◆ Market Data --:--
Commodities
Loading...
📈 Yields & Rates
Loading...
💱 FX Rates
Loading...
📈 Market Pulse
Loading...
🏛 Congress Trades
Loading...
👤 Insider Trades
Loading...
Customize Items

40-F Filing

TORONTO DOMINION BANK CIK: 947263 FY 2025
Filing Information
Form Type 40-F
Accession Number 0001562762-25-000289
Period End Date 20251031
Filing Date 20251204
Fiscal Year 2025
Fiscal Period FY
XBRL Instance 40f20251031_htm.xml
Balance Sheet 204 line items
Line Item Tag Value Unit Period
Cash and due from banks CashAndCashEquivalents 6.72B CAD Point-in-time
Cash and due from banks CashAndCashEquivalents 6.72B CAD Point-in-time
Cash and due from banks CashAndCashEquivalents 6.44B CAD Point-in-time
Cash and due from banks CashAndCashEquivalents 6.44B CAD Point-in-time
Cash and due from banks CashAndCashEquivalents 7.51B CAD Point-in-time
Cash and due from banks CashAndCashEquivalents 7.51B CAD Point-in-time
Interest-bearing deposits with banks ShorttermDepositsNotClassifiedAsCashEquivalents 169.93B CAD Point-in-time
Interest-bearing deposits with banks ShorttermDepositsNotClassifiedAsCashEquivalents 169.93B CAD Point-in-time
Interest-bearing deposits with banks ShorttermDepositsNotClassifiedAsCashEquivalents 109.42B CAD Point-in-time
Interest-bearing deposits with banks ShorttermDepositsNotClassifiedAsCashEquivalents 109.42B CAD Point-in-time
Cash and interest bearing deposits with banks CashAndInterestBearingDepositsWithBanks 116.93B CAD Point-in-time
Cash and interest bearing deposits with banks CashAndInterestBearingDepositsWithBanks 116.93B CAD Point-in-time
Cash and interest bearing deposits with banks CashAndInterestBearingDepositsWithBanks 176.37B CAD Point-in-time
Cash and interest bearing deposits with banks CashAndInterestBearingDepositsWithBanks 176.37B CAD Point-in-time
Trading loans, securities, and other FinancialAssetsTradingLoansSecuritiesAndOther 175.77B CAD Point-in-time
Trading loans, securities, and other FinancialAssetsTradingLoansSecuritiesAndOther 175.77B CAD Point-in-time
Trading loans, securities, and other FinancialAssetsTradingLoansSecuritiesAndOther 220.14B CAD Point-in-time
Trading loans, securities, and other FinancialAssetsTradingLoansSecuritiesAndOther 220.14B CAD Point-in-time
Non-trading financial assets at fair value through profit or loss NonTradingFinancialAssetsAtFairValueThroughProfitOrLoss 5.87B CAD Point-in-time
Non-trading financial assets at fair value through profit or loss NonTradingFinancialAssetsAtFairValueThroughProfitOrLoss 5.87B CAD Point-in-time
Non-trading financial assets at fair value through profit or loss NonTradingFinancialAssetsAtFairValueThroughProfitOrLoss 7.39B CAD Point-in-time
Non-trading financial assets at fair value through profit or loss NonTradingFinancialAssetsAtFairValueThroughProfitOrLoss 7.39B CAD Point-in-time
Derivatives DerivativeFinancialAssets 82.97B CAD Point-in-time
Derivatives DerivativeFinancialAssets 82.97B CAD Point-in-time
Derivatives DerivativeFinancialAssets 78.06B CAD Point-in-time
Derivatives DerivativeFinancialAssets 78.06B CAD Point-in-time
Financial assets designated at fair value through profit or loss FinancialAssetsDesignatedAtFairValueThroughProfitOrLoss 6.42B CAD Point-in-time
Financial assets designated at fair value through profit or loss FinancialAssetsDesignatedAtFairValueThroughProfitOrLoss 6.42B CAD Point-in-time
Financial assets designated at fair value through profit or loss FinancialAssetsDesignatedAtFairValueThroughProfitOrLoss 6.99B CAD Point-in-time
Financial assets designated at fair value through profit or loss FinancialAssetsDesignatedAtFairValueThroughProfitOrLoss 6.99B CAD Point-in-time
Financial assets at fair value through other comprehensive income FinancialAssetsAtFairValueThroughOtherComprehensiveIncome 93.90B CAD Point-in-time
Financial assets at fair value through other comprehensive income FinancialAssetsAtFairValueThroughOtherComprehensiveIncome 93.90B CAD Point-in-time
Financial assets at fair value through other comprehensive income FinancialAssetsAtFairValueThroughOtherComprehensiveIncome 126.37B CAD Point-in-time
Financial assets at fair value through other comprehensive income FinancialAssetsAtFairValueThroughOtherComprehensiveIncome 126.37B CAD Point-in-time
Total trading and non trading financial assets TotalTradingAndNonTradingFinancialAssets 443.86B CAD Point-in-time
Total trading and non trading financial assets TotalTradingAndNonTradingFinancialAssets 443.86B CAD Point-in-time
Total trading and non trading financial assets TotalTradingAndNonTradingFinancialAssets 360.01B CAD Point-in-time
Total trading and non trading financial assets TotalTradingAndNonTradingFinancialAssets 360.01B CAD Point-in-time
Debt securities at amortized cost, net of allowance for credit losses DebtSecuritiesAtAmortizedCostNetOfAllowanceForCreditLosses 271.62B CAD Point-in-time
Debt securities at amortized cost, net of allowance for credit losses DebtSecuritiesAtAmortizedCostNetOfAllowanceForCreditLosses 271.62B CAD Point-in-time
Debt securities at amortized cost, net of allowance for credit losses DebtSecuritiesAtAmortizedCostNetOfAllowanceForCreditLosses 240.44B CAD Point-in-time
Debt securities at amortized cost, net of allowance for credit losses DebtSecuritiesAtAmortizedCostNetOfAllowanceForCreditLosses 240.44B CAD Point-in-time
Securities purchased under reverse repurchase agreements ReverseRepurchaseAgreementsAndCashCollateralOnSecuritiesBorrowed 208.22B CAD Point-in-time
Securities purchased under reverse repurchase agreements ReverseRepurchaseAgreementsAndCashCollateralOnSecuritiesBorrowed 208.22B CAD Point-in-time
Securities purchased under reverse repurchase agreements ReverseRepurchaseAgreementsAndCashCollateralOnSecuritiesBorrowed 247.08B CAD Point-in-time
Securities purchased under reverse repurchase agreements ReverseRepurchaseAgreementsAndCashCollateralOnSecuritiesBorrowed 247.08B CAD Point-in-time
Residential mortgages ResidentialMortgageLoans 331.65B CAD Point-in-time
Residential mortgages ResidentialMortgageLoans 331.65B CAD Point-in-time
Residential mortgages ResidentialMortgageLoans 315.06B CAD Point-in-time
