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40-F Filing

CANADIAN IMPERIAL BANK OF COMMERCE /CAN/ CIK: 1045520 FY 2025
Filing Information
Form Type 40-F
Accession Number 0001193125-25-307488
Period End Date 20251031
Filing Date 20251204
Fiscal Year 2025
Fiscal Period FY
XBRL Instance d91021d40f_htm.xml
Balance Sheet 176 line items
Line Item Tag Value Unit Period
Acceptances BankAcceptanceLiabilities 6.00M CAD Point-in-time
Acceptances BankAcceptanceLiabilities 6.00M CAD Point-in-time
Acceptances BankAcceptanceLiabilities 10.00M CAD Point-in-time
Acceptances BankAcceptanceLiabilities 10.00M CAD Point-in-time
Bank acceptance assets BankAcceptanceAssets 6.00M CAD Point-in-time
Bank acceptance assets BankAcceptanceAssets 6.00M CAD Point-in-time
Bank acceptance assets BankAcceptanceAssets 10.00M CAD Point-in-time
Bank acceptance assets BankAcceptanceAssets 10.00M CAD Point-in-time
Cash and non-interest-bearing deposits with banks CashAndCashEquivalents 20.82B CAD Point-in-time
Cash and non-interest-bearing deposits with banks CashAndCashEquivalents 20.82B CAD Point-in-time
Cash and non-interest-bearing deposits with banks CashAndCashEquivalents 8.56B CAD Point-in-time
Cash and non-interest-bearing deposits with banks CashAndCashEquivalents 8.56B CAD Point-in-time
Cash and non-interest-bearing deposits with banks CashAndCashEquivalents 12.38B CAD Point-in-time
Cash and non-interest-bearing deposits with banks CashAndCashEquivalents 12.38B CAD Point-in-time
Interest-bearing deposits with banks ShorttermDepositsNotClassifiedAsCashEquivalents 39.50B CAD Point-in-time
Interest-bearing deposits with banks ShorttermDepositsNotClassifiedAsCashEquivalents 39.50B CAD Point-in-time
Interest-bearing deposits with banks ShorttermDepositsNotClassifiedAsCashEquivalents 31.62B CAD Point-in-time
Interest-bearing deposits with banks ShorttermDepositsNotClassifiedAsCashEquivalents 31.62B CAD Point-in-time
Securities (Note 4) FinancialAssetsSecurities 254.34B CAD Point-in-time
Securities (Note 4) FinancialAssetsSecurities 254.34B CAD Point-in-time
Securities (Note 4) FinancialAssetsSecurities 283.24B CAD Point-in-time
Securities (Note 4) FinancialAssetsSecurities 283.24B CAD Point-in-time
Cash collateral on securities borrowed CashCollateralOnSecuritiesBorrowed 17.03B CAD Point-in-time
Cash collateral on securities borrowed CashCollateralOnSecuritiesBorrowed 17.03B CAD Point-in-time
Cash collateral on securities borrowed CashCollateralOnSecuritiesBorrowed 21.70B CAD Point-in-time
Cash collateral on securities borrowed CashCollateralOnSecuritiesBorrowed 21.70B CAD Point-in-time
Securities purchased under resale agreements SecuritiesPurchasedUnderResaleAgreements 83.72B CAD Point-in-time
Securities purchased under resale agreements SecuritiesPurchasedUnderResaleAgreements 83.72B CAD Point-in-time
Securities purchased under resale agreements SecuritiesPurchasedUnderResaleAgreements 86.69B CAD Point-in-time
Securities purchased under resale agreements SecuritiesPurchasedUnderResaleAgreements 86.69B CAD Point-in-time
Residential mortgages ResidentialMortgageLoans 280.67B CAD Point-in-time
Residential mortgages ResidentialMortgageLoans 280.67B CAD Point-in-time
Residential mortgages ResidentialMortgageLoans 287.03B CAD Point-in-time
Residential mortgages ResidentialMortgageLoans 287.03B CAD Point-in-time
Personal ConsumerLoans 46.68B CAD Point-in-time
Personal ConsumerLoans 46.68B CAD Point-in-time
Personal ConsumerLoans 47.87B CAD Point-in-time
Personal ConsumerLoans 47.87B CAD Point-in-time
Credit card CreditCardLoans 20.55B CAD Point-in-time
Credit card CreditCardLoans 20.55B CAD Point-in-time
Credit card CreditCardLoans 21.58B CAD Point-in-time
Credit card CreditCardLoans 21.58B CAD Point-in-time
Business and government LoansToBusinessAndGovernment 214.31B CAD Point-in-time
Business and government LoansToBusinessAndGovernment 214.31B CAD Point-in-time
Business and government LoansToBusinessAndGovernment 237.42B CAD Point-in-time
Business and government LoansToBusinessAndGovernment 237.42B CAD Point-in-time
Allowance for credit losses AllowanceAccountForCreditLossesOfLoans 3.92B CAD Point-in-time
Allowance for credit losses AllowanceAccountForCreditLossesOfLoans 3.92B CAD Point-in-time
Allowance for credit losses AllowanceAccountForCreditLossesOfLoans 4.39B CAD Point-in-time
Allowance for credit losses AllowanceAccountForCreditLossesOfLoans 4.39B CAD Point-in-time
Total loans LoansNetOfAllowanceForCreditLosses 558.29B CAD Point-in-time
Total loans LoansNetOfAllowanceForCreditLosses 558.29B CAD Point-in-time
Total loans LoansNetOfAllowanceForCreditLosses 589.50B CAD Point-in-time
Total loans LoansNetOfAllowanceForCreditLosses 589.50B CAD Point-in-time
Derivative instruments (Note 12) DerivativeFinancialAssets 36.44B CAD Point-in-time
Derivative instruments (Note 12) DerivativeFinancialAssets 36.44B CAD Point-in-time
Derivative instruments (Note 12) DerivativeFinancialAssets 38.35B CAD Point-in-time
Derivative instruments (Note 12) DerivativeFinancialAssets 38.35B CAD Point-in-time
Property and equipment (Note 7) PropertyPlantAndEquipment 3.36B CAD Point-in-time
Property and equipment (Note 7) PropertyPlantAndEquipment 3.36B CAD Point-in-time
Property and equipment (Note 7) PropertyPlantAndEquipment 3.44B CAD Point-in-time
Property and equipment (Note 7) PropertyPlantAndEquipment 3.44B CAD Point-in-time
Goodwill (Note 8) Goodwill 5.42B CAD Point-in-time
Goodwill (Note 8) Goodwill 5.42B CAD Point-in-time
Goodwill (Note 8) Goodwill 5.44B CAD Point-in-time
Goodwill (Note 8) Goodwill 5.44B CAD Point-in-time
Goodwill (Note 8) Goodwill 5.47B CAD Point-in-time
Goodwill (Note 8) Goodwill 5.47B CAD Point-in-time
Software and other intangible assets (Note 8) IntangibleAssetsOtherThanGoodwill 2.83B CAD Point-in-time
Software and other intangible assets (Note 8) IntangibleAssetsOtherThanGoodwill 2.83B CAD Point-in-time
Software and other intangible assets (Note 8) IntangibleAssetsOtherThanGoodwill 2.89B CAD Point-in-time
Software and other intangible assets (Note 8) IntangibleAssetsOtherThanGoodwill 2.89B CAD Point-in-time
Investments in equity-accounted associates and joint ventures (Note 24) InvestmentAccountedForUsingEquityMethod 785.00M CAD Point-in-time
Investments in equity-accounted associates and joint ventures (Note 24) InvestmentAccountedForUsingEquityMethod 785.00M CAD Point-in-time
Investments in equity-accounted associates and joint ventures (Note 24) InvestmentAccountedForUsingEquityMethod 808.00M CAD Point-in-time
Investments in equity-accounted associates and joint ventures (Note 24) InvestmentAccountedForUsingEquityMethod 808.00M CAD Point-in-time
Deferred tax assets (Note 18) DeferredTaxAssets 821.00M CAD Point-in-time
Deferred tax assets (Note 18) DeferredTaxAssets 821.00M CAD Point-in-time
Deferred tax assets (Note 18) DeferredTaxAssets 1.03B CAD Point-in-time
Deferred tax assets (Note 18) DeferredTaxAssets 1.03B CAD Point-in-time
Other assets (Note 9) OtherAssets 30.86B CAD Point-in-time
Other assets (Note 9) OtherAssets 30.86B CAD Point-in-time
Other assets (Note 9) OtherAssets 39.80B CAD Point-in-time
Other assets (Note 9) OtherAssets 39.80B CAD Point-in-time
Other miscellaneous assets OtherMiscellaneousAssets 80.53B CAD Point-in-time
Other miscellaneous assets OtherMiscellaneousAssets 80.53B CAD Point-in-time
Other miscellaneous assets OtherMiscellaneousAssets 91.80B CAD Point-in-time
Other miscellaneous assets OtherMiscellaneousAssets 91.80B CAD Point-in-time
Total assets Assets 1,041.98B CAD Point-in-time
Total assets Assets 1,041.98B CAD Point-in-time
Total assets Assets 1,116.94B CAD Point-in-time
Total assets Assets 1,116.94B CAD Point-in-time
Personal PersonalDeposits 252.89B CAD Point-in-time
Personal PersonalDeposits 252.89B CAD Point-in-time
Personal PersonalDeposits 258.14B CAD Point-in-time
Personal PersonalDeposits 258.14B CAD Point-in-time
Business and government DepositsFromBusinessAndGovernment 435.50B CAD Point-in-time
Business and government DepositsFromBusinessAndGovernment 435.50B CAD Point-in-time
Business and government DepositsFromBusinessAndGovernment 457.28B CAD Point-in-time
Business and government DepositsFromBusinessAndGovernment 457.28B CAD Point-in-time
Bank DepositsFromBanks 20.01B CAD Point-in-time
Bank DepositsFromBanks 20.01B CAD Point-in-time
Bank DepositsFromBanks 26.72B CAD Point-in-time
Bank DepositsFromBanks 26.72B CAD Point-in-time
Secured borrowings AssociatedLiabilitiesThatEntityContinuesToRecognise 56.45B CAD Point-in-time
Secured borrowings AssociatedLiabilitiesThatEntityContinuesToRecognise 56.45B CAD Point-in-time
Secured borrowings AssociatedLiabilitiesThatEntityContinuesToRecognise 65.98B CAD Point-in-time
Secured borrowings AssociatedLiabilitiesThatEntityContinuesToRecognise 65.98B CAD Point-in-time
Deposits Deposits1 764.86B CAD Point-in-time
Deposits Deposits1 764.86B CAD Point-in-time
Deposits Deposits1 808.12B CAD Point-in-time
Deposits Deposits1 808.12B CAD Point-in-time
Obligations related to securities sold short ObligationsRelatedToSecuritiesSoldShort 21.64B CAD Point-in-time
Obligations related to securities sold short ObligationsRelatedToSecuritiesSoldShort 21.64B CAD Point-in-time
Obligations related to securities sold short ObligationsRelatedToSecuritiesSoldShort 24.24B CAD Point-in-time
Obligations related to securities sold short ObligationsRelatedToSecuritiesSoldShort 24.24B CAD Point-in-time
Cash collateral on securities lent CashCollateralOnSecuritiesLent 8.00B CAD Point-in-time
Cash collateral on securities lent CashCollateralOnSecuritiesLent 8.00B CAD Point-in-time
Cash collateral on securities lent CashCollateralOnSecuritiesLent 6.03B CAD Point-in-time
Cash collateral on securities lent CashCollateralOnSecuritiesLent 6.03B CAD Point-in-time
Obligations related to securities sold under repurchase agreements ObligationsRelatedToSecuritiesSoldUnderRepurchaseAgreements 110.15B CAD Point-in-time
