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long-term debt - TELUS Corporation senior notes (Details)
$ in Millions, $ in Millions
3 Months Ended 6 Months Ended
Jun. 30, 2020
CAD ($)
Jun. 30, 2020
CAD ($)
Jun. 30, 2020
USD ($)
$ / NotesSeries
$ / NotesSeries
$ / $
Jun. 30, 2020
CAD ($)
$ / NotesSeries
$ / NotesSeries
$ / $
Jun. 23, 2020
May 31, 2020
CAD ($)
$ / NotesSeries
Dec. 31, 2019
CAD ($)
$ / NotesSeries
Jun. 30, 2019
CAD ($)
Mar. 31, 2018
Feb. 28, 2018
CAD ($)
$ / NotesSeries
Mar. 31, 2017
CAD ($)
$ / NotesSeries
Dec. 31, 2015
CAD ($)
$ / NotesSeries
Apr. 30, 2014
CAD ($)
$ / NotesSeries
TELUS Corporation notes                          
Long-term debt       $ 18,518     $ 18,474 $ 16,579          
Long-term debt prepayment premium $ 18 $ 18                      
TELUS Corporation senior notes                          
TELUS Corporation notes                          
Repurchase offer price, expressed as percentage of principal   101.00%                      
Redemption price percentage   100.00%                      
3.60% Notes, Series CM                          
TELUS Corporation notes                          
Fixed interest rate     3.60% 3.60% 3.60%                
Issued   November 2013                      
Maturity   January 2021                      
Issue price per $1000 increment of debt | $ / NotesSeries     997.15 997.15                  
Effective interest rate     3.65% 3.65%                  
Principal face amount: Originally issued       $ 400                  
Redemption present value spread - Basis points     0.35% 0.35%                  
Redemption present value spread - Cessation date   N/A                      
3.20% Notes, Series CO                          
TELUS Corporation notes                          
Fixed interest rate     3.20% 3.20% 3.20%                
Issued   April 2014                      
Maturity   April 2021                      
Issue price per $1000 increment of debt | $ / NotesSeries     997.39 997.39                  
Effective interest rate     3.24% 3.24%                  
Principal face amount: Originally issued       $ 500                  
Redemption present value spread - Basis points     0.30% 0.30%                  
Redemption present value spread - Cessation date   Mar. 5, 2021                      
2.35% Notes, Series CT                          
TELUS Corporation notes                          
Fixed interest rate     2.35% 2.35%                  
Issued   March 2015                      
Maturity   March 2022                      
Issue price per $1000 increment of debt | $ / NotesSeries     997.31 997.31                  
Effective interest rate     2.39% 2.39%                  
Principal face amount: Originally issued       $ 1,000                  
Long-term debt       $ 1,000                  
Redemption present value spread - Basis points     0.355% 0.355%                  
Redemption present value spread - Cessation date   Feb. 28, 2022                      
3.35% Notes, Series CJ                          
TELUS Corporation notes                          
Fixed interest rate     3.35% 3.35%                  
Issued   December 2012                      
Maturity   March 2023                      
Issue price per $1000 increment of debt | $ / NotesSeries     998.83 998.83                  
Effective interest rate     3.36% 3.36%                  
Principal face amount: Originally issued       $ 500                  
Long-term debt       $ 500                  
Redemption present value spread - Basis points     0.40% 0.40%                  
Redemption present value spread - Cessation date   Dec. 15, 2022                      
3.35% Notes, Series CK                          
TELUS Corporation notes                          
Fixed interest rate     3.35% 3.35%                  
Issued   April 2013                      
Maturity   April 2024                      
Issue price per $1000 increment of debt | $ / NotesSeries     994.35 994.35                  
Effective interest rate     3.41% 3.41%                  
Principal face amount: Originally issued       $ 1,100                  
Long-term debt       $ 1,100                  
Redemption present value spread - Basis points     0.36% 0.36%                  
Redemption present value spread - Cessation date   Jan. 2, 2024                      
3.75% Notes, Series CQ                          
TELUS Corporation notes                          
Fixed interest rate     3.75% 3.75%                  
Issued   September 2014                      
Maturity   January 2025                      
Issue price per $1000 increment of debt | $ / NotesSeries     997.75 997.75                  
Effective interest rate     3.78% 3.78%                  