Residential mortgages ResidentialMortgageLoans 315.06B CAD Point-in-time
Consumer instalment and other personal ConsumerLoans 259.03B CAD Point-in-time
Consumer instalment and other personal ConsumerLoans 259.03B CAD Point-in-time
Consumer instalment and other personal ConsumerLoans 228.38B CAD Point-in-time
Consumer instalment and other personal ConsumerLoans 228.38B CAD Point-in-time
Credit card CreditCardLoans 40.64B CAD Point-in-time
Credit card CreditCardLoans 40.64B CAD Point-in-time
Credit card CreditCardLoans 41.66B CAD Point-in-time
Credit card CreditCardLoans 41.66B CAD Point-in-time
Business and government LoansToBusinessAndGovernment 356.97B CAD Point-in-time
Business and government LoansToBusinessAndGovernment 356.97B CAD Point-in-time
Business and government LoansToBusinessAndGovernment 345.94B CAD Point-in-time
Business and government LoansToBusinessAndGovernment 345.94B CAD Point-in-time
Total loans LoansBeforeAllowanceForLoanLosses 961.70B CAD Point-in-time
Total loans LoansBeforeAllowanceForLoanLosses 961.70B CAD Point-in-time
Total loans LoansBeforeAllowanceForLoanLosses 957.64B CAD Point-in-time
Total loans LoansBeforeAllowanceForLoanLosses 957.64B CAD Point-in-time
Allowance for loan losses AllowanceAccountForLoanLosses 8.09B CAD Point-in-time
Allowance for loan losses AllowanceAccountForLoanLosses 8.09B CAD Point-in-time
Allowance for loan losses AllowanceAccountForLoanLosses 8.69B CAD Point-in-time
Allowance for loan losses AllowanceAccountForLoanLosses 8.69B CAD Point-in-time
Loans, net of allowance for loan losses LoansNet 949.55B CAD Point-in-time
Loans, net of allowance for loan losses LoansNet 949.55B CAD Point-in-time
Loans, net of allowance for loan losses LoansNet 953.01B CAD Point-in-time
Loans, net of allowance for loan losses LoansNet 953.01B CAD Point-in-time
Investment in Schwab InvestmentAccountedForUsingEquityMethod 0.00 CAD Point-in-time
Investment in Schwab InvestmentAccountedForUsingEquityMethod 0.00 CAD Point-in-time
Investment in Schwab InvestmentAccountedForUsingEquityMethod 9.02B CAD Point-in-time
Investment in Schwab InvestmentAccountedForUsingEquityMethod 9.02B CAD Point-in-time
Goodwill Goodwill 18.60B CAD Point-in-time
Goodwill Goodwill 18.60B CAD Point-in-time
Goodwill Goodwill 18.85B CAD Point-in-time
Goodwill Goodwill 18.85B CAD Point-in-time
Goodwill Goodwill 18.98B CAD Point-in-time
Goodwill Goodwill 18.98B CAD Point-in-time
Other intangibles IntangibleAssetsOtherThanGoodwill 3.41B CAD Point-in-time
Other intangibles IntangibleAssetsOtherThanGoodwill 3.41B CAD Point-in-time
Other intangibles IntangibleAssetsOtherThanGoodwill 3.04B CAD Point-in-time
Other intangibles IntangibleAssetsOtherThanGoodwill 3.04B CAD Point-in-time
Land, buildings, equipment, other depreciable assets, and right-of-use assets PropertyPlantAndEquipment 9.84B CAD Point-in-time
Land, buildings, equipment, other depreciable assets, and right-of-use assets PropertyPlantAndEquipment 9.84B CAD Point-in-time
Land, buildings, equipment, other depreciable assets, and right-of-use assets PropertyPlantAndEquipment 10.13B CAD Point-in-time
Land, buildings, equipment, other depreciable assets, and right-of-use assets PropertyPlantAndEquipment 10.13B CAD Point-in-time
Deferred tax assets DeferredTaxAssets 5.39B CAD Point-in-time
Deferred tax assets DeferredTaxAssets 4.94B CAD Point-in-time
Deferred tax assets DeferredTaxAssets 4.94B CAD Point-in-time
Deferred tax assets DeferredTaxAssets 5.39B CAD Point-in-time
Amounts receivable from brokers, dealers, and clients ReceivableFromBrokersDealersAndClients 22.11B CAD Point-in-time
Amounts receivable from brokers, dealers, and clients ReceivableFromBrokersDealersAndClients 27.34B CAD Point-in-time
Amounts receivable from brokers, dealers, and clients ReceivableFromBrokersDealersAndClients 22.11B CAD Point-in-time
Amounts receivable from brokers, dealers, and clients ReceivableFromBrokersDealersAndClients 27.34B CAD Point-in-time
Other assets OtherAssets 27.99B CAD Point-in-time
Other assets OtherAssets 27.99B CAD Point-in-time
Other assets OtherAssets 28.18B CAD Point-in-time
Other assets OtherAssets 28.18B CAD Point-in-time
Total other miscellaneous assets OtherMiscellaneousAssets 95.99B CAD Point-in-time
Total other miscellaneous assets OtherMiscellaneousAssets 95.99B CAD Point-in-time
Total other miscellaneous assets OtherMiscellaneousAssets 93.24B CAD Point-in-time
Total other miscellaneous assets OtherMiscellaneousAssets 93.24B CAD Point-in-time
Total assets Assets 2,061.75B CAD Point-in-time
Total assets Assets 2,061.75B CAD Point-in-time
Total assets Assets 2,094.56B CAD Point-in-time
Total assets Assets 2,094.56B CAD Point-in-time
Trading deposits TradingDeposits 30.41B CAD Point-in-time
Trading deposits TradingDeposits 30.41B CAD Point-in-time
Trading deposits TradingDeposits 37.88B CAD Point-in-time
Trading deposits TradingDeposits 37.88B CAD Point-in-time
Derivatives DerivativeFinancialLiabilities 79.36B CAD Point-in-time
Derivatives DerivativeFinancialLiabilities 79.36B CAD Point-in-time
Derivatives DerivativeFinancialLiabilities 68.37B CAD Point-in-time
Derivatives DerivativeFinancialLiabilities 68.37B CAD Point-in-time
Securitization liabilities at fair value SecuritizationLiabilitiesAtFairValue 20.32B CAD Point-in-time
Securitization liabilities at fair value SecuritizationLiabilitiesAtFairValue 20.32B CAD Point-in-time
Securitization liabilities at fair value SecuritizationLiabilitiesAtFairValue 25.28B CAD Point-in-time
Securitization liabilities at fair value SecuritizationLiabilitiesAtFairValue 25.28B CAD Point-in-time
Financial liabilities designated at fair value through profit or loss FinancialLiabilitiesAtFairValueThroughProfitOrLoss 207.91B CAD Point-in-time
Financial liabilities designated at fair value through profit or loss FinancialLiabilitiesAtFairValueThroughProfitOrLoss 207.91B CAD Point-in-time
Financial liabilities designated at fair value through profit or loss FinancialLiabilitiesAtFairValueThroughProfitOrLoss 197.63B CAD Point-in-time
Financial liabilities designated at fair value through profit or loss FinancialLiabilitiesAtFairValueThroughProfitOrLoss 197.63B CAD Point-in-time
