16.97%4.49B
19.21%4.45B
-Accounts receivable
7.61%5.18B
9.65%5.48B
9.65%5.48B
13.10%4.9B
13.12%4.85B
16.27%4.81B
19.41%5B
19.41%5B
16.19%4.34B
18.48%4.29B
-Taxes receivable
----
--0
--0
----
----
----
1,857.14%274M
1,857.14%274M
----
----
-Other receivables
-2.94%165M
4.91%171M
4.91%171M
15.09%183M
15.63%185M
45.30%170M
46.85%163M
46.85%163M
43.24%159M
42.86%160M
Inventory
11.07%562M
40.57%641M
40.57%641M
2.16%472M
-6.06%512M
-8.83%506M
4.11%456M
4.11%456M
42.15%462M
20.84%545M
Prepaid assets
----
-5.30%304M
-5.30%304M
----
----
----
45.25%321M
45.25%321M
----
----
Restricted cash
----
----
----
----
----
----
----
----
--0
--0
Current deferred assets
----
22.29%417M
22.29%417M
----
----
----
28.68%341M
28.68%341M
----
----
Hedging assets-current
176.77%274M
320.00%336M
320.00%336M
-79.79%77M
-70.75%105M
-77.75%99M
-88.39%80M
-88.39%80M
-12.41%381M
56.09%359M
Holding assets for sale
----
--0
--0
--137M
--137M
--137M
--137M
--137M
----
----
Other current assets
-3.66%1.08B
-51.88%128M
-51.88%128M
-11.36%835M
-15.77%849M
54.20%1.12B
336.07%266M
336.07%266M
80.11%942M
101.20%1.01B
Total current assets
30.63%9.94B
6.88%8.37B
6.88%8.37B
-15.86%7.41B
5.52%7.09B
-60.73%7.61B
-59.37%7.83B
-59.37%7.83B
-52.78%8.81B
-64.08%6.72B
Non current assets
Net PPE
2.69%25.19B
3.04%25.07B
3.04%25.07B
3.15%24.81B
4.21%24.69B
53.82%24.53B
56.23%24.33B
56.23%24.33B
56.96%24.05B
57.83%23.69B
-Gross PPE
----
6.39%54.43B
6.39%54.43B
----
----
----
27.45%51.16B
27.45%51.16B
----
----
-Accumulated depreciation
----
-9.43%-29.35B
-9.43%-29.35B
----
----
----
-9.20%-26.82B
-9.20%-26.82B
----
----
Investments and advances
-1.16%596M
2.84%615M
2.84%615M
-61.63%602M
-71.34%605M
-69.31%603M
-71.36%598M
-71.36%598M
-21.35%1.57B
-6.14%2.11B
-Long term equity investment
1.88%489M
1.46%487M
1.46%487M
5.29%478M
-44.90%481M
-43.53%480M
-42.51%480M
-42.51%480M
-46.40%454M
1.39%873M
-Financial asset investment
-13.01%107M
8.47%128M
8.47%128M
-88.88%124M
-89.98%124M
-88.97%123M
-90.58%118M
-90.58%118M
-2.87%1.12B
-10.81%1.24B
-Including:Available-for-sale securities
-13.01%107M
8.47%128M
8.47%128M
-88.88%124M
-89.98%124M
-88.97%123M
-90.58%118M
-90.58%118M
-2.87%1.12B
-10.81%1.24B
Financial assets
37.91%1.1B
74.61%997M
74.61%997M
-4.58%791M
17.62%821M
-14.53%794M
-33.68%571M
-33.68%571M
-38.95%829M
-48.10%698M
Non current accounts receivable
5.21%1.13B
7.99%1.19B
7.99%1.19B
9.29%976M
13.67%1.01B
20.65%1.08B
24.27%1.1B
24.27%1.1B
24.72%893M
28.26%885M
Goodwill and other intangible assets
-0.13%34.01B
-0.11%34.14B
-0.11%34.14B
-1.07%34.26B
-1.32%34.38B
109.06%34.05B
109.90%34.18B
109.90%34.18B
112.63%34.63B
113.95%34.84B
-Goodwill
0.00%16.28B
0.00%16.28B
0.00%16.28B
-0.15%16.28B
-0.76%16.28B
303.87%16.28B
303.87%16.28B
303.87%16.28B
305.07%16.3B
307.55%16.4B
-Other intangible assets
-0.24%17.73B
-0.21%17.86B
-0.21%17.86B
-1.89%17.98B
-1.82%18.1B
44.99%17.77B