Principal face amount: Originally issued       $ 800                  
Long-term debt       $ 800                  
Redemption present value spread - Basis points     0.385% 0.385%                  
Redemption present value spread - Cessation date   Oct. 17, 2024                      
3.75% Notes, Series CV                          
TELUS Corporation notes                          
Fixed interest rate     3.75% 3.75%                  
Issued   December 2015                      
Maturity   March 2026                      
Issue price per $1000 increment of debt | $ / NotesSeries     992.14 992.14                  
Effective interest rate     3.84% 3.84%                  
Principal face amount: Originally issued       $ 600                  
Long-term debt       $ 600                  
Redemption present value spread - Basis points     0.535% 0.535%                  
Redemption present value spread - Cessation date   Dec. 10, 2025                      
2.75% Notes, Series CZ                          
TELUS Corporation notes                          
Fixed interest rate     2.75% 2.75%                  
Issued   July 2019                      
Maturity   July 2026                      
Issue price per $1000 increment of debt | $ / NotesSeries     998.73 998.73                  
Effective interest rate     2.77% 2.77%                  
Principal face amount: Originally issued       $ 800                  
Long-term debt       $ 800                  
Redemption present value spread - Basis points     0.33% 0.33%                  
Redemption present value spread - Cessation date   May 8, 2026                      
2.80% U.S. Dollar Notes                          
TELUS Corporation notes                          
Fixed interest rate     2.80% 2.80%                  
Issued   September 2016                      
Maturity   February 2027                      
Issue price per $1000 increment of debt | $ / NotesSeries     991.89 991.89                  
Effective interest rate     2.89% 2.89%                  
Principal face amount: Originally issued     $ 600                    
Long-term debt     $ 600                    
Redemption present value spread - Basis points     0.20% 0.20%                  
Redemption present value spread - Cessation date   Nov. 16, 2026                      
2.80% U.S. Dollar Notes | Foreign exchange derivative                          
TELUS Corporation notes                          
Fixed interest rate     2.95% 2.95%                  
Principal face amount: Originally issued       $ 792                  
Fixed exchange rate | $ / $     1.3205 1.3205                  
3.70% U.S. Dollar Notes                          
TELUS Corporation notes                          
Fixed interest rate     3.70% 3.70%                  
Issued   March 2017                      
Maturity   September 2027                      
Issue price per $1000 increment of debt | $ / NotesSeries     998.95 998.95                  
Effective interest rate     3.71% 3.71%                  
Principal face amount: Originally issued     $ 500                    
Long-term debt     $ 500                    
Redemption present value spread - Basis points     0.20% 0.20%                  
Redemption present value spread - Cessation date   June 15, 2027                      
3.70% U.S. Dollar Notes | Foreign exchange derivative                          
TELUS Corporation notes                          
Fixed interest rate     3.41% 3.41%                  
Principal face amount: Originally issued       $ 667                  
Fixed exchange rate | $ / $     1.3348 1.3348                  
2.35% Notes, Series CAC                          
TELUS Corporation notes                          
Fixed interest rate     2.35% 2.35%                  
Issued   May 2020                      
Maturity   January 2028                      
Issue price per $1000 increment of debt | $ / NotesSeries     997.25 997.25                  
Effective interest rate     2.39% 2.39%                  
Principal face amount: Originally issued       $ 600                  
Long-term debt       $ 600                  
Redemption present value spread - Basis points     0.48% 0.48%                  
Redemption present value spread - Cessation date   Nov. 27, 2027                      
3.625% Notes, Series CX                          
TELUS Corporation notes                          
Fixed interest rate     3.625% 3.625%                  
Issued   March 2018                      
Maturity   March 2028                      
Issue price per $1000 increment of debt | $ / NotesSeries     989.49 989.49                  
Effective interest rate     3.75% 3.75%                  