Total financial liabilities other than non-trading deposits and other FinancialLiabilities 340.16B CAD Point-in-time
Total financial liabilities other than non-trading deposits and other FinancialLiabilities 340.16B CAD Point-in-time
Total financial liabilities other than non-trading deposits and other FinancialLiabilities 327.01B CAD Point-in-time
Total financial liabilities other than non-trading deposits and other FinancialLiabilities 327.01B CAD Point-in-time
Personal PersonalDeposits 641.67B CAD Point-in-time
Personal PersonalDeposits 641.67B CAD Point-in-time
Personal PersonalDeposits 650.40B CAD Point-in-time
Personal PersonalDeposits 650.40B CAD Point-in-time
Banks DepositsFromBanks 57.70B CAD Point-in-time
Banks DepositsFromBanks 57.70B CAD Point-in-time
Banks DepositsFromBanks 27.23B CAD Point-in-time
Banks DepositsFromBanks 27.23B CAD Point-in-time
Business and government DepositsFromBusinessAndGovernment 589.48B CAD Point-in-time
Business and government DepositsFromBusinessAndGovernment 589.48B CAD Point-in-time
Business and government DepositsFromBusinessAndGovernment 569.32B CAD Point-in-time
Business and government DepositsFromBusinessAndGovernment 569.32B CAD Point-in-time
Total deposits, other than trading DepositsOtherThanTrading 1,268.68B CAD Point-in-time
Total deposits, other than trading DepositsOtherThanTrading 1,268.68B CAD Point-in-time
Total deposits, other than trading DepositsOtherThanTrading 1,267.10B CAD Point-in-time
Total deposits, other than trading DepositsOtherThanTrading 1,267.10B CAD Point-in-time
Obligations related to securities sold short ObligationsRelatedToSecuritiesSoldShort 39.52B CAD Point-in-time
Obligations related to securities sold short ObligationsRelatedToSecuritiesSoldShort 39.52B CAD Point-in-time
Obligations related to securities sold short ObligationsRelatedToSecuritiesSoldShort 43.80B CAD Point-in-time
Obligations related to securities sold short ObligationsRelatedToSecuritiesSoldShort 43.80B CAD Point-in-time
Obligations related to securities sold under repurchase agreements ObligationsRelatedToSecuritiesSoldUnderRepurchaseAgreements 221.15B CAD Point-in-time
Obligations related to securities sold under repurchase agreements ObligationsRelatedToSecuritiesSoldUnderRepurchaseAgreements 221.15B CAD Point-in-time
Obligations related to securities sold under repurchase agreements ObligationsRelatedToSecuritiesSoldUnderRepurchaseAgreements 201.90B CAD Point-in-time
Obligations related to securities sold under repurchase agreements ObligationsRelatedToSecuritiesSoldUnderRepurchaseAgreements 201.90B CAD Point-in-time
Securitization liabilities at amortized cost SecuritizationLiabilitiesAtAmortizedCost 12.37B CAD Point-in-time
Securitization liabilities at amortized cost SecuritizationLiabilitiesAtAmortizedCost 12.37B CAD Point-in-time
Securitization liabilities at amortized cost SecuritizationLiabilitiesAtAmortizedCost 14.84B CAD Point-in-time
Securitization liabilities at amortized cost SecuritizationLiabilitiesAtAmortizedCost 14.84B CAD Point-in-time
Amounts payable to brokers, dealers, and clients PayableToBrokersDealersAndClients 26.60B CAD Point-in-time
Amounts payable to brokers, dealers, and clients PayableToBrokersDealersAndClients 26.60B CAD Point-in-time
Amounts payable to brokers, dealers, and clients PayableToBrokersDealersAndClients 27.43B CAD Point-in-time
Amounts payable to brokers, dealers, and clients PayableToBrokersDealersAndClients 27.43B CAD Point-in-time
Insurance contract liabilities InsuranceContractsThatAreLiabilities 7.28B CAD Point-in-time
Insurance contract liabilities InsuranceContractsThatAreLiabilities 7.28B CAD Point-in-time
Insurance contract liabilities InsuranceContractsThatAreLiabilities 7.17B CAD Point-in-time
Insurance contract liabilities InsuranceContractsThatAreLiabilities 7.17B CAD Point-in-time
Other liabilities OtherLiabilities 51.88B CAD Point-in-time
Other liabilities OtherLiabilities 51.88B CAD Point-in-time
Other liabilities OtherLiabilities 34.24B CAD Point-in-time
Other liabilities OtherLiabilities 34.24B CAD Point-in-time
Total other miscellaneous liabilities OtherMiscellaneousLiabilities 339.43B CAD Point-in-time
Total other miscellaneous liabilities OtherMiscellaneousLiabilities 339.43B CAD Point-in-time
Total other miscellaneous liabilities OtherMiscellaneousLiabilities 348.74B CAD Point-in-time
Total other miscellaneous liabilities OtherMiscellaneousLiabilities 348.74B CAD Point-in-time
Subordinated notes and debentures SubordinatedLiabilities 10.73B CAD Point-in-time
Subordinated notes and debentures SubordinatedLiabilities 10.73B CAD Point-in-time
Subordinated notes and debentures SubordinatedLiabilities 11.47B CAD Point-in-time
Subordinated notes and debentures SubordinatedLiabilities 11.47B CAD Point-in-time
Total liabilities Liabilities 1,946.59B CAD Point-in-time
Total liabilities Liabilities 1,946.59B CAD Point-in-time
Total liabilities Liabilities 1,966.73B CAD Point-in-time
Total liabilities Liabilities 1,966.73B CAD Point-in-time
Contributed surplus AdditionalPaidinCapital 204.00M CAD Point-in-time
Contributed surplus AdditionalPaidinCapital 204.00M CAD Point-in-time
Contributed surplus AdditionalPaidinCapital 285.00M CAD Point-in-time
Contributed surplus AdditionalPaidinCapital 285.00M CAD Point-in-time
Retained earnings RetainedEarnings 78.32B CAD Point-in-time
Retained earnings RetainedEarnings 78.32B CAD Point-in-time
Retained earnings RetainedEarnings 70.83B CAD Point-in-time
Retained earnings RetainedEarnings 70.83B CAD Point-in-time
Accumulated other comprehensive income (loss) AccumulatedOtherComprehensiveIncome 7.90B CAD Point-in-time
Accumulated other comprehensive income (loss) AccumulatedOtherComprehensiveIncome 7.90B CAD Point-in-time
Accumulated other comprehensive income (loss) AccumulatedOtherComprehensiveIncome 12.87B CAD Point-in-time
Accumulated other comprehensive income (loss) AccumulatedOtherComprehensiveIncome 12.87B CAD Point-in-time
Total equity Equity 115.16B CAD Point-in-time
Total equity Equity 115.16B CAD Point-in-time
Total equity Equity 127.83B CAD Point-in-time