46.08%17.9B
46.08%17.9B
49.46%18.33B
50.38%18.43B
Other non current assets
53.75%1.17B
53.28%1.03B
53.28%1.03B
-8.63%910M
-8.69%725M
2.57%759M
-1.62%670M
-1.62%670M
119.87%996M
65.76%794M
Total non current assets
2.23%63.19B
2.59%63.04B
2.59%63.04B
-0.98%62.35B
-1.26%62.23B
68.15%61.81B
68.94%61.45B
68.94%61.45B
74.27%62.97B
74.77%63.02B
Total assets
5.34%73.12B
3.07%71.41B
3.07%71.41B
-2.81%69.76B
-0.60%69.32B
23.67%69.42B
24.48%69.28B
24.48%69.28B
31.02%71.78B
27.33%69.74B
Liabilities
Current liabilities
Current debt and capital lease obligation
0.18%4.96B
115.92%7.24B
115.92%7.24B
19.20%6.06B
8.03%6.22B
-23.17%4.95B
-35.19%3.35B
-35.19%3.35B
25.48%5.08B
50.48%5.76B
-Current debt
-1.43%4.36B
133.51%6.66B
133.51%6.66B
19.52%5.49B
6.59%5.66B
-27.20%4.42B
-40.79%2.85B
-40.79%2.85B
24.22%4.6B
52.53%5.31B
-Current capital lease obligation
13.56%603M
16.47%587M
16.47%587M
16.22%566M
25.00%560M
42.74%531M
39.23%504M
39.23%504M
38.75%487M
29.86%448M
Payables
-3.86%3.63B
-3.22%4.09B
-3.22%4.09B
-0.80%3.72B
2.28%3.63B
26.55%3.78B
13.41%4.22B
13.41%4.22B
15.66%3.75B
13.45%3.55B
-accounts payable
-4.34%3.62B
-3.84%4.06B
-3.84%4.06B
-0.80%3.72B
2.28%3.63B
29.10%3.78B
13.41%4.22B
13.41%4.22B
15.66%3.75B
19.53%3.55B
-Total tax payable
--18M
--26M
--26M
----
----
----
--0
--0
----
----
Current deferred liabilities
3.08%871M
3.49%800M
3.49%800M
4.23%690M
14.35%749M
85.71%845M
93.25%773M
93.25%773M
87.01%662M
70.57%655M
Other current liabilities
42.45%500M
11.06%482M
11.06%482M
16.77%369M
3.17%358M
35.00%351M
72.22%434M
72.22%434M
101.27%316M
81.68%347M
Current liabilities
0.38%9.97B
43.58%12.61B
43.58%12.61B
10.47%10.84B
6.29%10.96B
-2.16%9.93B
-8.03%8.78B
-8.03%8.78B
25.71%9.81B
36.91%10.31B
Non current liabilities
Long term debt and capital lease obligation
8.00%44.39B
-3.47%40.39B
-3.47%40.39B
-8.13%39.86B
-0.75%40.13B
31.36%41.1B
32.54%41.84B
32.54%41.84B
30.63%43.38B
24.54%40.43B
-Long term debt
8.29%42.2B
-3.91%38.2B
-3.91%38.2B
-8.83%37.69B
-1.16%37.97B
31.58%38.97B
32.94%39.76B
32.94%39.76B
31.05%41.35B
24.66%38.41B
-Long term capital lease obligation
2.76%2.2B
4.88%2.19B
4.88%2.19B
6.14%2.16B
6.93%2.16B
27.45%2.14B
25.39%2.09B
25.39%2.09B
22.64%2.04B
22.22%2.02B
Derivative product liabilities
----
-19.91%845M
-19.91%845M
----
----
----
165.08%1.06B
165.08%1.06B
----
----
Long term provisions
0.00%62M
12.96%61M
12.96%61M
7.02%61M
6.90%62M
21.57%62M
1.89%54M
1.89%54M
9.62%57M
13.73%58M
Employee benefits
----
-12.06%124M
-12.06%124M
----
----
----
-1.40%141M
-1.40%141M
----
----
Non current deferred liabilities
-1.07%6.27B
-1.31%6.56B
-1.31%6.56B
-0.26%6.23B
4.71%6.2B
75.81%6.34B
79.10%6.65B
79.10%6.65B
80.84%6.25B
73.09%5.92B
Other non current liabilities
30.99%1.81B
31.33%415M
31.33%415M
14.86%1.51B
-6.97%1.36B
101.46%1.38B
132.35%316M
132.35%316M
119.40%1.31B
199.18%1.46B
Total non current liabilities
7.47%52.53B