Principal face amount: Originally issued       $ 600                  
Long-term debt       $ 600                  
Redemption present value spread - Basis points     0.37% 0.37%                  
Redemption present value spread - Cessation date   Dec. 1, 2027                      
3.30% Notes, Series CY                          
TELUS Corporation notes                          
Fixed interest rate     3.30% 3.30%                  
Issued   April 2019                      
Maturity   May 2029                      
Issue price per $1000 increment of debt | $ / NotesSeries     991.75 991.75                  
Effective interest rate     3.40% 3.40%                  
Principal face amount: Originally issued       $ 1,000                  
Long-term debt       $ 1,000                  
Redemption present value spread - Basis points     0.435% 0.435%                  
Redemption present value spread - Cessation date   Feb. 2, 2029                      
3.15% Notes, Series CAA                          
TELUS Corporation notes                          
Fixed interest rate     3.15% 3.15%                  
Issued   December 2019                      
Maturity   February 2030                      
Issue price per $1000 increment of debt | $ / NotesSeries     996.49 996.49                  
Effective interest rate     3.19% 3.19%                  
Principal face amount: Originally issued     $ 600                    
Long-term debt     $ 600                    
Redemption present value spread - Basis points     0.395% 0.395%                  
Redemption present value spread - Cessation date   Nov. 19, 2029                      
4.40% Notes, Series CL                          
TELUS Corporation notes                          
Fixed interest rate     4.40% 4.40%                  
Issued   April 2013                      
Maturity   April 2043                      
Issue price per $1000 increment of debt | $ / NotesSeries     997.68 997.68                  
Effective interest rate     4.41% 4.41%                  
Principal face amount: Originally issued     $ 600                    
Long-term debt     $ 600                    
Redemption present value spread - Basis points     0.47% 0.47%                  
Redemption present value spread - Cessation date   Oct. 1, 2042                      
5.15% Notes, Series CN                          
TELUS Corporation notes                          
Fixed interest rate     5.15% 5.15%                  
Issued   November 2013                      
Maturity   November 2043                      
Issue price per $1000 increment of debt | $ / NotesSeries     995.00 995.00                  
Effective interest rate     5.18% 5.18%                  
Principal face amount: Originally issued       $ 400                  
Long-term debt       $ 400                  
Redemption present value spread - Basis points     0.50% 0.50%                  
Redemption present value spread - Cessation date   May 26, 2043                      
4.85% Notes, Series CP                          
TELUS Corporation notes                          
Fixed interest rate     4.85% 4.85%                 4.85%
Issued   Multiple                      
Maturity   April 2044                      
Issue price per $1000 increment of debt | $ / NotesSeries     987.91 987.91               974.38 998.74
Effective interest rate     4.93% 4.93%               5.02% 4.86%
Principal face amount: Originally issued       $ 500               $ 400 $ 500
Long-term debt       $ 900                  
Redemption present value spread - Basis points     0.46% 0.46%                  
Redemption present value spread - Cessation date   Oct. 5, 2043                      
4.75% Notes, Series CR                          
TELUS Corporation notes                          
Fixed interest rate     4.75% 4.75%                  
Issued   September 2014                      
Maturity   January 2045                      
Issue price per $1000 increment of debt | $ / NotesSeries     992.91 992.91                  
Effective interest rate     4.80% 4.80%                  
Principal face amount: Originally issued       $ 400                  
Long-term debt       $ 400                  
Redemption present value spread - Basis points     0.515% 0.515%                  
Redemption present value spread - Cessation date   July 17, 2044                      
4.40% Notes, Series CU                          
TELUS Corporation notes                          
Fixed interest rate     4.40% 4.40%                  
Issued   March 2015                      
Maturity   January 2046                      
Issue price per $1000 increment of debt | $ / NotesSeries     999.72 999.72                  