Total equity Equity 127.83B CAD Point-in-time
Total liabilities and equity EquityAndLiabilities 2,094.56B CAD Point-in-time
Total liabilities and equity EquityAndLiabilities 2,061.75B CAD Point-in-time
Total liabilities and equity EquityAndLiabilities 2,061.75B CAD Point-in-time
Total liabilities and equity EquityAndLiabilities 2,094.56B CAD Point-in-time
Income Statement 178 line items
Line Item Tag Value Unit Period
Interest income calculated using effective interest rate method InterestRevenueCalculatedUsingEffectiveInterestMethod 84.32B CAD Annual
Interest income calculated using effective interest rate method InterestRevenueCalculatedUsingEffectiveInterestMethod 84.32B CAD Annual
Interest income calculated using effective interest rate method InterestRevenueCalculatedUsingEffectiveInterestMethod 79.00B CAD Annual
Interest income calculated using effective interest rate method InterestRevenueCalculatedUsingEffectiveInterestMethod 79.00B CAD Annual
Loans InterestIncomeOnLoansAndReceivables 53.68B CAD Annual
Loans InterestIncomeOnLoansAndReceivables 53.68B CAD Annual
Loans InterestIncomeOnLoansAndReceivables 51.73B CAD Annual
Loans InterestIncomeOnLoansAndReceivables 51.73B CAD Annual
Reverse repurchase agreements InterestIncomeOnReverseRepurchaseAgreementsAndCashCollateralOnSecuritiesBorrowed 9.86B CAD Annual
Reverse repurchase agreements InterestIncomeOnReverseRepurchaseAgreementsAndCashCollateralOnSecuritiesBorrowed 9.86B CAD Annual
Reverse repurchase agreements InterestIncomeOnReverseRepurchaseAgreementsAndCashCollateralOnSecuritiesBorrowed 11.62B CAD Annual
Reverse repurchase agreements InterestIncomeOnReverseRepurchaseAgreementsAndCashCollateralOnSecuritiesBorrowed 11.62B CAD Annual
Interest InterestIncomeOnSecuritiesExcludingDividends 20.30B CAD Annual
Interest InterestIncomeOnSecuritiesExcludingDividends 20.30B CAD Annual
Interest InterestIncomeOnSecuritiesExcludingDividends 18.21B CAD Annual
Interest InterestIncomeOnSecuritiesExcludingDividends 18.21B CAD Annual
Dividends RevenueFromDividends 2.65B CAD Annual
Dividends RevenueFromDividends 2.37B CAD Annual
Dividends RevenueFromDividends 2.37B CAD Annual
Dividends RevenueFromDividends 2.65B CAD Annual
Deposits with banks InterestIncomeOnDeposits 5.17B CAD Annual
Deposits with banks InterestIncomeOnDeposits 5.17B CAD Annual
Deposits with banks InterestIncomeOnDeposits 5.43B CAD Annual
Deposits with banks InterestIncomeOnDeposits 5.43B CAD Annual
Total interest income RevenueFromInterest 93.39B CAD Annual
Total interest income RevenueFromInterest 93.39B CAD Annual
Total interest income RevenueFromInterest 87.62B CAD Annual
Total interest income RevenueFromInterest 87.62B CAD Annual
Deposits InterestExpenseOnDeposits 46.86B CAD Annual
Deposits InterestExpenseOnDeposits 46.86B CAD Annual
Deposits InterestExpenseOnDeposits 40.04B CAD Annual
Deposits InterestExpenseOnDeposits 40.04B CAD Annual
Securitization liabilities InterestExpenseOnSecuritizationLiabilities 1.00B CAD Annual
Securitization liabilities InterestExpenseOnSecuritizationLiabilities 886.00M CAD Annual
Securitization liabilities InterestExpenseOnSecuritizationLiabilities 1.00B CAD Annual
Securitization liabilities InterestExpenseOnSecuritizationLiabilities 886.00M CAD Annual
Subordinated notes and debentures InterestExpenseOnSubordinatedNotesAndDebentures 436.00M CAD Annual
Subordinated notes and debentures InterestExpenseOnSubordinatedNotesAndDebentures 436.00M CAD Annual
Subordinated notes and debentures InterestExpenseOnSubordinatedNotesAndDebentures 519.00M CAD Annual
Subordinated notes and debentures InterestExpenseOnSubordinatedNotesAndDebentures 519.00M CAD Annual
Repurchase agreements and short sales InterestExpenseOnRepurchaseAgreementsAndCashCollateralOnSecuritiesLent 11.60B CAD Annual
Repurchase agreements and short sales InterestExpenseOnRepurchaseAgreementsAndCashCollateralOnSecuritiesLent 13.32B CAD Annual
Repurchase agreements and short sales InterestExpenseOnRepurchaseAgreementsAndCashCollateralOnSecuritiesLent 13.32B CAD Annual
Repurchase agreements and short sales InterestExpenseOnRepurchaseAgreementsAndCashCollateralOnSecuritiesLent 11.60B CAD Annual
Other InterestExpenseOnOtherFinancialLiabilities 1.51B CAD Annual
Other InterestExpenseOnOtherFinancialLiabilities 1.51B CAD Annual
Other InterestExpenseOnOtherFinancialLiabilities 1.30B CAD Annual
Other InterestExpenseOnOtherFinancialLiabilities 1.30B CAD Annual
Total interest expense InterestExpense 62.92B CAD Annual
Total interest expense InterestExpense 62.92B CAD Annual
Total interest expense InterestExpense 54.56B CAD Annual
Total interest expense InterestExpense 54.56B CAD Annual
Net interest income InterestIncomeExpenseNet1 33.06B CAD Annual
Net interest income InterestIncomeExpenseNet1 30.47B CAD Annual
Net interest income InterestIncomeExpenseNet1 30.47B CAD Annual
Net interest income InterestIncomeExpenseNet1 33.06B CAD Annual
Investment and securities services InvestmentAndSecuritiesServices 8.52B CAD Annual
Investment and securities services InvestmentAndSecuritiesServices 8.52B CAD Annual
Investment and securities services InvestmentAndSecuritiesServices 7.40B CAD Annual
Investment and securities services InvestmentAndSecuritiesServices 7.40B CAD Annual
Credit fees CreditrelatedFeeAndCommissionIncome 1.65B CAD Annual
Credit fees CreditrelatedFeeAndCommissionIncome 1.90B CAD Annual
Credit fees CreditrelatedFeeAndCommissionIncome 1.90B CAD Annual
Credit fees CreditrelatedFeeAndCommissionIncome 1.65B CAD Annual
Trading income (loss) TradingIncomeExpense 4.60B CAD Annual
Trading income (loss) TradingIncomeExpense 4.60B CAD Annual
Trading income (loss) TradingIncomeExpense 3.63B CAD Annual
Trading income (loss) TradingIncomeExpense 3.63B CAD Annual
Service charges ServiceCharges 2.79B CAD Annual
Service charges ServiceCharges 2.79B CAD Annual
Service charges ServiceCharges 2.63B CAD Annual
Service charges ServiceCharges 2.63B CAD Annual
Card services CreditCardFeeIncome 2.95B CAD Annual
Card services CreditCardFeeIncome 2.95B CAD Annual
Card services CreditCardFeeIncome 2.90B CAD Annual
Card services CreditCardFeeIncome 2.90B CAD Annual
