This episode is a numbers- and strategy-focused deep dive into TELUS, right as earnings drop. Mike explains why TELUS used to be an attractive mix of a telecom cash cow plus "tech-like" growth segments—but why that story has become far less convincing as revenue stagnates, debt pressure remains high, and dividend growth has been paused.
The core takeaway isn't "buy" or "sell." It's: build an investment thesis, define your rules, and track tangible metrics. If TELUS executes, the stock could follow an "Enbridge-style" recovery path. If the math doesn't improve, hope won't save the dividend—or your returns.
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