Obligations related to securities sold under repurchase agreements ObligationsRelatedToSecuritiesSoldUnderRepurchaseAgreements 110.15B CAD Point-in-time
Obligations related to securities sold under repurchase agreements ObligationsRelatedToSecuritiesSoldUnderRepurchaseAgreements 130.04B CAD Point-in-time
Obligations related to securities sold under repurchase agreements ObligationsRelatedToSecuritiesSoldUnderRepurchaseAgreements 130.04B CAD Point-in-time
Derivative instruments (Note 12) DerivativeFinancialLiabilities 40.65B CAD Point-in-time
Derivative instruments (Note 12) DerivativeFinancialLiabilities 40.65B CAD Point-in-time
Derivative instruments (Note 12) DerivativeFinancialLiabilities 41.41B CAD Point-in-time
Derivative instruments (Note 12) DerivativeFinancialLiabilities 41.41B CAD Point-in-time
Deferred tax liabilities (Note 18) DeferredTaxLiabilities 49.00M CAD Point-in-time
Deferred tax liabilities (Note 18) DeferredTaxLiabilities 49.00M CAD Point-in-time
Deferred tax liabilities (Note 18) DeferredTaxLiabilities 47.00M CAD Point-in-time
Deferred tax liabilities (Note 18) DeferredTaxLiabilities 47.00M CAD Point-in-time
Other liabilities (Note 11) OtherLiabilities 30.16B CAD Point-in-time
Other liabilities (Note 11) OtherLiabilities 30.16B CAD Point-in-time
Other liabilities (Note 11) OtherLiabilities 34.81B CAD Point-in-time
Other liabilities (Note 11) OtherLiabilities 34.81B CAD Point-in-time
Other miscellaneous liabilities OtherMiscellaneousLiabilities 70.86B CAD Point-in-time
Other miscellaneous liabilities OtherMiscellaneousLiabilities 70.86B CAD Point-in-time
Other miscellaneous liabilities OtherMiscellaneousLiabilities 76.27B CAD Point-in-time
Other miscellaneous liabilities OtherMiscellaneousLiabilities 76.27B CAD Point-in-time
Subordinated indebtedness (Note 14) SubordinatedLiabilities 7.46B CAD Point-in-time
Subordinated indebtedness (Note 14) SubordinatedLiabilities 7.46B CAD Point-in-time
Subordinated indebtedness (Note 14) SubordinatedLiabilities 7.82B CAD Point-in-time
Subordinated indebtedness (Note 14) SubordinatedLiabilities 7.82B CAD Point-in-time
Total liabilities Liabilities 982.98B CAD Point-in-time
Total liabilities Liabilities 982.98B CAD Point-in-time
Total liabilities Liabilities 1,052.53B CAD Point-in-time
Total liabilities Liabilities 1,052.53B CAD Point-in-time
Contributed surplus AdditionalPaidinCapital 159.00M CAD Point-in-time
Contributed surplus AdditionalPaidinCapital 159.00M CAD Point-in-time
Contributed surplus AdditionalPaidinCapital 226.00M CAD Point-in-time
Contributed surplus AdditionalPaidinCapital 226.00M CAD Point-in-time
Retained earnings RetainedEarnings 33.47B CAD Point-in-time
Retained earnings RetainedEarnings 33.47B CAD Point-in-time
Retained earnings RetainedEarnings 36.47B CAD Point-in-time
Retained earnings RetainedEarnings 36.47B CAD Point-in-time
Accumulated other comprehensive income (AOCI) AccumulatedOtherComprehensiveIncome 3.15B CAD Point-in-time
Accumulated other comprehensive income (AOCI) AccumulatedOtherComprehensiveIncome 3.15B CAD Point-in-time
Accumulated other comprehensive income (AOCI) AccumulatedOtherComprehensiveIncome 4.22B CAD Point-in-time
Accumulated other comprehensive income (AOCI) AccumulatedOtherComprehensiveIncome 4.22B CAD Point-in-time
Total shareholders' equity EquityAttributableToOwnersOfParent 58.73B CAD Point-in-time
Total shareholders' equity EquityAttributableToOwnersOfParent 58.73B CAD Point-in-time
Total shareholders' equity EquityAttributableToOwnersOfParent 64.13B CAD Point-in-time
Total shareholders' equity EquityAttributableToOwnersOfParent 64.13B CAD Point-in-time
Non-controlling interests NoncontrollingInterests 272.00M CAD Point-in-time
Non-controlling interests NoncontrollingInterests 272.00M CAD Point-in-time
Non-controlling interests NoncontrollingInterests 284.00M CAD Point-in-time
Non-controlling interests NoncontrollingInterests 284.00M CAD Point-in-time
Total equity Equity 59.01B CAD Point-in-time
Total equity Equity 59.01B CAD Point-in-time
Total equity Equity 64.41B CAD Point-in-time
Total equity Equity 64.41B CAD Point-in-time
Total liabilities and equity EquityAndLiabilities 1,041.98B CAD Point-in-time
Total liabilities and equity EquityAndLiabilities 1,041.98B CAD Point-in-time
Total liabilities and equity EquityAndLiabilities 1,116.94B CAD Point-in-time
Total liabilities and equity EquityAndLiabilities 1,116.94B CAD Point-in-time
Income Statement 192 line items
Line Item Tag Value Unit Period
Interest income calculated based on effective interest method InterestRevenueCalculatedUsingEffectiveInterestMethod 48.50B CAD Annual
Interest income calculated based on effective interest method InterestRevenueCalculatedUsingEffectiveInterestMethod 48.50B CAD Annual
Interest income calculated based on effective interest method InterestRevenueCalculatedUsingEffectiveInterestMethod 44.30B CAD Annual
Interest income calculated based on effective interest method InterestRevenueCalculatedUsingEffectiveInterestMethod 44.30B CAD Annual
Loans InterestIncomeOnLoansAndAdvancesToCustomers 33.92B CAD Annual
Loans InterestIncomeOnLoansAndAdvancesToCustomers 33.92B CAD Annual
Loans InterestIncomeOnLoansAndAdvancesToCustomers 32.07B CAD Annual
Loans InterestIncomeOnLoansAndAdvancesToCustomers 32.07B CAD Annual
Securities InterestIncomeOnSecurities 9.56B CAD Annual
Securities InterestIncomeOnSecurities 9.56B CAD Annual
Securities InterestIncomeOnSecurities 9.04B CAD Annual
Securities InterestIncomeOnSecurities 9.04B CAD Annual
Securities borrowed or purchased under resale agreements InterestIncomeOnReverseRepurchaseAgreementsAndCashCollateralOnSecuritiesBorrowed 5.81B CAD Annual
Securities borrowed or purchased under resale agreements InterestIncomeOnReverseRepurchaseAgreementsAndCashCollateralOnSecuritiesBorrowed 5.81B CAD Annual
Securities borrowed or purchased under resale agreements InterestIncomeOnReverseRepurchaseAgreementsAndCashCollateralOnSecuritiesBorrowed 5.26B CAD Annual
Securities borrowed or purchased under resale agreements InterestIncomeOnReverseRepurchaseAgreementsAndCashCollateralOnSecuritiesBorrowed 5.26B CAD Annual
Deposits with banks and other InterestIncomeOnDeposits 2.89B CAD Annual
Deposits with banks and other InterestIncomeOnDeposits 2.89B CAD Annual
Deposits with banks and other InterestIncomeOnDeposits 2.38B CAD Annual
Deposits with banks and other InterestIncomeOnDeposits 2.38B CAD Annual
Interest income RevenueFromInterest 52.19B CAD Annual
Interest income RevenueFromInterest 52.19B CAD Annual
Interest income RevenueFromInterest 48.76B CAD Annual
Interest income RevenueFromInterest 48.76B CAD Annual
Deposits InterestExpenseOnDeposits 30.48B CAD Annual
Deposits InterestExpenseOnDeposits 30.48B CAD Annual
Deposits InterestExpenseOnDeposits 25.11B CAD Annual
Deposits InterestExpenseOnDeposits 25.11B CAD Annual
Securities sold short InterestExpenseOnSecuritiesSoldShort 625.00M CAD Annual
Securities sold short InterestExpenseOnSecuritiesSoldShort 625.00M CAD Annual
Securities sold short InterestExpenseOnSecuritiesSoldShort 565.00M CAD Annual
Securities sold short InterestExpenseOnSecuritiesSoldShort 565.00M CAD Annual
Securities lent or sold under repurchase agreements InterestExpenseOnRepurchaseAgreementsAndCashCollateralOnSecuritiesLent 6.33B CAD Annual
Securities lent or sold under repurchase agreements InterestExpenseOnRepurchaseAgreementsAndCashCollateralOnSecuritiesLent 6.33B CAD Annual
Securities lent or sold under repurchase agreements InterestExpenseOnRepurchaseAgreementsAndCashCollateralOnSecuritiesLent 6.52B CAD Annual
Securities lent or sold under repurchase agreements InterestExpenseOnRepurchaseAgreementsAndCashCollateralOnSecuritiesLent 6.52B CAD Annual
Subordinated indebtedness InterestExpenseOnSubordinatedDebtInstruments 510.00M CAD Annual
Subordinated indebtedness InterestExpenseOnSubordinatedDebtInstruments 510.00M CAD Annual
Subordinated indebtedness InterestExpenseOnSubordinatedDebtInstruments 407.00M CAD Annual
Subordinated indebtedness InterestExpenseOnSubordinatedDebtInstruments 407.00M CAD Annual
Other InterestExpenseOnOtherFinancialLiabilities 545.00M CAD Annual
Other InterestExpenseOnOtherFinancialLiabilities 545.00M CAD Annual
Other InterestExpenseOnOtherFinancialLiabilities 389.00M CAD Annual
Other InterestExpenseOnOtherFinancialLiabilities 389.00M CAD Annual
Interest expense InterestExpense 38.49B CAD Annual
Interest expense InterestExpense 38.49B CAD Annual
Interest expense InterestExpense 32.99B CAD Annual
Interest expense InterestExpense 32.99B CAD Annual
Net interest income InterestIncomeExpenseNet1 13.70B CAD Annual
Net interest income InterestIncomeExpenseNet1 13.70B CAD Annual
Net interest income InterestIncomeExpenseNet1 15.77B CAD Annual
Net interest income InterestIncomeExpenseNet1 15.77B CAD Annual
Underwriting and advisory fees UnderwritingAndAdvisoryFeeIncome 707.00M CAD Annual
Underwriting and advisory fees UnderwritingAndAdvisoryFeeIncome 707.00M CAD Annual
Underwriting and advisory fees UnderwritingAndAdvisoryFeeIncome 915.00M CAD Annual
Underwriting and advisory fees UnderwritingAndAdvisoryFeeIncome 915.00M CAD Annual
Deposit and payment fees DepositAndPaymentFeeIncome 958.00M CAD Annual
Deposit and payment fees DepositAndPaymentFeeIncome 958.00M CAD Annual
Deposit and payment fees DepositAndPaymentFeeIncome 996.00M CAD Annual
Deposit and payment fees DepositAndPaymentFeeIncome 996.00M CAD Annual
Credit fees CreditrelatedFeeAndCommissionIncome 1.22B CAD Annual
Credit fees CreditrelatedFeeAndCommissionIncome 1.22B CAD Annual
Credit fees CreditrelatedFeeAndCommissionIncome 1.01B CAD Annual
Credit fees CreditrelatedFeeAndCommissionIncome 1.01B CAD Annual
Card fees CreditCardFeeIncome 414.00M CAD Annual
Card fees CreditCardFeeIncome 414.00M CAD Annual
Card fees CreditCardFeeIncome 402.00M CAD Annual
Card fees CreditCardFeeIncome 402.00M CAD Annual
Investment management and custodial fees PortfolioAndOtherManagementFeeIncome 1.98B CAD Annual