Insurance revenue InsuranceRevenue 7.74B CAD Annual
Insurance revenue InsuranceRevenue 6.95B CAD Annual
Insurance revenue InsuranceRevenue 6.95B CAD Annual
Insurance revenue InsuranceRevenue 7.74B CAD Annual
Other income (loss) OtherOperatingIncomeExpense 1.30B CAD Annual
Other income (loss) OtherOperatingIncomeExpense 1.30B CAD Annual
Other income (loss) OtherOperatingIncomeExpense 6.51B CAD Annual
Other income (loss) OtherOperatingIncomeExpense 6.51B CAD Annual
Total non-interest income NonInterestIncome1 26.75B CAD Annual
Total non-interest income NonInterestIncome1 34.72B CAD Annual
Total non-interest income NonInterestIncome1 26.75B CAD Annual
Total non-interest income NonInterestIncome1 34.72B CAD Annual
Total revenue Revenue 67.78B CAD Annual
Total revenue Revenue 67.78B CAD Annual
Total revenue Revenue 57.22B CAD Annual
Total revenue Revenue 57.22B CAD Annual
Provision for (recovery of) credit losses IncreaseDecreaseInAllowanceAccountForCreditLossesOfFinancialAssets -4.25B CAD Annual
Provision for (recovery of) credit losses IncreaseDecreaseInAllowanceAccountForCreditLossesOfFinancialAssets -4.25B CAD Annual
Provision for (recovery of) credit losses IncreaseDecreaseInAllowanceAccountForCreditLossesOfFinancialAssets -4.51B CAD Annual
Provision for (recovery of) credit losses IncreaseDecreaseInAllowanceAccountForCreditLossesOfFinancialAssets -4.51B CAD Annual
Insurance service expenses InsuranceServiceExpensesFromInsuranceContractsIssued 6.65B CAD Annual
Insurance service expenses InsuranceServiceExpensesFromInsuranceContractsIssued 6.65B CAD Annual
Insurance service expenses InsuranceServiceExpensesFromInsuranceContractsIssued 6.09B CAD Annual
Insurance service expenses InsuranceServiceExpensesFromInsuranceContractsIssued 6.09B CAD Annual
Salaries and employee benefits EmployeeBenefitsExpense 18.23B CAD Annual
Salaries and employee benefits EmployeeBenefitsExpense 18.23B CAD Annual
Salaries and employee benefits EmployeeBenefitsExpense 16.73B CAD Annual
Salaries and employee benefits EmployeeBenefitsExpense 16.73B CAD Annual
Occupancy, including depreciation OccupancyExpense 1.96B CAD Annual
Occupancy, including depreciation OccupancyExpense 1.96B CAD Annual
Occupancy, including depreciation OccupancyExpense 1.96B CAD Annual
Occupancy, including depreciation OccupancyExpense 1.96B CAD Annual
Technology and equipment, including depreciation EquipmentExpense1 2.66B CAD Annual
Technology and equipment, including depreciation EquipmentExpense1 2.66B CAD Annual
Technology and equipment, including depreciation EquipmentExpense1 2.87B CAD Annual
Technology and equipment, including depreciation EquipmentExpense1 2.87B CAD Annual
Amortization of other intangibles AmortisationIntangibleAssetsOtherThanGoodwill 780.00M CAD Annual
Amortization of other intangibles AmortisationIntangibleAssetsOtherThanGoodwill 780.00M CAD Annual
Amortization of other intangibles AmortisationIntangibleAssetsOtherThanGoodwill 702.00M CAD Annual
Amortization of other intangibles AmortisationIntangibleAssetsOtherThanGoodwill 702.00M CAD Annual
Communication and marketing SalesAndMarketingExpense 1.52B CAD Annual
Communication and marketing SalesAndMarketingExpense 1.52B CAD Annual
Communication and marketing SalesAndMarketingExpense 1.64B CAD Annual
Communication and marketing SalesAndMarketingExpense 1.64B CAD Annual
Restructuring charges ExpenseOfRestructuringActivities 686.00M CAD Annual
Restructuring charges ExpenseOfRestructuringActivities 566.00M CAD Annual
Restructuring charges ExpenseOfRestructuringActivities 566.00M CAD Annual
Restructuring charges ExpenseOfRestructuringActivities 686.00M CAD Annual
Brokerage-related and sub-advisory fees BrokerageFeeExpense 528.00M CAD Annual
Brokerage-related and sub-advisory fees BrokerageFeeExpense 528.00M CAD Annual
Brokerage-related and sub-advisory fees BrokerageFeeExpense 498.00M CAD Annual
Brokerage-related and sub-advisory fees BrokerageFeeExpense 498.00M CAD Annual
Professional, advisory and outside services ProfessionalFeesExpense 4.29B CAD Annual
Professional, advisory and outside services ProfessionalFeesExpense 3.06B CAD Annual
Professional, advisory and outside services ProfessionalFeesExpense 3.06B CAD Annual
Professional, advisory and outside services ProfessionalFeesExpense 4.29B CAD Annual
Other NonInterestExpenseOther 2.55B CAD Annual
Other NonInterestExpenseOther 2.55B CAD Annual
Other NonInterestExpenseOther 7.80B CAD Annual
Other NonInterestExpenseOther 7.80B CAD Annual
Total non-interest expenses NonInterestExpense1 35.49B CAD Annual
Total non-interest expenses NonInterestExpense1 35.49B CAD Annual
Total non-interest expenses NonInterestExpense1 33.54B CAD Annual
Total non-interest expenses NonInterestExpense1 33.54B CAD Annual
Income before income taxes and share of net income from investment in Schwab ProfitLossBeforeTaxAndEquityInNetIncomeOfInvestmentInAssociates 10.83B CAD Annual
Income before income taxes and share of net income from investment in Schwab ProfitLossBeforeTaxAndEquityInNetIncomeOfInvestmentInAssociates 10.83B CAD Annual
Income before income taxes and share of net income from investment in Schwab ProfitLossBeforeTaxAndEquityInNetIncomeOfInvestmentInAssociates 23.64B CAD Annual
Income before income taxes and share of net income from investment in Schwab ProfitLossBeforeTaxAndEquityInNetIncomeOfInvestmentInAssociates 23.64B CAD Annual
Provision for (recovery of) income taxes IncomeTaxExpenseContinuingOperations 3.41B CAD Annual
Provision for (recovery of) income taxes IncomeTaxExpenseContinuingOperations 3.41B CAD Annual
Provision for (recovery of) income taxes IncomeTaxExpenseContinuingOperations 2.69B CAD Annual
Provision for (recovery of) income taxes IncomeTaxExpenseContinuingOperations 2.69B CAD Annual
Share of net income from investment in Schwab ShareOfProfitLossOfAssociatesAndJointVenturesAccountedForUsingEquityMethod 703.00M CAD Annual
Share of net income from investment in Schwab ShareOfProfitLossOfAssociatesAndJointVenturesAccountedForUsingEquityMethod 703.00M CAD Annual
Share of net income from investment in Schwab ShareOfProfitLossOfAssociatesAndJointVenturesAccountedForUsingEquityMethod 305.00M CAD Annual
