BCE推出了一项2025-2028年计划,每年实现15%的自由现金流增长,5B股息,扩大网络覆盖范围。
BCE unveils a 2025-2028 plan for 15% annual free cash flow growth, $5B in dividends, and expanded network reach.
英国中央银行公布了一项为期三年的战略计划,目标是到2028年实现租赁负债后每年15%的免费现金流增长,并辅之以15亿美元的节省成本和降低资本密集度。
BCE has unveiled a three-year strategic plan targeting 15% annual free cash flow growth after lease liabilities through 2028, backed by $1.5 billion in cost savings and reduced capital intensity.
该公司的目标是到2027年将净债务杠杆降低到3.5x,到2030年降低到3.0x,同时在今后三年支付约50亿美元的股息。
The company aims to lower net debt leverage to 3.5x by 2027 and 3.0x by 2030, while paying about $5 billion in dividends over the next three years.
关键优先事项包括扩大光纤和无线网络,推进AI动力企业解决方案,以及不断增长的数字媒体。
Key priorities include expanding fibre and wireless networks, advancing AI-powered enterprise solutions, and growing digital media.
与PSP Investments(PSP Investments)的合作可以将纤维接触扩大到美国另外多达800万个地点,从而使BCE的北美总接触量可能超过1600万。
A partnership with PSP Investments could extend fibre access to up to 8 million additional U.S. locations, potentially bringing BCE’s total North American reach to over 16 million.
该计划支持2%至4%的年度收入增长,并改进了EBITDA, 细节在2025年10月14日投资者日上公布。
The plan supports 2% to 4% annual revenue growth and improved EBITDA, with details presented at an investor day on October 14, 2025.