Investment management and custodial fees PortfolioAndOtherManagementFeeIncome 1.98B CAD Annual
Investment management and custodial fees PortfolioAndOtherManagementFeeIncome 2.24B CAD Annual
Investment management and custodial fees PortfolioAndOtherManagementFeeIncome 2.24B CAD Annual
Mutual fund fees MutualFundRevenue 1.80B CAD Annual
Mutual fund fees MutualFundRevenue 1.80B CAD Annual
Mutual fund fees MutualFundRevenue 2.02B CAD Annual
Mutual fund fees MutualFundRevenue 2.02B CAD Annual
Income from insurance activities, net IncomeFromInsuranceActivitiesNet 356.00M CAD Annual
Income from insurance activities, net IncomeFromInsuranceActivitiesNet 356.00M CAD Annual
Income from insurance activities, net IncomeFromInsuranceActivitiesNet 317.00M CAD Annual
Income from insurance activities, net IncomeFromInsuranceActivitiesNet 317.00M CAD Annual
Commissions on securities transactions BrokerageFeeIncome 431.00M CAD Annual
Commissions on securities transactions BrokerageFeeIncome 431.00M CAD Annual
Commissions on securities transactions BrokerageFeeIncome 554.00M CAD Annual
Commissions on securities transactions BrokerageFeeIncome 554.00M CAD Annual
Gains (losses) from financial instruments measured/designated at fair value through profit or loss (FVTPL), net GainsLossesFromFinancialInstrumentsMeasuredDesignatedAtFairValueThroughProfitOrLossNet 3.23B CAD Annual
Gains (losses) from financial instruments measured/designated at fair value through profit or loss (FVTPL), net GainsLossesFromFinancialInstrumentsMeasuredDesignatedAtFairValueThroughProfitOrLossNet 3.23B CAD Annual
Gains (losses) from financial instruments measured/designated at fair value through profit or loss (FVTPL), net GainsLossesFromFinancialInstrumentsMeasuredDesignatedAtFairValueThroughProfitOrLossNet 4.02B CAD Annual
Gains (losses) from financial instruments measured/designated at fair value through profit or loss (FVTPL), net GainsLossesFromFinancialInstrumentsMeasuredDesignatedAtFairValueThroughProfitOrLossNet 4.02B CAD Annual
Gains (losses) from debt securities measured at fair value through other comprehensive income (FVOCI) and amortized cost, net GainsLossesFromDebtSecuritiesMeasuredAtFairValueThroughOtherComprehensiveIncomeAndAmortizedCostNet 43.00M CAD Annual
Gains (losses) from debt securities measured at fair value through other comprehensive income (FVOCI) and amortized cost, net GainsLossesFromDebtSecuritiesMeasuredAtFairValueThroughOtherComprehensiveIncomeAndAmortizedCostNet 43.00M CAD Annual
Gains (losses) from debt securities measured at fair value through other comprehensive income (FVOCI) and amortized cost, net GainsLossesFromDebtSecuritiesMeasuredAtFairValueThroughOtherComprehensiveIncomeAndAmortizedCostNet -14.00M CAD Annual
Gains (losses) from debt securities measured at fair value through other comprehensive income (FVOCI) and amortized cost, net GainsLossesFromDebtSecuritiesMeasuredAtFairValueThroughOtherComprehensiveIncomeAndAmortizedCostNet -14.00M CAD Annual
Foreign exchange other than trading (FXOTT) GainsLossesOnExchangeDifferencesOnTranslationRecognisedInProfitOrLoss 386.00M CAD Annual
Foreign exchange other than trading (FXOTT) GainsLossesOnExchangeDifferencesOnTranslationRecognisedInProfitOrLoss 386.00M CAD Annual
Foreign exchange other than trading (FXOTT) GainsLossesOnExchangeDifferencesOnTranslationRecognisedInProfitOrLoss 369.00M CAD Annual
Foreign exchange other than trading (FXOTT) GainsLossesOnExchangeDifferencesOnTranslationRecognisedInProfitOrLoss 369.00M CAD Annual
Income from equity-accounted associates and joint ventures (Note 24) ShareOfProfitLossOfAssociatesAndJointVenturesAccountedForUsingEquityMethod 79.00M CAD Annual
Income from equity-accounted associates and joint ventures (Note 24) ShareOfProfitLossOfAssociatesAndJointVenturesAccountedForUsingEquityMethod 79.00M CAD Annual
Income from equity-accounted associates and joint ventures (Note 24) ShareOfProfitLossOfAssociatesAndJointVenturesAccountedForUsingEquityMethod 117.00M CAD Annual
Income from equity-accounted associates and joint ventures (Note 24) ShareOfProfitLossOfAssociatesAndJointVenturesAccountedForUsingEquityMethod 117.00M CAD Annual
Other OtherRevenue 317.00M CAD Annual
Other OtherRevenue 317.00M CAD Annual
Other OtherRevenue 411.00M CAD Annual
Other OtherRevenue 411.00M CAD Annual
Non-interest income NonInterestIncome1 11.91B CAD Annual
Non-interest income NonInterestIncome1 11.91B CAD Annual
Non-interest income NonInterestIncome1 13.36B CAD Annual
Non-interest income NonInterestIncome1 13.36B CAD Annual
Total revenue Revenue 25.61B CAD Annual
Total revenue Revenue 25.61B CAD Annual
Total revenue Revenue 29.13B CAD Annual
Total revenue Revenue 29.13B CAD Annual
Provision for credit losses (Note 5) IncreaseDecreaseInAllowanceAccountForCreditLossesOfLoans 2.00B CAD Annual
Provision for credit losses (Note 5) IncreaseDecreaseInAllowanceAccountForCreditLossesOfLoans 2.00B CAD Annual
Provision for credit losses (Note 5) IncreaseDecreaseInAllowanceAccountForCreditLossesOfLoans 2.34B CAD Annual
Provision for credit losses (Note 5) IncreaseDecreaseInAllowanceAccountForCreditLossesOfLoans 2.34B CAD Annual
Employee compensation and benefits EmployeeBenefitsExpense 8.26B CAD Annual
Employee compensation and benefits EmployeeBenefitsExpense 8.26B CAD Annual
Employee compensation and benefits EmployeeBenefitsExpense 9.27B CAD Annual
Employee compensation and benefits EmployeeBenefitsExpense 9.27B CAD Annual
Occupancy costs OccupancyExpense 830.00M CAD Annual
Occupancy costs OccupancyExpense 830.00M CAD Annual
Occupancy costs OccupancyExpense 847.00M CAD Annual
Occupancy costs OccupancyExpense 847.00M CAD Annual
Computer, software and office equipment ComputerAndSoftwareAndOfficeEquipment 2.72B CAD Annual
Computer, software and office equipment ComputerAndSoftwareAndOfficeEquipment 2.72B CAD Annual
Computer, software and office equipment ComputerAndSoftwareAndOfficeEquipment 2.95B CAD Annual
Computer, software and office equipment ComputerAndSoftwareAndOfficeEquipment 2.95B CAD Annual
Communications CommunicationExpense 362.00M CAD Annual
Communications CommunicationExpense 362.00M CAD Annual
Communications CommunicationExpense 395.00M CAD Annual
Communications CommunicationExpense 395.00M CAD Annual
Advertising and business development AdvertisingAndBusinessDevelopmentExpense 344.00M CAD Annual
Advertising and business development AdvertisingAndBusinessDevelopmentExpense 344.00M CAD Annual
Advertising and business development AdvertisingAndBusinessDevelopmentExpense 398.00M CAD Annual
Advertising and business development AdvertisingAndBusinessDevelopmentExpense 398.00M CAD Annual
Professional fees ProfessionalFeesExpense 257.00M CAD Annual
Professional fees ProfessionalFeesExpense 257.00M CAD Annual
Professional fees ProfessionalFeesExpense 284.00M CAD Annual
Professional fees ProfessionalFeesExpense 284.00M CAD Annual
Business and capital taxes TaxExpenseOtherThanIncomeTaxExpense 128.00M CAD Annual
Business and capital taxes TaxExpenseOtherThanIncomeTaxExpense 128.00M CAD Annual
Business and capital taxes TaxExpenseOtherThanIncomeTaxExpense 124.00M CAD Annual
Business and capital taxes TaxExpenseOtherThanIncomeTaxExpense 124.00M CAD Annual
Other (Notes 3 and 8) OtherExpenseByNature 1.54B CAD Annual
Other (Notes 3 and 8) OtherExpenseByNature 1.54B CAD Annual
Other (Notes 3 and 8) OtherExpenseByNature 1.59B CAD Annual
Other (Notes 3 and 8) OtherExpenseByNature 1.59B CAD Annual
Non-interest expenses NonInterestExpense1 14.44B CAD Annual
Non-interest expenses NonInterestExpense1 14.44B CAD Annual
Non-interest expenses NonInterestExpense1 15.85B CAD Annual
Non-interest expenses NonInterestExpense1 15.85B CAD Annual
Income before income taxes ProfitLossBeforeTax 9.17B CAD Annual
Income before income taxes ProfitLossBeforeTax 9.17B CAD Annual
Income before income taxes ProfitLossBeforeTax 10.94B CAD Annual
Income before income taxes ProfitLossBeforeTax 10.94B CAD Annual
Income taxes (Note 18) IncomeTaxExpenseContinuingOperations 2.01B CAD Annual
Income taxes (Note 18) IncomeTaxExpenseContinuingOperations 2.01B CAD Annual
Income taxes (Note 18) IncomeTaxExpenseContinuingOperations 2.48B CAD Annual
Income taxes (Note 18) IncomeTaxExpenseContinuingOperations 2.48B CAD Annual
Net income ProfitLoss 7.15B CAD Annual
Net income ProfitLoss 7.15B CAD Annual
Net income ProfitLoss 8.45B CAD Annual
Net income ProfitLoss 8.45B CAD Annual
Net income attributable to non-controlling interests ProfitLossAttributableToNoncontrollingInterests 39.00M CAD Annual
Net income attributable to non-controlling interests ProfitLossAttributableToNoncontrollingInterests 39.00M CAD Annual
Net income attributable to non-controlling interests ProfitLossAttributableToNoncontrollingInterests 25.00M CAD Annual
Net income attributable to non-controlling interests ProfitLossAttributableToNoncontrollingInterests 25.00M CAD Annual
Preferred shareholders and other equity instrument holders ProfitLossAttributableToPreferredShareholdersAndOtherEquityInstrumentHolders 263.00M CAD Annual
Preferred shareholders and other equity instrument holders ProfitLossAttributableToPreferredShareholdersAndOtherEquityInstrumentHolders 263.00M CAD Annual
Preferred shareholders and other equity instrument holders ProfitLossAttributableToPreferredShareholdersAndOtherEquityInstrumentHolders 364.00M CAD Annual
Preferred shareholders and other equity instrument holders ProfitLossAttributableToPreferredShareholdersAndOtherEquityInstrumentHolders 364.00M CAD Annual
Common shareholders ProfitLossAttributableToCommonShareholders 6.85B CAD Annual
Common shareholders ProfitLossAttributableToCommonShareholders 6.85B CAD Annual
Common shareholders ProfitLossAttributableToCommonShareholders 8.06B CAD Annual
Common shareholders ProfitLossAttributableToCommonShareholders 8.06B CAD Annual
Net income attributable to equity shareholders ProfitLossAttributableToOwnersOfParent 7.12B CAD Annual
Net income attributable to equity shareholders ProfitLossAttributableToOwnersOfParent 7.12B CAD Annual