-3.32%48.4B
-3.32%48.4B
-6.56%47.66B
-0.26%47.75B
37.18%48.88B
39.00%50.06B
39.00%50.06B
36.67%51B
31.43%47.87B
Total liabilities
6.27%62.49B
3.68%61.01B
3.68%61.01B
-3.81%58.5B
0.90%58.7B
28.46%58.81B
29.14%58.84B
29.14%58.84B
34.77%60.81B
32.36%58.18B
Shareholders'equity
Share capital
16.45%2.41B
16.52%2.32B
16.52%2.32B
16.53%2.24B
12.20%2.15B
341.67%2.07B
325.64%1.99B
325.64%1.99B
309.83%1.92B
309.83%1.92B
-common stock
16.45%2.41B
16.52%2.32B
16.52%2.32B
16.53%2.24B
12.20%2.15B
341.67%2.07B
325.64%1.99B
325.64%1.99B
309.83%1.92B
309.83%1.92B
Retained earnings
8.25%10.64B
8.04%10.63B
8.04%10.63B
8.51%10.37B
0.36%9.96B
-2.46%9.83B
0.23%9.84B
0.23%9.84B
2.23%9.55B
7.93%9.92B
Gains losses not affecting retained earnings
-88.09%-2.42B
-83.18%-2.55B
-83.18%-2.55B
-164.55%-1.34B
-441.82%-1.49B
-572.77%-1.29B
-624.48%-1.39B
-624.48%-1.39B
-232.24%-505M
-123.73%-275M
Total stockholders'equity
0.18%10.63B
-0.35%10.4B
-0.35%10.4B
2.73%11.27B
-8.17%10.62B
2.48%10.61B
3.45%10.44B
3.45%10.44B
13.51%10.97B
6.89%11.56B
Total equity
0.18%10.63B
-0.35%10.4B
-0.35%10.4B
2.73%11.27B
-8.17%10.62B
2.48%10.61B
3.45%10.44B
3.45%10.44B
13.51%10.97B
6.89%11.56B
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, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023
Assets
Current assets
Cash, cash equivalents and short term investments 250.79%2.68B12.25%898M12.25%898M-68.26%802M25.63%451M38.16%764M72.79%800M72.79%800M267.83%2.53B-46.02%359M
-Cash and cash equivalents 250.79%2.68B12.25%898M12.25%898M-68.26%802M25.63%451M38.16%764M72.79%800M72.79%800M267.83%2.53B-46.02%359M
Receivables 7.25%5.34B3.98%5.65B3.98%5.65B13.17%5.09B13.21%5.04B17.07%4.98B26.08%5.43B26.08%5.43B16.97%4.49B19.21%4.45B
-Accounts receivable 7.61%5.18B9.65%5.48B9.65%5.48B13.10%4.9B13.12%4.85B16.27%4.81B19.41%5B19.41%5B16.19%4.34B18.48%4.29B
-Taxes receivable ------0--0------------1,857.14%274M1,857.14%274M--------
-Other receivables -2.94%165M4.91%171M4.91%171M15.09%183M15.63%185M45.30%170M46.85%163M46.85%163M43.24%159M42.86%160M
Inventory 11.07%562M40.57%641M40.57%641M2.16%472M-6.06%512M-8.83%506M4.11%456M4.11%456M42.15%462M20.84%545M
Prepaid assets -----5.30%304M-5.30%304M------------45.25%321M45.25%321M--------
Restricted cash ----------------------------------0--0
Current deferred assets ----22.29%417M22.29%417M------------28.68%341M28.68%341M--------
Hedging assets-current 176.77%274M320.00%336M320.00%336M-79.79%77M-70.75%105M-77.75%99M-88.39%80M-88.39%80M-12.41%381M56.09%359M
Holding assets for sale ------0--0--137M--137M--137M--137M--137M--------
Other current assets -3.66%1.08B-51.88%128M-51.88%128M-11.36%835M-15.77%849M54.20%1.12B336.07%266M336.07%266M80.11%942M101.20%1.01B
Total current assets 30.63%9.94B6.88%8.37B6.88%8.37B-15.86%7.41B5.52%7.09B-60.73%7.61B-59.37%7.83B-59.37%7.83B-52.78%8.81B-64.08%6.72B
Non current assets