Effective interest rate     4.40% 4.40%                  
Principal face amount: Originally issued       $ 500                  
Long-term debt       $ 500                  
Redemption present value spread - Basis points     0.605% 0.605%                  
Redemption present value spread - Cessation date   July 29, 2045                      
4.70% Notes, Series CW                          
TELUS Corporation notes                          
Fixed interest rate     4.70% 4.70%             4.70%    
Issued   Multiple                      
Maturity   March 2048                      
Issue price per $1000 increment of debt | $ / NotesSeries     998.06 998.06           1,014.11 990.65    
Effective interest rate     4.71% 4.71%         4.61%   4.76%    
Principal face amount: Originally issued       $ 325           $ 150 $ 325    
Long-term debt       $ 475                  
Redemption present value spread - Basis points     0.585% 0.585%                  
Redemption present value spread - Cessation date   Sept. 6, 2047                      
4.60% U.S. Dollar Notes                          
TELUS Corporation notes                          
Fixed interest rate     4.60% 4.60%                  
Issued   June 2018                      
Maturity   November 2048                      
Issue price per $1000 increment of debt | $ / NotesSeries     987.60 987.60                  
Effective interest rate     4.68% 4.68%                  
Principal face amount: Originally issued     $ 750                    
Long-term debt     $ 750                    
Redemption present value spread - Basis points     0.25% 0.25%                  
Redemption present value spread - Cessation date   May 16, 2048                      
4.60% U.S. Dollar Notes | Foreign exchange derivative                          
TELUS Corporation notes                          
Fixed interest rate     4.41% 4.41%                  
Principal face amount: Originally issued       $ 974                  
Fixed exchange rate | $ / $     1.2985 1.2985                  
4.30% U.S. Dollar Notes                          
TELUS Corporation notes                          
Fixed interest rate     4.30% 4.30%                  
Issued   May 2019                      
Maturity   June 2049                      
Issue price per $1000 increment of debt | $ / NotesSeries     990.48 990.48                  
Effective interest rate     4.36% 4.36%                  
Principal face amount: Originally issued     $ 500                    
Long-term debt     $ 500                    
Redemption present value spread - Basis points     0.25% 0.25%                  
Redemption present value spread - Cessation date   Dec. 15, 2048                      
4.30% U.S. Dollar Notes | Foreign exchange derivative                          
TELUS Corporation notes                          
Fixed interest rate     4.27% 4.27%                  
Principal face amount: Originally issued       $ 672                  
Fixed exchange rate | $ / $     1.3435 1.3435                  
3.95% Notes, Series CAB                          
TELUS Corporation notes                          
Fixed interest rate     3.95% 3.95%     3.95%            
Issued   Multiple                      
Maturity   February 2050                      
Issue price per $1000 increment of debt | $ / NotesSeries     997.54 997.54   1,003.53 991.54            
Effective interest rate     3.97% 3.97%   3.93% 4.00%            
Principal face amount: Originally issued       $ 400   $ 400 $ 400            
Long-term debt       $ 800                  
Redemption present value spread - Basis points     0.575% 0.575%                  
Redemption present value spread - Cessation date   Aug. 16, 2049                      
Prior to maturity date | Foreign exchange derivative                          
TELUS Corporation notes                          
Redemption price percentage   100.00%                      
Prior to maturity date | TELUS Corporation senior notes | Minimum                          
TELUS Corporation notes                          
Redemption period   30 days                      
Prior to maturity date | TELUS Corporation senior notes | Maximum                          
TELUS Corporation notes                          
Redemption period   60 days                      
On or after the redemption cessation date | TELUS Corporation senior notes | Minimum                          
TELUS Corporation notes                          
Redemption period   30 days                      
On or after the redemption cessation date | TELUS Corporation senior notes | Maximum                          
TELUS Corporation notes                          
Redemption period   60 days