Net income attributable to equity shareholders ProfitLossAttributableToOwnersOfParent 8.43B CAD Annual
Net income attributable to equity shareholders ProfitLossAttributableToOwnersOfParent 8.43B CAD Annual
Basic BasicEarningsLossPerShare 7.29 CAD Annual
Basic BasicEarningsLossPerShare 7.29 CAD Annual
Basic BasicEarningsLossPerShare 8.62 CAD Annual
Basic BasicEarningsLossPerShare 8.62 CAD Annual
Diluted DilutedEarningsLossPerShare 7.28 CAD Annual
Diluted DilutedEarningsLossPerShare 7.28 CAD Annual
Diluted DilutedEarningsLossPerShare 8.57 CAD Annual
Diluted DilutedEarningsLossPerShare 8.57 CAD Annual
Dividends per common share (in dollars) (Note 15) DividendsPaidOrdinarySharesPerShare 3.60 CAD Annual
Dividends per common share (in dollars) (Note 15) DividendsPaidOrdinarySharesPerShare 3.60 CAD Annual
Dividends per common share (in dollars) (Note 15) DividendsPaidOrdinarySharesPerShare 3.88 CAD Annual
Dividends per common share (in dollars) (Note 15) DividendsPaidOrdinarySharesPerShare 3.88 CAD Annual
Cash Flow Statement 202 line items
Line Item Tag Value Unit Period
Restricted cash RestrictedCashAndCashEquivalents 466.00M CAD Point-in-time
Restricted cash RestrictedCashAndCashEquivalents 466.00M CAD Point-in-time
Restricted cash RestrictedCashAndCashEquivalents 579.00M CAD Point-in-time
Restricted cash RestrictedCashAndCashEquivalents 579.00M CAD Point-in-time
Net income ProfitLoss 7.15B CAD Annual
Net income ProfitLoss 7.15B CAD Annual
Net income ProfitLoss 8.45B CAD Annual
Net income ProfitLoss 8.45B CAD Annual
Provision for credit losses AdjustmentsForImpairmentLossReversalOfImpairmentLossRecognisedInProfitOrLoss 2.00B CAD Annual
Provision for credit losses AdjustmentsForImpairmentLossReversalOfImpairmentLossRecognisedInProfitOrLoss 2.00B CAD Annual
Provision for credit losses AdjustmentsForImpairmentLossReversalOfImpairmentLossRecognisedInProfitOrLoss 2.34B CAD Annual
Provision for credit losses AdjustmentsForImpairmentLossReversalOfImpairmentLossRecognisedInProfitOrLoss 2.34B CAD Annual
Amortization and impairment AdjustmentsForDepreciationAndAmortisationExpenseAndImpairmentLossReversalOfImpairmentLossRecognisedInProfitOrLoss 1.17B CAD Annual
Amortization and impairment AdjustmentsForDepreciationAndAmortisationExpenseAndImpairmentLossReversalOfImpairmentLossRecognisedInProfitOrLoss 1.17B CAD Annual
Amortization and impairment AdjustmentsForDepreciationAndAmortisationExpenseAndImpairmentLossReversalOfImpairmentLossRecognisedInProfitOrLoss 1.18B CAD Annual
Amortization and impairment AdjustmentsForDepreciationAndAmortisationExpenseAndImpairmentLossReversalOfImpairmentLossRecognisedInProfitOrLoss 1.18B CAD Annual
Stock options and restricted shares expense AdjustmentsForSharebasedPayments 16.00M CAD Annual
Stock options and restricted shares expense AdjustmentsForSharebasedPayments 16.00M CAD Annual
Stock options and restricted shares expense AdjustmentsForSharebasedPayments 20.00M CAD Annual
Stock options and restricted shares expense AdjustmentsForSharebasedPayments 20.00M CAD Annual
Deferred income taxes AdjustmentsForDeferredTaxExpense -244.00M CAD Annual
Deferred income taxes AdjustmentsForDeferredTaxExpense -244.00M CAD Annual
Deferred income taxes AdjustmentsForDeferredTaxExpense -257.00M CAD Annual
Deferred income taxes AdjustmentsForDeferredTaxExpense -257.00M CAD Annual
Losses (gains) from debt securities measured at FVOCI and amortized cost GainsLossesFromDebtSecuritiesMeasuredAtFairValueThroughOtherComprehensiveIncomeAndAmortizedCostNet 43.00M CAD Annual
Losses (gains) from debt securities measured at FVOCI and amortized cost GainsLossesFromDebtSecuritiesMeasuredAtFairValueThroughOtherComprehensiveIncomeAndAmortizedCostNet 43.00M CAD Annual
Losses (gains) from debt securities measured at FVOCI and amortized cost GainsLossesFromDebtSecuritiesMeasuredAtFairValueThroughOtherComprehensiveIncomeAndAmortizedCostNet -14.00M CAD Annual
Losses (gains) from debt securities measured at FVOCI and amortized cost GainsLossesFromDebtSecuritiesMeasuredAtFairValueThroughOtherComprehensiveIncomeAndAmortizedCostNet -14.00M CAD Annual
Net losses (gains) on disposal of property and equipment GainsLossesOnDisposalsOfPropertyPlantAndEquipment 1.00M CAD Annual
Net losses (gains) on disposal of property and equipment GainsLossesOnDisposalsOfPropertyPlantAndEquipment 1.00M CAD Annual
Net losses (gains) on disposal of property and equipment GainsLossesOnDisposalsOfPropertyPlantAndEquipment 2.00M CAD Annual
Net losses (gains) on disposal of property and equipment GainsLossesOnDisposalsOfPropertyPlantAndEquipment 2.00M CAD Annual
Other non-cash items, net OtherAdjustmentsForNoncashItems -1.82B CAD Annual
Other non-cash items, net OtherAdjustmentsForNoncashItems -1.82B CAD Annual
Other non-cash items, net OtherAdjustmentsForNoncashItems -16.00M CAD Annual
Other non-cash items, net OtherAdjustmentsForNoncashItems -16.00M CAD Annual
Interest-bearing deposits with banks AdjustmentsForDecreaseIncreaseInInterestBearingDepositsWithBanks -4.60B CAD Annual
Interest-bearing deposits with banks AdjustmentsForDecreaseIncreaseInInterestBearingDepositsWithBanks -4.60B CAD Annual
Interest-bearing deposits with banks AdjustmentsForDecreaseIncreaseInInterestBearingDepositsWithBanks 7.88B CAD Annual
Interest-bearing deposits with banks AdjustmentsForDecreaseIncreaseInInterestBearingDepositsWithBanks 7.88B CAD Annual
Loans, net of repayments AdjustmentsForDecreaseIncreaseInLoansNetOfRepayments -28.93B CAD Annual
Loans, net of repayments AdjustmentsForDecreaseIncreaseInLoansNetOfRepayments -28.93B CAD Annual
Loans, net of repayments AdjustmentsForDecreaseIncreaseInLoansNetOfRepayments -33.38B CAD Annual
Loans, net of repayments AdjustmentsForDecreaseIncreaseInLoansNetOfRepayments -33.38B CAD Annual
Deposits, net of withdrawals AdjustmentsForIncreaseDecreaseInDepositsNetOfWithdrawals 34.47B CAD Annual
Deposits, net of withdrawals AdjustmentsForIncreaseDecreaseInDepositsNetOfWithdrawals 34.47B CAD Annual
Deposits, net of withdrawals AdjustmentsForIncreaseDecreaseInDepositsNetOfWithdrawals 37.18B CAD Annual
Deposits, net of withdrawals AdjustmentsForIncreaseDecreaseInDepositsNetOfWithdrawals 37.18B CAD Annual
Obligations related to securities sold short AdjustmentsForIncreaseDecreaseInObligationsRelatedToSecuritiesSoldShort 2.98B CAD Annual
Obligations related to securities sold short AdjustmentsForIncreaseDecreaseInObligationsRelatedToSecuritiesSoldShort 2.98B CAD Annual
Obligations related to securities sold short AdjustmentsForIncreaseDecreaseInObligationsRelatedToSecuritiesSoldShort 2.60B CAD Annual
Obligations related to securities sold short AdjustmentsForIncreaseDecreaseInObligationsRelatedToSecuritiesSoldShort 2.60B CAD Annual
Accrued interest receivable AdjustmentsForDecreaseIncreaseInAccruedInterestReceivable -711.00M CAD Annual
Accrued interest receivable AdjustmentsForDecreaseIncreaseInAccruedInterestReceivable -711.00M CAD Annual
Accrued interest receivable AdjustmentsForDecreaseIncreaseInAccruedInterestReceivable 44.00M CAD Annual
Accrued interest receivable AdjustmentsForDecreaseIncreaseInAccruedInterestReceivable 44.00M CAD Annual
Accrued interest payable AdjustmentsForIncreaseDecreaseInAccruedInterestPayable -452.00M CAD Annual
Accrued interest payable AdjustmentsForIncreaseDecreaseInAccruedInterestPayable -452.00M CAD Annual
Accrued interest payable AdjustmentsForIncreaseDecreaseInAccruedInterestPayable 983.00M CAD Annual
Accrued interest payable AdjustmentsForIncreaseDecreaseInAccruedInterestPayable 983.00M CAD Annual
Derivative assets AdjustmentsForDecreaseIncreaseInDerivativeFinancialAssets -3.24B CAD Annual
Derivative assets AdjustmentsForDecreaseIncreaseInDerivativeFinancialAssets -3.24B CAD Annual
Derivative assets AdjustmentsForDecreaseIncreaseInDerivativeFinancialAssets -1.92B CAD Annual
Derivative assets AdjustmentsForDecreaseIncreaseInDerivativeFinancialAssets -1.92B CAD Annual
Derivative liabilities AdjustmentsForIncreaseDecreaseInDerivativeFinancialLiabilities -813.00M CAD Annual
Derivative liabilities AdjustmentsForIncreaseDecreaseInDerivativeFinancialLiabilities -813.00M CAD Annual
Derivative liabilities AdjustmentsForIncreaseDecreaseInDerivativeFinancialLiabilities 328.00M CAD Annual
Derivative liabilities AdjustmentsForIncreaseDecreaseInDerivativeFinancialLiabilities 328.00M CAD Annual
Securities measured at FVTPL AdjustmentsForDecreaseIncreaseInSecuritiesMeasuredAtFairValueThroughProfitOrLoss -23.32B CAD Annual
Securities measured at FVTPL AdjustmentsForDecreaseIncreaseInSecuritiesMeasuredAtFairValueThroughProfitOrLoss -23.32B CAD Annual
Securities measured at FVTPL AdjustmentsForDecreaseIncreaseInSecuritiesMeasuredAtFairValueThroughProfitOrLoss -22.82B CAD Annual
Securities measured at FVTPL AdjustmentsForDecreaseIncreaseInSecuritiesMeasuredAtFairValueThroughProfitOrLoss -22.82B CAD Annual
Other assets and liabilities measured/designated at FVTPL AdjustmentsForDecreaseIncreaseInOtherAssetsAndLiabilitiesDesignatedAtFairValue 3.43B CAD Annual
Other assets and liabilities measured/designated at FVTPL AdjustmentsForDecreaseIncreaseInOtherAssetsAndLiabilitiesDesignatedAtFairValue 3.43B CAD Annual
Other assets and liabilities measured/designated at FVTPL AdjustmentsForDecreaseIncreaseInOtherAssetsAndLiabilitiesDesignatedAtFairValue 5.09B CAD Annual
Other assets and liabilities measured/designated at FVTPL AdjustmentsForDecreaseIncreaseInOtherAssetsAndLiabilitiesDesignatedAtFairValue 5.09B CAD Annual
Current income taxes AdjustmentsForIncomeTaxExpense -257.00M CAD Annual
Current income taxes AdjustmentsForIncomeTaxExpense -257.00M CAD Annual
Current income taxes AdjustmentsForIncomeTaxExpense -489.00M CAD Annual
Current income taxes AdjustmentsForIncomeTaxExpense -489.00M CAD Annual
Cash collateral on securities lent AdjustmentsForIncreaseDecreaseInCashCollateralOnSecuritiesLent -84.00M CAD Annual
Cash collateral on securities lent AdjustmentsForIncreaseDecreaseInCashCollateralOnSecuritiesLent -84.00M CAD Annual