Net PPE 2.69%25.19B3.04%25.07B3.04%25.07B3.15%24.81B4.21%24.69B53.82%24.53B56.23%24.33B56.23%24.33B56.96%24.05B57.83%23.69B
-Gross PPE ----6.39%54.43B6.39%54.43B------------27.45%51.16B27.45%51.16B--------
-Accumulated depreciation -----9.43%-29.35B-9.43%-29.35B-------------9.20%-26.82B-9.20%-26.82B--------
Investments and advances -1.16%596M2.84%615M2.84%615M-61.63%602M-71.34%605M-69.31%603M-71.36%598M-71.36%598M-21.35%1.57B-6.14%2.11B
-Long term equity investment 1.88%489M1.46%487M1.46%487M5.29%478M-44.90%481M-43.53%480M-42.51%480M-42.51%480M-46.40%454M1.39%873M
-Financial asset investment -13.01%107M8.47%128M8.47%128M-88.88%124M-89.98%124M-88.97%123M-90.58%118M-90.58%118M-2.87%1.12B-10.81%1.24B
-Including:Available-for-sale securities -13.01%107M8.47%128M8.47%128M-88.88%124M-89.98%124M-88.97%123M-90.58%118M-90.58%118M-2.87%1.12B-10.81%1.24B
Financial assets 37.91%1.1B74.61%997M74.61%997M-4.58%791M17.62%821M-14.53%794M-33.68%571M-33.68%571M-38.95%829M-48.10%698M
Non current accounts receivable 5.21%1.13B7.99%1.19B7.99%1.19B9.29%976M13.67%1.01B20.65%1.08B24.27%1.1B24.27%1.1B24.72%893M28.26%885M
Goodwill and other intangible assets -0.13%34.01B-0.11%34.14B-0.11%34.14B-1.07%34.26B-1.32%34.38B109.06%34.05B109.90%34.18B109.90%34.18B112.63%34.63B113.95%34.84B
-Goodwill 0.00%16.28B0.00%16.28B0.00%16.28B-0.15%16.28B-0.76%16.28B303.87%16.28B303.87%16.28B303.87%16.28B305.07%16.3B307.55%16.4B
-Other intangible assets -0.24%17.73B-0.21%17.86B-0.21%17.86B-1.89%17.98B-1.82%18.1B44.99%17.77B46.08%17.9B46.08%17.9B49.46%18.33B50.38%18.43B
Other non current assets 53.75%1.17B53.28%1.03B53.28%1.03B-8.63%910M-8.69%725M2.57%759M-1.62%670M-1.62%670M119.87%996M65.76%794M
Total non current assets 2.23%63.19B2.59%63.04B2.59%63.04B-0.98%62.35B-1.26%62.23B68.15%61.81B68.94%61.45B68.94%61.45B74.27%62.97B74.77%63.02B
Total assets 5.34%73.12B3.07%71.41B3.07%71.41B-2.81%69.76B-0.60%69.32B23.67%69.42B24.48%69.28B24.48%69.28B31.02%71.78B27.33%69.74B
Liabilities
Current liabilities
Current debt and capital lease obligation 0.18%4.96B115.92%7.24B115.92%7.24B19.20%6.06B8.03%6.22B-23.17%4.95B-35.19%3.35B-35.19%3.35B25.48%5.08B50.48%5.76B
-Current debt -1.43%4.36B133.51%6.66B133.51%6.66B19.52%5.49B6.59%5.66B-27.20%4.42B-40.79%2.85B-40.79%2.85B24.22%4.6B52.53%5.31B
-Current capital lease obligation 13.56%603M16.47%587M16.47%587M16.22%566M25.00%560M42.74%531M39.23%504M39.23%504M38.75%487M29.86%448M
Payables -3.86%3.63B-3.22%4.09B-3.22%4.09B-0.80%3.72B2.28%3.63B26.55%3.78B13.41%4.22B13.41%4.22B15.66%3.75B13.45%3.55B
-accounts payable -4.34%3.62B-3.84%4.06B-3.84%4.06B-0.80%3.72B2.28%3.63B29.10%3.78B13.41%4.22B13.41%4.22B15.66%3.75B19.53%3.55B
-Total tax payable --18M--26M--26M--------------0--0--------
Current deferred liabilities 3.08%871M3.49%800M3.49%800M4.23%690M14.35%749M85.71%845M93.25%773M93.25%773M87.01%662M70.57%655M