Share of net income from investment in Schwab ShareOfProfitLossOfAssociatesAndJointVenturesAccountedForUsingEquityMethod 305.00M CAD Annual
Net income ProfitLoss 20.54B CAD Annual
Net income ProfitLoss 20.54B CAD Annual
Net income ProfitLoss 8.84B CAD Annual
Net income ProfitLoss 8.84B CAD Annual
Preferred dividends and distributions on other equity instruments AdjustmentToProfitLossForPreferenceShareDividends 526.00M CAD Annual
Preferred dividends and distributions on other equity instruments AdjustmentToProfitLossForPreferenceShareDividends 526.00M CAD Annual
Preferred dividends and distributions on other equity instruments AdjustmentToProfitLossForPreferenceShareDividends 565.00M CAD Annual
Preferred dividends and distributions on other equity instruments AdjustmentToProfitLossForPreferenceShareDividends 565.00M CAD Annual
Net income available to common shareholders ProfitLossAttributableToOrdinaryEquityHoldersAndNoncontrollingInterests 19.97B CAD Annual
Net income available to common shareholders ProfitLossAttributableToOrdinaryEquityHoldersAndNoncontrollingInterests 19.97B CAD Annual
Net income available to common shareholders ProfitLossAttributableToOrdinaryEquityHoldersAndNoncontrollingInterests 8.32B CAD Annual
Net income available to common shareholders ProfitLossAttributableToOrdinaryEquityHoldersAndNoncontrollingInterests 8.32B CAD Annual
Basic BasicEarningsLossPerShare 4.73 CAD Annual
Basic BasicEarningsLossPerShare 4.73 CAD Annual
Basic BasicEarningsLossPerShare 11.57 CAD Annual
Basic BasicEarningsLossPerShare 11.57 CAD Annual
Diluted DilutedEarningsLossPerShare 11.56 CAD Annual
Diluted DilutedEarningsLossPerShare 4.72 CAD Annual
Diluted DilutedEarningsLossPerShare 4.72 CAD Annual
Diluted DilutedEarningsLossPerShare 11.56 CAD Annual
Dividends per common share DividendsPaidOrdinarySharesPerShare 1.05 CAD 1 Quarter
Dividends per common share DividendsPaidOrdinarySharesPerShare 1.05 CAD 1 Quarter
Dividends per common share DividendsPaidOrdinarySharesPerShare 4.20 CAD Annual
Dividends per common share DividendsPaidOrdinarySharesPerShare 4.08 CAD Annual
Dividends per common share DividendsPaidOrdinarySharesPerShare 4.08 CAD Annual
Dividends per common share DividendsPaidOrdinarySharesPerShare 4.20 CAD Annual
Cash Flow Statement 212 line items
Line Item Tag Value Unit Period
Net income ProfitLoss 8.84B CAD Annual
Net income ProfitLoss 8.84B CAD Annual
Net income ProfitLoss 20.54B CAD Annual
Net income ProfitLoss 20.54B CAD Annual
Provision for (recovery of) credit losses AdjustmentsForImpairmentLossReversalOfImpairmentLossRecognisedInProfitOrLoss 4.25B CAD Annual
Provision for (recovery of) credit losses AdjustmentsForImpairmentLossReversalOfImpairmentLossRecognisedInProfitOrLoss 4.25B CAD Annual
Provision for (recovery of) credit losses AdjustmentsForImpairmentLossReversalOfImpairmentLossRecognisedInProfitOrLoss 4.51B CAD Annual
Provision for (recovery of) credit losses AdjustmentsForImpairmentLossReversalOfImpairmentLossRecognisedInProfitOrLoss 4.51B CAD Annual
Depreciation AdjustmentsForDepreciationExpense 1.32B CAD Annual
Depreciation AdjustmentsForDepreciationExpense 1.32B CAD Annual
Depreciation AdjustmentsForDepreciationExpense 1.39B CAD Annual
Depreciation AdjustmentsForDepreciationExpense 1.39B CAD Annual
Amortization of other intangibles AdjustmentsForAmortizationExpenseOfOtherIntangibles 780.00M CAD Annual
Amortization of other intangibles AdjustmentsForAmortizationExpenseOfOtherIntangibles 780.00M CAD Annual
Amortization of other intangibles AdjustmentsForAmortizationExpenseOfOtherIntangibles 702.00M CAD Annual
Amortization of other intangibles AdjustmentsForAmortizationExpenseOfOtherIntangibles 702.00M CAD Annual
Net securities loss/(gain) AdjustmentForNetRealizedGainsLossesOnSecurities -358.00M CAD Annual
Net securities loss/(gain) AdjustmentForNetRealizedGainsLossesOnSecurities -358.00M CAD Annual
Net securities loss/(gain) AdjustmentForNetRealizedGainsLossesOnSecurities -1.95B CAD Annual
Net securities loss/(gain) AdjustmentForNetRealizedGainsLossesOnSecurities -1.95B CAD Annual
Share of net income from investment in Schwab AdjustmentsForUndistributedProfitsOfInvestmentsAccountedForUsingEquityMethod 305.00M CAD Annual
Share of net income from investment in Schwab AdjustmentsForUndistributedProfitsOfInvestmentsAccountedForUsingEquityMethod 703.00M CAD Annual
Share of net income from investment in Schwab AdjustmentsForUndistributedProfitsOfInvestmentsAccountedForUsingEquityMethod 703.00M CAD Annual
Share of net income from investment in Schwab AdjustmentsForUndistributedProfitsOfInvestmentsAccountedForUsingEquityMethod 305.00M CAD Annual
Gain on sale of Schwab shares AdjustmentsForGainLossOnDisposalOfInvestmentsInSubsidiariesJointVenturesAndAssociates 9.16B CAD Annual
Gain on sale of Schwab shares AdjustmentsForGainLossOnDisposalOfInvestmentsInSubsidiariesJointVenturesAndAssociates 9.16B CAD Annual
Gain on sale of Schwab shares AdjustmentsForGainLossOnDisposalOfInvestmentsInSubsidiariesJointVenturesAndAssociates 1.02B CAD Annual
Gain on sale of Schwab shares AdjustmentsForGainLossOnDisposalOfInvestmentsInSubsidiariesJointVenturesAndAssociates 1.02B CAD Annual
Deferred taxes AdjustmentsForDeferredTaxExpense -1.06B CAD Annual
Deferred taxes AdjustmentsForDeferredTaxExpense -1.06B CAD Annual
Deferred taxes AdjustmentsForDeferredTaxExpense -764.00M CAD Annual
Deferred taxes AdjustmentsForDeferredTaxExpense -764.00M CAD Annual
Interest receivable and payable AdjustmentsForIncreaseDecreaseInAccruedInterestReceivableAndPayable -1.13B CAD Annual
Interest receivable and payable AdjustmentsForIncreaseDecreaseInAccruedInterestReceivableAndPayable -1.13B CAD Annual
Interest receivable and payable AdjustmentsForIncreaseDecreaseInAccruedInterestReceivableAndPayable 1.07B CAD Annual
Interest receivable and payable AdjustmentsForIncreaseDecreaseInAccruedInterestReceivableAndPayable 1.07B CAD Annual
Securities sold under repurchase agreements AdjustmentsForIncreaseDecreaseInRepurchaseAgreementsAndCashCollateralOnSecuritiesLent 19.25B CAD Annual