Cash collateral on securities lent AdjustmentsForIncreaseDecreaseInCashCollateralOnSecuritiesLent -1.97B CAD Annual
Cash collateral on securities lent AdjustmentsForIncreaseDecreaseInCashCollateralOnSecuritiesLent -1.97B CAD Annual
Obligations related to securities sold under repurchase agreements AdjustmentsForIncreaseDecreaseInObligationsRelatedToSecuritiesSoldUnderRepurchaseAgreements 23.04B CAD Annual
Obligations related to securities sold under repurchase agreements AdjustmentsForIncreaseDecreaseInObligationsRelatedToSecuritiesSoldUnderRepurchaseAgreements 23.04B CAD Annual
Obligations related to securities sold under repurchase agreements AdjustmentsForIncreaseDecreaseInObligationsRelatedToSecuritiesSoldUnderRepurchaseAgreements 19.89B CAD Annual
Obligations related to securities sold under repurchase agreements AdjustmentsForIncreaseDecreaseInObligationsRelatedToSecuritiesSoldUnderRepurchaseAgreements 19.89B CAD Annual
Cash collateral on securities borrowed AdjustmentsForDecreaseIncreaseInCashCollateralOnSecuritiesBorrowed -2.38B CAD Annual
Cash collateral on securities borrowed AdjustmentsForDecreaseIncreaseInCashCollateralOnSecuritiesBorrowed -2.38B CAD Annual
Cash collateral on securities borrowed AdjustmentsForDecreaseIncreaseInCashCollateralOnSecuritiesBorrowed -4.67B CAD Annual
Cash collateral on securities borrowed AdjustmentsForDecreaseIncreaseInCashCollateralOnSecuritiesBorrowed -4.67B CAD Annual
Securities purchased under resale agreements AdjustmentsForDecreaseIncreaseInSecuritiesPurchasedUnderResaleAgreements -3.54B CAD Annual
Securities purchased under resale agreements AdjustmentsForDecreaseIncreaseInSecuritiesPurchasedUnderResaleAgreements -3.54B CAD Annual
Securities purchased under resale agreements AdjustmentsForDecreaseIncreaseInSecuritiesPurchasedUnderResaleAgreements -2.97B CAD Annual
Securities purchased under resale agreements AdjustmentsForDecreaseIncreaseInSecuritiesPurchasedUnderResaleAgreements -2.97B CAD Annual
Other, net OtherAdjustmentsToReconcileProfitLoss 6.36B CAD Annual
Other, net OtherAdjustmentsToReconcileProfitLoss 6.36B CAD Annual
Other, net OtherAdjustmentsToReconcileProfitLoss -1.71B CAD Annual
Other, net OtherAdjustmentsToReconcileProfitLoss -1.71B CAD Annual
Net cash flows provided by (used in) operating activities CashFlowsFromUsedInOperatingActivities 11.09B CAD Annual
Net cash flows provided by (used in) operating activities CashFlowsFromUsedInOperatingActivities 11.09B CAD Annual
Net cash flows provided by (used in) operating activities CashFlowsFromUsedInOperatingActivities 13.84B CAD Annual
Net cash flows provided by (used in) operating activities CashFlowsFromUsedInOperatingActivities 13.84B CAD Annual
Issue of subordinated indebtedness ProceedsFromIssuanceOfSubordinatedIndebtedness 2.25B CAD Annual
Issue of subordinated indebtedness ProceedsFromIssuanceOfSubordinatedIndebtedness 2.25B CAD Annual
Issue of subordinated indebtedness ProceedsFromIssuanceOfSubordinatedIndebtedness 1.25B CAD Annual
Issue of subordinated indebtedness ProceedsFromIssuanceOfSubordinatedIndebtedness 1.25B CAD Annual
Redemption/repurchase/maturity of subordinated indebtedness RedemptionOfSubordinatedIndebtedness 1.54B CAD Annual
Redemption/repurchase/maturity of subordinated indebtedness RedemptionOfSubordinatedIndebtedness 1.54B CAD Annual
Redemption/repurchase/maturity of subordinated indebtedness RedemptionOfSubordinatedIndebtedness 1.07B CAD Annual
Redemption/repurchase/maturity of subordinated indebtedness RedemptionOfSubordinatedIndebtedness 1.07B CAD Annual
Issue of preferred shares and LRCNs, net of issuance cost ProceedsFromIssueOfPreferenceSharesNetOfIssuanceCost 996.00M CAD Annual
Issue of preferred shares and LRCNs, net of issuance cost ProceedsFromIssueOfPreferenceSharesNetOfIssuanceCost 996.00M CAD Annual
Issue of preferred shares and LRCNs, net of issuance cost ProceedsFromIssueOfPreferenceSharesNetOfIssuanceCost 2.76B CAD Annual
Issue of preferred shares and LRCNs, net of issuance cost ProceedsFromIssueOfPreferenceSharesNetOfIssuanceCost 2.76B CAD Annual
Redemption of preferred shares and LRCNs PaymentsToAcquireOrRedeemEntitysShares 975.00M CAD Annual
Redemption of preferred shares and LRCNs PaymentsToAcquireOrRedeemEntitysShares 975.00M CAD Annual
Redemption of preferred shares and LRCNs PaymentsToAcquireOrRedeemEntitysShares 1.35B CAD Annual
Redemption of preferred shares and LRCNs PaymentsToAcquireOrRedeemEntitysShares 1.35B CAD Annual
Issue of common shares for cash ProceedsFromIssueOfOrdinaryShares 312.00M CAD Annual
Issue of common shares for cash ProceedsFromIssueOfOrdinaryShares 312.00M CAD Annual
Issue of common shares for cash ProceedsFromIssueOfOrdinaryShares 158.00M CAD Annual
Issue of common shares for cash ProceedsFromIssueOfOrdinaryShares 158.00M CAD Annual
Purchase of common shares for cancellation PaymentForPurchaseOfCommonSharesForCancellation 419.00M CAD Annual
Purchase of common shares for cancellation PaymentForPurchaseOfCommonSharesForCancellation 419.00M CAD Annual
Purchase of common shares for cancellation PaymentForPurchaseOfCommonSharesForCancellation 1.73B CAD Annual
Purchase of common shares for cancellation PaymentForPurchaseOfCommonSharesForCancellation 1.73B CAD Annual
Net sale (purchase) of treasury shares PurchaseOfProceedsFromSaleOfTreasuryStockNet -4.00M CAD Annual
Net sale (purchase) of treasury shares PurchaseOfProceedsFromSaleOfTreasuryStockNet -4.00M CAD Annual
Net sale (purchase) of treasury shares PurchaseOfProceedsFromSaleOfTreasuryStockNet 4.00M CAD Annual
Net sale (purchase) of treasury shares PurchaseOfProceedsFromSaleOfTreasuryStockNet 4.00M CAD Annual
Dividends and distributions paid DividendsPaidToEquityHoldersOfParentClassifiedAsFinancingActivities 2.95B CAD Annual
Dividends and distributions paid DividendsPaidToEquityHoldersOfParentClassifiedAsFinancingActivities 2.95B CAD Annual
Dividends and distributions paid DividendsPaidToEquityHoldersOfParentClassifiedAsFinancingActivities 3.99B CAD Annual
Dividends and distributions paid DividendsPaidToEquityHoldersOfParentClassifiedAsFinancingActivities 3.99B CAD Annual
Repayment of lease liabilities PaymentsOfLeaseLiabilitiesClassifiedAsFinancingActivities 287.00M CAD Annual
Repayment of lease liabilities PaymentsOfLeaseLiabilitiesClassifiedAsFinancingActivities 287.00M CAD Annual
Repayment of lease liabilities PaymentsOfLeaseLiabilitiesClassifiedAsFinancingActivities 309.00M CAD Annual
Repayment of lease liabilities PaymentsOfLeaseLiabilitiesClassifiedAsFinancingActivities 309.00M CAD Annual
Other, net OtherInflowsOutflowsOfCashClassifiedAsFinancingActivities -29.00M CAD Annual
Other, net OtherInflowsOutflowsOfCashClassifiedAsFinancingActivities -29.00M CAD Annual
Net cash flows provided by (used in) financing activities CashFlowsFromUsedInFinancingActivities -2.61B CAD Annual
Net cash flows provided by (used in) financing activities CashFlowsFromUsedInFinancingActivities -2.61B CAD Annual
Net cash flows provided by (used in) financing activities CashFlowsFromUsedInFinancingActivities -4.31B CAD Annual
Net cash flows provided by (used in) financing activities CashFlowsFromUsedInFinancingActivities -4.31B CAD Annual
Purchase of securities measured/designated at FVOCI and amortized cost PurchaseOfSecuritiesMeasuredDesignatedAtFairValueOtherComprehensiveIncomeAndAmortizedCost 76.53B CAD Annual
Purchase of securities measured/designated at FVOCI and amortized cost PurchaseOfSecuritiesMeasuredDesignatedAtFairValueOtherComprehensiveIncomeAndAmortizedCost 76.53B CAD Annual
Purchase of securities measured/designated at FVOCI and amortized cost PurchaseOfSecuritiesMeasuredDesignatedAtFairValueOtherComprehensiveIncomeAndAmortizedCost 98.37B CAD Annual
Purchase of securities measured/designated at FVOCI and amortized cost PurchaseOfSecuritiesMeasuredDesignatedAtFairValueOtherComprehensiveIncomeAndAmortizedCost 98.37B CAD Annual
Proceeds from sale of securities measured/designated at FVOCI and amortized cost ProceedsFromSaleOfSecuritiesMeasuredDesignatedAtFairValueOtherComprehensiveIncomeAndAmortizedCost 29.76B CAD Annual
Proceeds from sale of securities measured/designated at FVOCI and amortized cost ProceedsFromSaleOfSecuritiesMeasuredDesignatedAtFairValueOtherComprehensiveIncomeAndAmortizedCost 29.76B CAD Annual
Proceeds from sale of securities measured/designated at FVOCI and amortized cost ProceedsFromSaleOfSecuritiesMeasuredDesignatedAtFairValueOtherComprehensiveIncomeAndAmortizedCost 46.30B CAD Annual
Proceeds from sale of securities measured/designated at FVOCI and amortized cost ProceedsFromSaleOfSecuritiesMeasuredDesignatedAtFairValueOtherComprehensiveIncomeAndAmortizedCost 46.30B CAD Annual
Proceeds from maturity of debt securities measured at FVOCI and amortized cost ProceedsFromMaturityOfDebtSecuritiesMeasuredAtFairValueOtherComprehensiveIncomeAndAmortizedCost 27.11B CAD Annual
Proceeds from maturity of debt securities measured at FVOCI and amortized cost ProceedsFromMaturityOfDebtSecuritiesMeasuredAtFairValueOtherComprehensiveIncomeAndAmortizedCost 27.11B CAD Annual
Proceeds from maturity of debt securities measured at FVOCI and amortized cost ProceedsFromMaturityOfDebtSecuritiesMeasuredAtFairValueOtherComprehensiveIncomeAndAmortizedCost 47.40B CAD Annual
Proceeds from maturity of debt securities measured at FVOCI and amortized cost ProceedsFromMaturityOfDebtSecuritiesMeasuredAtFairValueOtherComprehensiveIncomeAndAmortizedCost 47.40B CAD Annual
Net sale (purchase) of property, equipment, software and other intangible assets ProceedsFromPaymentForDispositionsAcquisitionsOfPropertyPlantAndEquipmentClassifiedAsInvestingActivities -1.09B CAD Annual
Net sale (purchase) of property, equipment, software and other intangible assets ProceedsFromPaymentForDispositionsAcquisitionsOfPropertyPlantAndEquipmentClassifiedAsInvestingActivities -1.09B CAD Annual