Other current liabilities 42.45%500M11.06%482M11.06%482M16.77%369M3.17%358M35.00%351M72.22%434M72.22%434M101.27%316M81.68%347M
Current liabilities 0.38%9.97B43.58%12.61B43.58%12.61B10.47%10.84B6.29%10.96B-2.16%9.93B-8.03%8.78B-8.03%8.78B25.71%9.81B36.91%10.31B
Non current liabilities
Long term debt and capital lease obligation 8.00%44.39B-3.47%40.39B-3.47%40.39B-8.13%39.86B-0.75%40.13B31.36%41.1B32.54%41.84B32.54%41.84B30.63%43.38B24.54%40.43B
-Long term debt 8.29%42.2B-3.91%38.2B-3.91%38.2B-8.83%37.69B-1.16%37.97B31.58%38.97B32.94%39.76B32.94%39.76B31.05%41.35B24.66%38.41B
-Long term capital lease obligation 2.76%2.2B4.88%2.19B4.88%2.19B6.14%2.16B6.93%2.16B27.45%2.14B25.39%2.09B25.39%2.09B22.64%2.04B22.22%2.02B
Derivative product liabilities -----19.91%845M-19.91%845M------------165.08%1.06B165.08%1.06B--------
Long term provisions 0.00%62M12.96%61M12.96%61M7.02%61M6.90%62M21.57%62M1.89%54M1.89%54M9.62%57M13.73%58M
Employee benefits -----12.06%124M-12.06%124M-------------1.40%141M-1.40%141M--------
Non current deferred liabilities -1.07%6.27B-1.31%6.56B-1.31%6.56B-0.26%6.23B4.71%6.2B75.81%6.34B79.10%6.65B79.10%6.65B80.84%6.25B73.09%5.92B
Other non current liabilities 30.99%1.81B31.33%415M31.33%415M14.86%1.51B-6.97%1.36B101.46%1.38B132.35%316M132.35%316M119.40%1.31B199.18%1.46B
Total non current liabilities 7.47%52.53B-3.32%48.4B-3.32%48.4B-6.56%47.66B-0.26%47.75B37.18%48.88B39.00%50.06B39.00%50.06B36.67%51B31.43%47.87B
Total liabilities 6.27%62.49B3.68%61.01B3.68%61.01B-3.81%58.5B0.90%58.7B28.46%58.81B29.14%58.84B29.14%58.84B34.77%60.81B32.36%58.18B
Shareholders'equity
Share capital 16.45%2.41B16.52%2.32B16.52%2.32B16.53%2.24B12.20%2.15B341.67%2.07B325.64%1.99B325.64%1.99B309.83%1.92B309.83%1.92B
-common stock 16.45%2.41B16.52%2.32B16.52%2.32B16.53%2.24B12.20%2.15B341.67%2.07B325.64%1.99B325.64%1.99B309.83%1.92B309.83%1.92B
Retained earnings 8.25%10.64B8.04%10.63B8.04%10.63B8.51%10.37B0.36%9.96B-2.46%9.83B0.23%9.84B0.23%9.84B2.23%9.55B7.93%9.92B
Gains losses not affecting retained earnings -88.09%-2.42B-83.18%-2.55B-83.18%-2.55B-164.55%-1.34B-441.82%-1.49B-572.77%-1.29B-624.48%-1.39B-624.48%-1.39B-232.24%-505M-123.73%-275M
Total stockholders'equity 0.18%10.63B-0.35%10.4B-0.35%10.4B2.73%11.27B-8.17%10.62B2.48%10.61B3.45%10.44B3.45%10.44B13.51%10.97B6.89%11.56B
Total equity 0.18%10.63B-0.35%10.4B-0.35%10.4B2.73%11.27B-8.17%10.62B2.48%10.61B3.45%10.44B3.45%10.44B13.51%10.97B6.89%11.56B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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Buffett's holdings are the latest portfolio from Berkshire Hathaway. Regarded as a top investor, his trades often signal the market and influence the industry. Buffett's holdings are the latest portfolio from Berkshire Hathaway. Regarded as a top investor, his trades often signal the market and influence the industry.

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