Securities sold under repurchase agreements AdjustmentsForIncreaseDecreaseInRepurchaseAgreementsAndCashCollateralOnSecuritiesLent 19.25B CAD Annual
Securities sold under repurchase agreements AdjustmentsForIncreaseDecreaseInRepurchaseAgreementsAndCashCollateralOnSecuritiesLent 35.05B CAD Annual
Securities sold under repurchase agreements AdjustmentsForIncreaseDecreaseInRepurchaseAgreementsAndCashCollateralOnSecuritiesLent 35.05B CAD Annual
Securities purchased under reverse repurchase agreements AdjustmentsForDecreaseIncreaseInReverseRepurchaseAgreementsAndCashCollateralOnSecuritiesBorrowed -3.88B CAD Annual
Securities purchased under reverse repurchase agreements AdjustmentsForDecreaseIncreaseInReverseRepurchaseAgreementsAndCashCollateralOnSecuritiesBorrowed -3.88B CAD Annual
Securities purchased under reverse repurchase agreements AdjustmentsForDecreaseIncreaseInReverseRepurchaseAgreementsAndCashCollateralOnSecuritiesBorrowed -38.86B CAD Annual
Securities purchased under reverse repurchase agreements AdjustmentsForDecreaseIncreaseInReverseRepurchaseAgreementsAndCashCollateralOnSecuritiesBorrowed -38.86B CAD Annual
Obligations related to securities sold short AdjustmentsForIncreaseDecreaseInSecuritiesSoldShort -5.15B CAD Annual
Obligations related to securities sold short AdjustmentsForIncreaseDecreaseInSecuritiesSoldShort -5.15B CAD Annual
Obligations related to securities sold short AdjustmentsForIncreaseDecreaseInSecuritiesSoldShort 4.28B CAD Annual
Obligations related to securities sold short AdjustmentsForIncreaseDecreaseInSecuritiesSoldShort 4.28B CAD Annual
Trading loans, securities, and other AdjustmentsForDecreaseIncreaseFinancialAssetsTradingLoansSecuritiesAndOther -44.37B CAD Annual
Trading loans, securities, and other AdjustmentsForDecreaseIncreaseFinancialAssetsTradingLoansSecuritiesAndOther -23.68B CAD Annual
Trading loans, securities, and other AdjustmentsForDecreaseIncreaseFinancialAssetsTradingLoansSecuritiesAndOther -23.68B CAD Annual
Trading loans, securities, and other AdjustmentsForDecreaseIncreaseFinancialAssetsTradingLoansSecuritiesAndOther -44.37B CAD Annual
Loans net of securitization and sales AdjustmentsForDecreaseIncreaseInLoansNetOfSecuritizationsAndSales 8.02B CAD Annual
Loans net of securitization and sales AdjustmentsForDecreaseIncreaseInLoansNetOfSecuritizationsAndSales 8.02B CAD Annual
Loans net of securitization and sales AdjustmentsForDecreaseIncreaseInLoansNetOfSecuritizationsAndSales 57.91B CAD Annual
Loans net of securitization and sales AdjustmentsForDecreaseIncreaseInLoansNetOfSecuritizationsAndSales 57.91B CAD Annual
Deposits AdjustmentsForIncreaseDecreaseInDeposits 69.92B CAD Annual
Deposits AdjustmentsForIncreaseDecreaseInDeposits 69.92B CAD Annual
Deposits AdjustmentsForIncreaseDecreaseInDeposits 5.89B CAD Annual
Deposits AdjustmentsForIncreaseDecreaseInDeposits 5.89B CAD Annual
Derivatives AdjustmentsForIncreaseDecreaseInNetDerivativeFinancialInstruments 6.05B CAD Annual
Derivatives AdjustmentsForIncreaseDecreaseInNetDerivativeFinancialInstruments 6.05B CAD Annual
Derivatives AdjustmentsForIncreaseDecreaseInNetDerivativeFinancialInstruments 6.08B CAD Annual
Derivatives AdjustmentsForIncreaseDecreaseInNetDerivativeFinancialInstruments 6.08B CAD Annual
Non-trading financial assets at fair value through profit or loss AdjustmentsForIncreaseDecreaseInNonTradingFinancialAssetsDesignatedAtFairValueThroughProfitOrLoss 1.47B CAD Annual
Non-trading financial assets at fair value through profit or loss AdjustmentsForIncreaseDecreaseInNonTradingFinancialAssetsDesignatedAtFairValueThroughProfitOrLoss 1.47B CAD Annual
Non-trading financial assets at fair value through profit or loss AdjustmentsForIncreaseDecreaseInNonTradingFinancialAssetsDesignatedAtFairValueThroughProfitOrLoss -1.53B CAD Annual
Non-trading financial assets at fair value through profit or loss AdjustmentsForIncreaseDecreaseInNonTradingFinancialAssetsDesignatedAtFairValueThroughProfitOrLoss -1.53B CAD Annual
Financial assets and liabilities designated at fair value through profit or loss AdjustmentsForIncreaseDecreaseInFinancialAssetsDesignatedAtFairValueThroughProfitOrLoss -10.85B CAD Annual
Financial assets and liabilities designated at fair value through profit or loss AdjustmentsForIncreaseDecreaseInFinancialAssetsDesignatedAtFairValueThroughProfitOrLoss -10.85B CAD Annual
Financial assets and liabilities designated at fair value through profit or loss AdjustmentsForIncreaseDecreaseInFinancialAssetsDesignatedAtFairValueThroughProfitOrLoss 15.19B CAD Annual
Financial assets and liabilities designated at fair value through profit or loss AdjustmentsForIncreaseDecreaseInFinancialAssetsDesignatedAtFairValueThroughProfitOrLoss 15.19B CAD Annual
Securitization liabilities AdjustmentsForIncreaseDecreaseInSecuritizationLiabilities 7.44B CAD Annual
Securitization liabilities AdjustmentsForIncreaseDecreaseInSecuritizationLiabilities 5.55B CAD Annual
Securitization liabilities AdjustmentsForIncreaseDecreaseInSecuritizationLiabilities 5.55B CAD Annual
Securitization liabilities AdjustmentsForIncreaseDecreaseInSecuritizationLiabilities 7.44B CAD Annual
Current taxes AdjustmentsForIncreaseDecreaseInCurrentIncomeTaxes 441.00M CAD Annual
Current taxes AdjustmentsForIncreaseDecreaseInCurrentIncomeTaxes 441.00M CAD Annual
Current taxes AdjustmentsForIncreaseDecreaseInCurrentIncomeTaxes 658.00M CAD Annual
Current taxes AdjustmentsForIncreaseDecreaseInCurrentIncomeTaxes 658.00M CAD Annual
Amounts receivable and payable from brokers, dealers, and clients AdjustmentsForIncreaseDecreaseInBrokersDealersAndClientsAmountsReceivableAndPayable 4.39B CAD Annual
Amounts receivable and payable from brokers, dealers, and clients AdjustmentsForIncreaseDecreaseInBrokersDealersAndClientsAmountsReceivableAndPayable 4.39B CAD Annual
Amounts receivable and payable from brokers, dealers, and clients AdjustmentsForIncreaseDecreaseInBrokersDealersAndClientsAmountsReceivableAndPayable -4.03B CAD Annual
Amounts receivable and payable from brokers, dealers, and clients AdjustmentsForIncreaseDecreaseInBrokersDealersAndClientsAmountsReceivableAndPayable -4.03B CAD Annual