Net sale (purchase) of property, equipment, software and other intangible assets ProceedsFromPaymentForDispositionsAcquisitionsOfPropertyPlantAndEquipmentClassifiedAsInvestingActivities -1.11B CAD Annual
Net sale (purchase) of property, equipment, software and other intangible assets ProceedsFromPaymentForDispositionsAcquisitionsOfPropertyPlantAndEquipmentClassifiedAsInvestingActivities -1.11B CAD Annual
Net cash flows provided by (used in) investing activities CashFlowsFromUsedInInvestingActivities -20.75B CAD Annual
Net cash flows provided by (used in) investing activities CashFlowsFromUsedInInvestingActivities -20.75B CAD Annual
Net cash flows provided by (used in) investing activities CashFlowsFromUsedInInvestingActivities -5.78B CAD Annual
Net cash flows provided by (used in) investing activities CashFlowsFromUsedInInvestingActivities -5.78B CAD Annual
Effect of exchange rate changes on cash and non-interest-bearing deposits with banks EffectOfExchangeRateChangesOnCashAndCashEquivalents 22.00M CAD Annual
Effect of exchange rate changes on cash and non-interest-bearing deposits with banks EffectOfExchangeRateChangesOnCashAndCashEquivalents 22.00M CAD Annual
Effect of exchange rate changes on cash and non-interest-bearing deposits with banks EffectOfExchangeRateChangesOnCashAndCashEquivalents 63.00M CAD Annual
Effect of exchange rate changes on cash and non-interest-bearing deposits with banks EffectOfExchangeRateChangesOnCashAndCashEquivalents 63.00M CAD Annual
Net increase (decrease) in cash and non-interest-bearing deposits with banks during the year IncreaseDecreaseInCashAndCashEquivalents -12.25B CAD Annual
Net increase (decrease) in cash and non-interest-bearing deposits with banks during the year IncreaseDecreaseInCashAndCashEquivalents -12.25B CAD Annual
Net increase (decrease) in cash and non-interest-bearing deposits with banks during the year IncreaseDecreaseInCashAndCashEquivalents 3.81B CAD Annual
Net increase (decrease) in cash and non-interest-bearing deposits with banks during the year IncreaseDecreaseInCashAndCashEquivalents 3.81B CAD Annual
Cash and non-interest-bearing deposits with banks at beginning of year CashAndCashEquivalents 20.82B CAD Point-in-time
Cash and non-interest-bearing deposits with banks at beginning of year CashAndCashEquivalents 20.82B CAD Point-in-time
Cash and non-interest-bearing deposits with banks at beginning of year CashAndCashEquivalents 8.56B CAD Point-in-time
Cash and non-interest-bearing deposits with banks at beginning of year CashAndCashEquivalents 8.56B CAD Point-in-time
Cash and non-interest-bearing deposits with banks at beginning of year CashAndCashEquivalents 12.38B CAD Point-in-time
Cash and non-interest-bearing deposits with banks at beginning of year CashAndCashEquivalents 12.38B CAD Point-in-time
Cash and non-interest-bearing deposits with banks at end of year CashAndCashEquivalents 20.82B CAD Point-in-time
Cash and non-interest-bearing deposits with banks at end of year CashAndCashEquivalents 20.82B CAD Point-in-time
Cash and non-interest-bearing deposits with banks at end of year CashAndCashEquivalents 8.56B CAD Point-in-time
Cash and non-interest-bearing deposits with banks at end of year CashAndCashEquivalents 8.56B CAD Point-in-time
Cash and non-interest-bearing deposits with banks at end of year CashAndCashEquivalents 12.38B CAD Point-in-time
Cash and non-interest-bearing deposits with banks at end of year CashAndCashEquivalents 12.38B CAD Point-in-time
Cash interest paid InterestPaidClassifiedAsOperatingActivities 38.04B CAD Annual
Cash interest paid InterestPaidClassifiedAsOperatingActivities 38.04B CAD Annual
Cash interest paid InterestPaidClassifiedAsOperatingActivities 33.98B CAD Annual
Cash interest paid InterestPaidClassifiedAsOperatingActivities 33.98B CAD Annual
Cash interest received InterestReceivedClassifiedAsOperatingActivities 49.76B CAD Annual
Cash interest received InterestReceivedClassifiedAsOperatingActivities 49.76B CAD Annual
Cash interest received InterestReceivedClassifiedAsOperatingActivities 46.99B CAD Annual
Cash interest received InterestReceivedClassifiedAsOperatingActivities 46.99B CAD Annual
Cash dividends received DividendsReceivedClassifiedAsOperatingActivities 1.71B CAD Annual
Cash dividends received DividendsReceivedClassifiedAsOperatingActivities 1.71B CAD Annual
Cash dividends received DividendsReceivedClassifiedAsOperatingActivities 1.81B CAD Annual
Cash dividends received DividendsReceivedClassifiedAsOperatingActivities 1.81B CAD Annual
Cash income taxes paid IncomeTaxesPaidRefundClassifiedAsOperatingActivities 2.51B CAD Annual
Cash income taxes paid IncomeTaxesPaidRefundClassifiedAsOperatingActivities 2.51B CAD Annual
Cash income taxes paid IncomeTaxesPaidRefundClassifiedAsOperatingActivities 3.23B CAD Annual
Cash income taxes paid IncomeTaxesPaidRefundClassifiedAsOperatingActivities 3.23B CAD Annual
Stockholders Equity 28 line items
Line Item Tag Value Unit Period
Balance at beginning of year Equity 59.01B CAD Point-in-time
Balance at beginning of year Equity 59.01B CAD Point-in-time
Balance at beginning of year Equity 64.41B CAD Point-in-time
Balance at beginning of year Equity 64.41B CAD Point-in-time
Net income attributable to equity shareholders ProfitLossAttributableToOwnersOfParent 7.12B CAD Annual
Net income attributable to equity shareholders ProfitLossAttributableToOwnersOfParent 7.12B CAD Annual
Net income attributable to equity shareholders ProfitLossAttributableToOwnersOfParent 8.43B CAD Annual
Net income attributable to equity shareholders ProfitLossAttributableToOwnersOfParent 8.43B CAD Annual
Net income attributable to non-controlling interests ProfitLossAttributableToNoncontrollingInterests 39.00M CAD Annual
Net income attributable to non-controlling interests ProfitLossAttributableToNoncontrollingInterests 39.00M CAD Annual
Net income attributable to non-controlling interests ProfitLossAttributableToNoncontrollingInterests 25.00M CAD Annual
Net income attributable to non-controlling interests ProfitLossAttributableToNoncontrollingInterests 25.00M CAD Annual
Net change in cash flow hedges OtherComprehensiveIncomeNetOfTaxCashFlowHedges 1.53B CAD Annual
Net change in cash flow hedges OtherComprehensiveIncomeNetOfTaxCashFlowHedges 1.53B CAD Annual
Net change in cash flow hedges OtherComprehensiveIncomeNetOfTaxCashFlowHedges 491.00M CAD Annual
Net change in cash flow hedges OtherComprehensiveIncomeNetOfTaxCashFlowHedges 491.00M CAD Annual
Net change in post-employment defined benefit plans OtherComprehensiveIncomeNetOfTaxGainsLossesOnRemeasurementsOfDefinedBenefitPlans 250.00M CAD Annual
Net change in post-employment defined benefit plans OtherComprehensiveIncomeNetOfTaxGainsLossesOnRemeasurementsOfDefinedBenefitPlans 250.00M CAD Annual
Net change in post-employment defined benefit plans OtherComprehensiveIncomeNetOfTaxGainsLossesOnRemeasurementsOfDefinedBenefitPlans 208.00M CAD Annual
Net change in post-employment defined benefit plans OtherComprehensiveIncomeNetOfTaxGainsLossesOnRemeasurementsOfDefinedBenefitPlans 208.00M CAD Annual
Net change attributable to changes in credit risk OtherComprehensiveIncomeNetOfTaxChangeInFairValueOfFinancialLiabilityAttributableToChangeInCreditRiskOfLiability -216.00M CAD Annual
Net change attributable to changes in credit risk OtherComprehensiveIncomeNetOfTaxChangeInFairValueOfFinancialLiabilityAttributableToChangeInCreditRiskOfLiability -216.00M CAD Annual
Net change attributable to changes in credit risk OtherComprehensiveIncomeNetOfTaxChangeInFairValueOfFinancialLiabilityAttributableToChangeInCreditRiskOfLiability -34.00M CAD Annual
Net change attributable to changes in credit risk OtherComprehensiveIncomeNetOfTaxChangeInFairValueOfFinancialLiabilityAttributableToChangeInCreditRiskOfLiability -34.00M CAD Annual
Balance at end of year Equity 59.01B CAD Point-in-time
Balance at end of year Equity 59.01B CAD Point-in-time
Balance at end of year Equity 64.41B CAD Point-in-time
Balance at end of year Equity 64.41B CAD Point-in-time
Comprehensive Income 138 line items
Line Item Tag Value Unit Period
Net income ProfitLoss 7.15B CAD Annual
Net income ProfitLoss 7.15B CAD Annual
Net income ProfitLoss 8.45B CAD Annual
Net income ProfitLoss 8.45B CAD Annual
Gains on investments in equity-accounted associates and joint ventures included in OCI ShareOfOtherComprehensiveIncomeOfAssociatesAndJointVenturesAccountedForUsingEquityMethodThatWillBeReclassifiedToProfitOrLossNetOfTax 113.00M CAD Annual
Gains on investments in equity-accounted associates and joint ventures included in OCI ShareOfOtherComprehensiveIncomeOfAssociatesAndJointVenturesAccountedForUsingEquityMethodThatWillBeReclassifiedToProfitOrLossNetOfTax 113.00M CAD Annual
Gains on investments in equity-accounted associates and joint ventures included in OCI ShareOfOtherComprehensiveIncomeOfAssociatesAndJointVenturesAccountedForUsingEquityMethodThatWillBeReclassifiedToProfitOrLossNetOfTax 43.00M CAD Annual
Gains on investments in equity-accounted associates and joint ventures included in OCI ShareOfOtherComprehensiveIncomeOfAssociatesAndJointVenturesAccountedForUsingEquityMethodThatWillBeReclassifiedToProfitOrLossNetOfTax 43.00M CAD Annual
Net gains (losses) on investments in foreign operations GainsLossesOnExchangeDifferencesOnTranslationNetOfTax 281.00M CAD Annual
Net gains (losses) on investments in foreign operations GainsLossesOnExchangeDifferencesOnTranslationNetOfTax 281.00M CAD Annual
Net gains (losses) on investments in foreign operations GainsLossesOnExchangeDifferencesOnTranslationNetOfTax 400.00M CAD Annual
Net gains (losses) on investments in foreign operations GainsLossesOnExchangeDifferencesOnTranslationNetOfTax 400.00M CAD Annual
Net gains (losses) on hedges of investments in foreign operations GainsLossesOnHedgesOfNetInvestmentsInForeignOperationsNetOfTax -267.00M CAD Annual
Net gains (losses) on hedges of investments in foreign operations GainsLossesOnHedgesOfNetInvestmentsInForeignOperationsNetOfTax -267.00M CAD Annual
Net gains (losses) on hedges of investments in foreign operations GainsLossesOnHedgesOfNetInvestmentsInForeignOperationsNetOfTax -365.00M CAD Annual
Net gains (losses) on hedges of investments in foreign operations GainsLossesOnHedgesOfNetInvestmentsInForeignOperationsNetOfTax -365.00M CAD Annual
Other comprehensive income, net of tax, exchange differences on translation NetForeignCurrencyTranslationAdjustments 14.00M CAD Annual
Other comprehensive income, net of tax, exchange differences on translation NetForeignCurrencyTranslationAdjustments 14.00M CAD Annual
Other comprehensive income, net of tax, exchange differences on translation NetForeignCurrencyTranslationAdjustments 35.00M CAD Annual
Other comprehensive income, net of tax, exchange differences on translation NetForeignCurrencyTranslationAdjustments 35.00M CAD Annual
Net gains (losses) on debt securities measured at FVOCI NetGainsLossesOnDebtSecuritiesMeasuredAtFairValueThroughOtherComprehensiveIncome 127.00M CAD Annual
Net gains (losses) on debt securities measured at FVOCI NetGainsLossesOnDebtSecuritiesMeasuredAtFairValueThroughOtherComprehensiveIncome 127.00M CAD Annual
Net gains (losses) on debt securities measured at FVOCI NetGainsLossesOnDebtSecuritiesMeasuredAtFairValueThroughOtherComprehensiveIncome 368.00M CAD Annual
Net gains (losses) on debt securities measured at FVOCI NetGainsLossesOnDebtSecuritiesMeasuredAtFairValueThroughOtherComprehensiveIncome 368.00M CAD Annual
Net (gains) losses reclassified to net income NetGainsLossesOnDebtSecuritiesReclassifiedToNetIncome -27.00M CAD Annual
Net (gains) losses reclassified to net income NetGainsLossesOnDebtSecuritiesReclassifiedToNetIncome -27.00M CAD Annual
Net (gains) losses reclassified to net income NetGainsLossesOnDebtSecuritiesReclassifiedToNetIncome -14.00M CAD Annual
Net (gains) losses reclassified to net income NetGainsLossesOnDebtSecuritiesReclassifiedToNetIncome -14.00M CAD Annual
Other comprehensive income, net of tax, debt securities OtherComprehensiveIncomeNetOfTaxDebtInstruments 100.00M CAD Annual
Other comprehensive income, net of tax, debt securities OtherComprehensiveIncomeNetOfTaxDebtInstruments 100.00M CAD Annual
Other comprehensive income, net of tax, debt securities OtherComprehensiveIncomeNetOfTaxDebtInstruments 354.00M CAD Annual
Other comprehensive income, net of tax, debt securities OtherComprehensiveIncomeNetOfTaxDebtInstruments 354.00M CAD Annual
Net gains (losses) on derivatives designated as cash flow hedges GainsLossesOnCashFlowHedgesNetOfTax 2.35B CAD Annual
Net gains (losses) on derivatives designated as cash flow hedges GainsLossesOnCashFlowHedgesNetOfTax 2.35B CAD Annual
Net gains (losses) on derivatives designated as cash flow hedges GainsLossesOnCashFlowHedgesNetOfTax 1.42B CAD Annual
Net gains (losses) on derivatives designated as cash flow hedges GainsLossesOnCashFlowHedgesNetOfTax 1.42B CAD Annual
Net (gains) losses reclassified to net income ReclassificationAdjustmentsOnCashFlowHedgesNetOfTax 813.00M CAD Annual
Net (gains) losses reclassified to net income ReclassificationAdjustmentsOnCashFlowHedgesNetOfTax 813.00M CAD Annual
Net (gains) losses reclassified to net income ReclassificationAdjustmentsOnCashFlowHedgesNetOfTax 928.00M CAD Annual
Net (gains) losses reclassified to net income ReclassificationAdjustmentsOnCashFlowHedgesNetOfTax 928.00M CAD Annual
Other comprehensive income, net of tax, cash flow hedges OtherComprehensiveIncomeNetOfTaxCashFlowHedges 1.53B CAD Annual
Other comprehensive income, net of tax, cash flow hedges OtherComprehensiveIncomeNetOfTaxCashFlowHedges 1.53B CAD Annual
Other comprehensive income, net of tax, cash flow hedges OtherComprehensiveIncomeNetOfTaxCashFlowHedges 491.00M CAD Annual
Other comprehensive income, net of tax, cash flow hedges OtherComprehensiveIncomeNetOfTaxCashFlowHedges 491.00M CAD Annual
Net gains (losses) on post-employment defined benefit plans OtherComprehensiveIncomeNetOfTaxGainsLossesOnRemeasurementsOfDefinedBenefitPlans 250.00M CAD Annual
Net gains (losses) on post-employment defined benefit plans OtherComprehensiveIncomeNetOfTaxGainsLossesOnRemeasurementsOfDefinedBenefitPlans 250.00M CAD Annual
Net gains (losses) on post-employment defined benefit plans OtherComprehensiveIncomeNetOfTaxGainsLossesOnRemeasurementsOfDefinedBenefitPlans 208.00M CAD Annual
Net gains (losses) on post-employment defined benefit plans OtherComprehensiveIncomeNetOfTaxGainsLossesOnRemeasurementsOfDefinedBenefitPlans 208.00M CAD Annual
Net gains (losses) due to fair value change of fair value option (FVO) liabilities attributable to changes in credit risk OtherComprehensiveIncomeNetOfTaxChangeInFairValueOfFinancialLiabilityAttributableToChangeInCreditRiskOfLiability -216.00M CAD Annual
Net gains (losses) due to fair value change of fair value option (FVO) liabilities attributable to changes in credit risk OtherComprehensiveIncomeNetOfTaxChangeInFairValueOfFinancialLiabilityAttributableToChangeInCreditRiskOfLiability -216.00M CAD Annual
Net gains (losses) due to fair value change of fair value option (FVO) liabilities attributable to changes in credit risk OtherComprehensiveIncomeNetOfTaxChangeInFairValueOfFinancialLiabilityAttributableToChangeInCreditRiskOfLiability -34.00M CAD Annual
Net gains (losses) due to fair value change of fair value option (FVO) liabilities attributable to changes in credit risk OtherComprehensiveIncomeNetOfTaxChangeInFairValueOfFinancialLiabilityAttributableToChangeInCreditRiskOfLiability -34.00M CAD Annual
Net gains (losses) on equity securities designated at FVOCI NetGainsLossesOnEquitySecuritiesMeasuredAtFairValueThroughOtherComprehensiveIncome -13.00M CAD Annual
Net gains (losses) on equity securities designated at FVOCI NetGainsLossesOnEquitySecuritiesMeasuredAtFairValueThroughOtherComprehensiveIncome -13.00M CAD Annual
Net gains (losses) on equity securities designated at FVOCI NetGainsLossesOnEquitySecuritiesMeasuredAtFairValueThroughOtherComprehensiveIncome 18.00M CAD Annual
Net gains (losses) on equity securities designated at FVOCI NetGainsLossesOnEquitySecuritiesMeasuredAtFairValueThroughOtherComprehensiveIncome 18.00M CAD Annual
OCI, net of income tax, that will not be reclassified to profit or loss, net of tax OtherComprehensiveIncomeThatWillNotBeReclassifiedToProfitOrLossNetOfTax 21.00M CAD Annual
OCI, net of income tax, that will not be reclassified to profit or loss, net of tax OtherComprehensiveIncomeThatWillNotBeReclassifiedToProfitOrLossNetOfTax 21.00M CAD Annual
OCI, net of income tax, that will not be reclassified to profit or loss, net of tax OtherComprehensiveIncomeThatWillNotBeReclassifiedToProfitOrLossNetOfTax 192.00M CAD Annual
OCI, net of income tax, that will not be reclassified to profit or loss, net of tax OtherComprehensiveIncomeThatWillNotBeReclassifiedToProfitOrLossNetOfTax 192.00M CAD Annual
Total other comprehensive income (loss) OtherComprehensiveIncome 1.67B CAD Annual
Total other comprehensive income (loss) OtherComprehensiveIncome 1.67B CAD Annual
Total other comprehensive income (loss) OtherComprehensiveIncome 1.07B CAD Annual
Total other comprehensive income (loss) OtherComprehensiveIncome 1.07B CAD Annual
Comprehensive income ComprehensiveIncome 8.82B CAD Annual
Comprehensive income ComprehensiveIncome 8.82B CAD Annual
Comprehensive income ComprehensiveIncome 9.53B CAD Annual
Comprehensive income ComprehensiveIncome 9.53B CAD Annual
Comprehensive income attributable to non-controlling interests ComprehensiveIncomeAttributableToNoncontrollingInterests 39.00M CAD Annual
Comprehensive income attributable to non-controlling interests ComprehensiveIncomeAttributableToNoncontrollingInterests 39.00M CAD Annual
Comprehensive income attributable to non-controlling interests ComprehensiveIncomeAttributableToNoncontrollingInterests 25.00M CAD Annual
Comprehensive income attributable to non-controlling interests ComprehensiveIncomeAttributableToNoncontrollingInterests 25.00M CAD Annual
Preferred shareholders and other equity instrument holders ComprehensiveIncomeAttributableToPreferredShareholdersAndOtherEquityInstrumentHolders 263.00M CAD Annual
Preferred shareholders and other equity instrument holders ComprehensiveIncomeAttributableToPreferredShareholdersAndOtherEquityInstrumentHolders 263.00M CAD Annual
Preferred shareholders and other equity instrument holders ComprehensiveIncomeAttributableToPreferredShareholdersAndOtherEquityInstrumentHolders 364.00M CAD Annual
Preferred shareholders and other equity instrument holders ComprehensiveIncomeAttributableToPreferredShareholdersAndOtherEquityInstrumentHolders 364.00M CAD Annual
Common shareholders ComprehensiveIncomeAttributableToCommonShareholders 8.52B CAD Annual
Common shareholders ComprehensiveIncomeAttributableToCommonShareholders 8.52B CAD Annual
Common shareholders ComprehensiveIncomeAttributableToCommonShareholders 9.14B CAD Annual
Common shareholders ComprehensiveIncomeAttributableToCommonShareholders 9.14B CAD Annual
Comprehensive income attributable to equity shareholders ComprehensiveIncomeAttributableToOwnersOfParent 8.79B CAD Annual
Comprehensive income attributable to equity shareholders ComprehensiveIncomeAttributableToOwnersOfParent 8.79B CAD Annual
Comprehensive income attributable to equity shareholders ComprehensiveIncomeAttributableToOwnersOfParent 9.50B CAD Annual
Comprehensive income attributable to equity shareholders ComprehensiveIncomeAttributableToOwnersOfParent 9.50B CAD Annual
Income tax (expense) benefit, Net gains (losses) on investments in foreign operations IncomeTaxRelatingToGainsLossesOnExchangeDifferencesOnTranslation -5.00M CAD Annual
Income tax (expense) benefit, Net gains (losses) on investments in foreign operations IncomeTaxRelatingToGainsLossesOnExchangeDifferencesOnTranslation -5.00M CAD Annual
Income tax (expense) benefit, Net gains (losses) on investments in foreign operations IncomeTaxRelatingToGainsLossesOnExchangeDifferencesOnTranslation -12.00M CAD Annual
Income tax (expense) benefit, Net gains (losses) on investments in foreign operations IncomeTaxRelatingToGainsLossesOnExchangeDifferencesOnTranslation -12.00M CAD Annual
Income tax (expense) benefit, Net gains (losses) on hedges of investments in foreign operations IncomeTaxRelatingToGainLossOnHedgesOfNetInvestmentsInForeignOperations -68.00M CAD Annual
Income tax (expense) benefit, Net gains (losses) on hedges of investments in foreign operations IncomeTaxRelatingToGainLossOnHedgesOfNetInvestmentsInForeignOperations -68.00M CAD Annual
Income tax (expense) benefit relating to exchange differences on translation of other comprehensive income IncomeTaxRelatingToNetForeignCurrencyTranslationAdjustments -5.00M CAD Annual
Income tax (expense) benefit relating to exchange differences on translation of other comprehensive income IncomeTaxRelatingToNetForeignCurrencyTranslationAdjustments -5.00M CAD Annual
Income tax (expense) benefit relating to exchange differences on translation of other comprehensive income IncomeTaxRelatingToNetForeignCurrencyTranslationAdjustments -80.00M CAD Annual
Income tax (expense) benefit relating to exchange differences on translation of other comprehensive income IncomeTaxRelatingToNetForeignCurrencyTranslationAdjustments -80.00M CAD Annual
Income tax (expense) benefit, Net gains (losses) on debt securities measured at FVOCI IncomeTaxRelatingToGainsLossesOnRemeasuringDebtSecuritiesMeasuredAtFairValueThroughOtherComprehensiveIncome -12.00M CAD Annual
Income tax (expense) benefit, Net gains (losses) on debt securities measured at FVOCI IncomeTaxRelatingToGainsLossesOnRemeasuringDebtSecuritiesMeasuredAtFairValueThroughOtherComprehensiveIncome -12.00M CAD Annual
Income tax (expense) benefit, Net gains (losses) on debt securities measured at FVOCI IncomeTaxRelatingToGainsLossesOnRemeasuringDebtSecuritiesMeasuredAtFairValueThroughOtherComprehensiveIncome -74.00M CAD Annual
Income tax (expense) benefit, Net gains (losses) on debt securities measured at FVOCI IncomeTaxRelatingToGainsLossesOnRemeasuringDebtSecuritiesMeasuredAtFairValueThroughOtherComprehensiveIncome -74.00M CAD Annual
Income tax (expense) benefit, Net (gains) losses reclassified to net income IncomeTaxRelatingToReclassificationAdjustmentsOnDebtSecuritiesMeasuredAtFairValueThroughOtherComprehensiveIncome 10.00M CAD Annual
Income tax (expense) benefit, Net (gains) losses reclassified to net income IncomeTaxRelatingToReclassificationAdjustmentsOnDebtSecuritiesMeasuredAtFairValueThroughOtherComprehensiveIncome 10.00M CAD Annual
Income tax (expense) benefit, Net (gains) losses reclassified to net income IncomeTaxRelatingToReclassificationAdjustmentsOnDebtSecuritiesMeasuredAtFairValueThroughOtherComprehensiveIncome 5.00M CAD Annual
Income tax (expense) benefit, Net (gains) losses reclassified to net income IncomeTaxRelatingToReclassificationAdjustmentsOnDebtSecuritiesMeasuredAtFairValueThroughOtherComprehensiveIncome 5.00M CAD Annual
Income tax (expense) benefit relating to debt securities of other comprehensive income IncomeTaxRelatingToDebtSecuritiesMeasuredAtFairValueThroughOtherComprehensiveIncome -2.00M CAD Annual
Income tax (expense) benefit relating to debt securities of other comprehensive income IncomeTaxRelatingToDebtSecuritiesMeasuredAtFairValueThroughOtherComprehensiveIncome -2.00M CAD Annual
Income tax (expense) benefit relating to debt securities of other comprehensive income IncomeTaxRelatingToDebtSecuritiesMeasuredAtFairValueThroughOtherComprehensiveIncome -69.00M CAD Annual
Income tax (expense) benefit relating to debt securities of other comprehensive income IncomeTaxRelatingToDebtSecuritiesMeasuredAtFairValueThroughOtherComprehensiveIncome -69.00M CAD Annual
Income tax (expense) benefit, Net gains (losses) on derivatives designated as cash flow hedges IncomeTaxRelatingToGainsLossesOnCashFlowHedges -903.00M CAD Annual
Income tax (expense) benefit, Net gains (losses) on derivatives designated as cash flow hedges IncomeTaxRelatingToGainsLossesOnCashFlowHedges -903.00M CAD Annual
Income tax (expense) benefit, Net gains (losses) on derivatives designated as cash flow hedges IncomeTaxRelatingToGainsLossesOnCashFlowHedges -546.00M CAD Annual
Income tax (expense) benefit, Net gains (losses) on derivatives designated as cash flow hedges IncomeTaxRelatingToGainsLossesOnCashFlowHedges -546.00M CAD Annual
Income tax (expense) benefit, Net (gains) losses reclassified to net income IncomeTaxRelatingToReclassificationOfCashFlowHedgesOfOtherComprehensiveIncome 313.00M CAD Annual
Income tax (expense) benefit, Net (gains) losses reclassified to net income IncomeTaxRelatingToReclassificationOfCashFlowHedgesOfOtherComprehensiveIncome 313.00M CAD Annual
Income tax (expense) benefit, Net (gains) losses reclassified to net income IncomeTaxRelatingToReclassificationOfCashFlowHedgesOfOtherComprehensiveIncome 357.00M CAD Annual
Income tax (expense) benefit, Net (gains) losses reclassified to net income IncomeTaxRelatingToReclassificationOfCashFlowHedgesOfOtherComprehensiveIncome 357.00M CAD Annual
Income tax (expense) benefit relating to cash flow hedges of other comprehensive income IncomeTaxRelatingToCashFlowHedgesOfOtherComprehensiveIncome -590.00M CAD Annual
Income tax (expense) benefit relating to cash flow hedges of other comprehensive income IncomeTaxRelatingToCashFlowHedgesOfOtherComprehensiveIncome -590.00M CAD Annual
Income tax (expense) benefit relating to cash flow hedges of other comprehensive income IncomeTaxRelatingToCashFlowHedgesOfOtherComprehensiveIncome -189.00M CAD Annual
Income tax (expense) benefit relating to cash flow hedges of other comprehensive income IncomeTaxRelatingToCashFlowHedgesOfOtherComprehensiveIncome -189.00M CAD Annual
Income tax (expense) benefit, Net gains (losses) on post-employment defined benefit plans IncomeTaxRelatingToRemeasurementsOfDefinedBenefitPlansOfOtherComprehensiveIncome -68.00M CAD Annual
Income tax (expense) benefit, Net gains (losses) on post-employment defined benefit plans IncomeTaxRelatingToRemeasurementsOfDefinedBenefitPlansOfOtherComprehensiveIncome -68.00M CAD Annual
Income tax (expense) benefit, Net gains (losses) on post-employment defined benefit plans IncomeTaxRelatingToRemeasurementsOfDefinedBenefitPlansOfOtherComprehensiveIncome -66.00M CAD Annual
Income tax (expense) benefit, Net gains (losses) on post-employment defined benefit plans IncomeTaxRelatingToRemeasurementsOfDefinedBenefitPlansOfOtherComprehensiveIncome -66.00M CAD Annual
Income tax (expense) benefit, Net gains (losses) due to fair value change of FVO liabilities attributable to changes in credit risk IncomeTaxRelatingToChangesInFairValueOfFinancialLiabilityAttributableToChangeInCreditRiskOfLiabilityOfOtherComprehensiveIncome 83.00M CAD Annual
Income tax (expense) benefit, Net gains (losses) due to fair value change of FVO liabilities attributable to changes in credit risk IncomeTaxRelatingToChangesInFairValueOfFinancialLiabilityAttributableToChangeInCreditRiskOfLiabilityOfOtherComprehensiveIncome 83.00M CAD Annual
Income tax (expense) benefit, Net gains (losses) due to fair value change of FVO liabilities attributable to changes in credit risk IncomeTaxRelatingToChangesInFairValueOfFinancialLiabilityAttributableToChangeInCreditRiskOfLiabilityOfOtherComprehensiveIncome 13.00M CAD Annual
Income tax (expense) benefit, Net gains (losses) due to fair value change of FVO liabilities attributable to changes in credit risk IncomeTaxRelatingToChangesInFairValueOfFinancialLiabilityAttributableToChangeInCreditRiskOfLiabilityOfOtherComprehensiveIncome 13.00M CAD Annual
Income tax (expense) benefit, Net gains (losses) on equity securities designated at FVOCI IncomeTaxRelatingToEquitySecuritiesDesignatedAtFairValueThroughOtherComprehensiveIncome 4.00M CAD Annual
Income tax (expense) benefit, Net gains (losses) on equity securities designated at FVOCI IncomeTaxRelatingToEquitySecuritiesDesignatedAtFairValueThroughOtherComprehensiveIncome 4.00M CAD Annual
Income tax (expense) benefit, Net gains (losses) on equity securities designated at FVOCI IncomeTaxRelatingToEquitySecuritiesDesignatedAtFairValueThroughOtherComprehensiveIncome -6.00M CAD Annual
Income tax (expense) benefit, Net gains (losses) on equity securities designated at FVOCI IncomeTaxRelatingToEquitySecuritiesDesignatedAtFairValueThroughOtherComprehensiveIncome -6.00M CAD Annual
Income tax (expense) benefit, Net gains (losses) not subject to subsequent reclassification to net income IncomeTaxRelatingToComponentsOfOtherComprehensiveIncomeThatWillNotBeReclassifiedToProfitOrLoss 19.00M CAD Annual
Income tax (expense) benefit, Net gains (losses) not subject to subsequent reclassification to net income IncomeTaxRelatingToComponentsOfOtherComprehensiveIncomeThatWillNotBeReclassifiedToProfitOrLoss 19.00M CAD Annual
Income tax (expense) benefit, Net gains (losses) not subject to subsequent reclassification to net income IncomeTaxRelatingToComponentsOfOtherComprehensiveIncomeThatWillNotBeReclassifiedToProfitOrLoss -59.00M CAD Annual
Income tax (expense) benefit, Net gains (losses) not subject to subsequent reclassification to net income IncomeTaxRelatingToComponentsOfOtherComprehensiveIncomeThatWillNotBeReclassifiedToProfitOrLoss -59.00M CAD Annual
Total income tax (expense) benefit allocated to each component of OCI IncomeTaxRelatingToComponentsOfOtherComprehensiveIncome -578.00M CAD Annual
Total income tax (expense) benefit allocated to each component of OCI IncomeTaxRelatingToComponentsOfOtherComprehensiveIncome -578.00M CAD Annual
Total income tax (expense) benefit allocated to each component of OCI IncomeTaxRelatingToComponentsOfOtherComprehensiveIncome -397.00M CAD Annual
Total income tax (expense) benefit allocated to each component of OCI IncomeTaxRelatingToComponentsOfOtherComprehensiveIncome -397.00M CAD Annual

Data is extracted from SEC EDGAR XBRL filings. Values shown are as reported in the filing.

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