Other, including unrealized foreign currency translation loss/(gain) OtherAdjustmentsIncludingUnrealisedForeignExchangeLossesGains -6.18B CAD Annual
Other, including unrealized foreign currency translation loss/(gain) OtherAdjustmentsIncludingUnrealisedForeignExchangeLossesGains -6.18B CAD Annual
Other, including unrealized foreign currency translation loss/(gain) OtherAdjustmentsIncludingUnrealisedForeignExchangeLossesGains -22.87B CAD Annual
Other, including unrealized foreign currency translation loss/(gain) OtherAdjustmentsIncludingUnrealisedForeignExchangeLossesGains -22.87B CAD Annual
Net cash from (used in) operating activities CashFlowsFromUsedInOperatingActivities -69.65B CAD Annual
Net cash from (used in) operating activities CashFlowsFromUsedInOperatingActivities 54.94B CAD Annual
Net cash from (used in) operating activities CashFlowsFromUsedInOperatingActivities 54.94B CAD Annual
Net cash from (used in) operating activities CashFlowsFromUsedInOperatingActivities -69.65B CAD Annual
Issuance of subordinated notes and debentures ProceedsFromBorrowingsClassifiedAsFinancingActivities 2.28B CAD Annual
Issuance of subordinated notes and debentures ProceedsFromBorrowingsClassifiedAsFinancingActivities 2.28B CAD Annual
Issuance of subordinated notes and debentures ProceedsFromBorrowingsClassifiedAsFinancingActivities 3.32B CAD Annual
Issuance of subordinated notes and debentures ProceedsFromBorrowingsClassifiedAsFinancingActivities 3.32B CAD Annual
Redemption or repurchase of subordinated notes and debentures ProceedsFromRepaymentsOfSubordinatedLiabilities -3.17B CAD Annual
Redemption or repurchase of subordinated notes and debentures ProceedsFromRepaymentsOfSubordinatedLiabilities -1.54B CAD Annual
Redemption or repurchase of subordinated notes and debentures ProceedsFromRepaymentsOfSubordinatedLiabilities -1.54B CAD Annual
Redemption or repurchase of subordinated notes and debentures ProceedsFromRepaymentsOfSubordinatedLiabilities -3.17B CAD Annual
Common shares issued, net of issuance costs ProceedsFromIssueOfOrdinaryShares 100.00M CAD Annual
Common shares issued, net of issuance costs ProceedsFromIssueOfOrdinaryShares 150.00M CAD Annual
Common shares issued, net of issuance costs ProceedsFromIssueOfOrdinaryShares 100.00M CAD Annual
Common shares issued, net of issuance costs ProceedsFromIssueOfOrdinaryShares 150.00M CAD Annual
Repurchase of common shares, including tax on net value of share repurchases PaymentForCommonSharesRepurchasedForCancellation 6.21B CAD Annual
Repurchase of common shares, including tax on net value of share repurchases PaymentForCommonSharesRepurchasedForCancellation 6.21B CAD Annual
Repurchase of common shares, including tax on net value of share repurchases PaymentForCommonSharesRepurchasedForCancellation 4.00B CAD Annual
Repurchase of common shares, including tax on net value of share repurchases PaymentForCommonSharesRepurchasedForCancellation 4.00B CAD Annual
Preferred shares and other equity instruments issued, net of issuance costs ProceedsFromIssueOfPreferredSharesAndOtherEquityInstruments 1.33B CAD Annual
Preferred shares and other equity instruments issued, net of issuance costs ProceedsFromIssueOfPreferredSharesAndOtherEquityInstruments 1.33B CAD Annual
Preferred shares and other equity instruments issued, net of issuance costs ProceedsFromIssueOfPreferredSharesAndOtherEquityInstruments 1.78B CAD Annual
Preferred shares and other equity instruments issued, net of issuance costs ProceedsFromIssueOfPreferredSharesAndOtherEquityInstruments 1.78B CAD Annual
Redemption of preferred shares and other equity instruments PaymentForRedemptionOfPreferredSharesAndOtherEquityInstruments 1.30B CAD Annual
Redemption of preferred shares and other equity instruments PaymentForRedemptionOfPreferredSharesAndOtherEquityInstruments 1.30B CAD Annual
Redemption of preferred shares and other equity instruments PaymentForRedemptionOfPreferredSharesAndOtherEquityInstruments 1.05B CAD Annual
Redemption of preferred shares and other equity instruments PaymentForRedemptionOfPreferredSharesAndOtherEquityInstruments 1.05B CAD Annual
Sale of treasury shares and other equity instruments ProceedsFromSaleOfTreasurySharesAndOtherEquityInstruments 14.69B CAD Annual
Sale of treasury shares and other equity instruments ProceedsFromSaleOfTreasurySharesAndOtherEquityInstruments 14.69B CAD Annual
Sale of treasury shares and other equity instruments ProceedsFromSaleOfTreasurySharesAndOtherEquityInstruments 11.95B CAD Annual
Sale of treasury shares and other equity instruments ProceedsFromSaleOfTreasurySharesAndOtherEquityInstruments 11.95B CAD Annual
Purchase of treasury shares and other equity instruments PaymentForPurchaseOfTreasurySharesAndOtherEquityInstruments 11.83B CAD Annual
Purchase of treasury shares and other equity instruments PaymentForPurchaseOfTreasurySharesAndOtherEquityInstruments 11.83B CAD Annual
Purchase of treasury shares and other equity instruments PaymentForPurchaseOfTreasurySharesAndOtherEquityInstruments 14.63B CAD Annual
Purchase of treasury shares and other equity instruments PaymentForPurchaseOfTreasurySharesAndOtherEquityInstruments 14.63B CAD Annual
Dividends paid on shares and distributions paid on other equity instruments DividendsPaidClassifiedAsFinancingActivities 7.16B CAD Annual
Dividends paid on shares and distributions paid on other equity instruments DividendsPaidClassifiedAsFinancingActivities 7.16B CAD Annual
Dividends paid on shares and distributions paid on other equity instruments DividendsPaidClassifiedAsFinancingActivities 7.66B CAD Annual
Dividends paid on shares and distributions paid on other equity instruments DividendsPaidClassifiedAsFinancingActivities 7.66B CAD Annual
Repayment of lease liabilities RepaymentOfLeaseLiabilities 1.68B CAD Annual
Repayment of lease liabilities RepaymentOfLeaseLiabilities 1.68B CAD Annual
Repayment of lease liabilities RepaymentOfLeaseLiabilities 678.00M CAD Annual
Repayment of lease liabilities RepaymentOfLeaseLiabilities 678.00M CAD Annual
Net cash from (used in) financing activities CashFlowsFromUsedInFinancingActivities -9.81B CAD Annual
Net cash from (used in) financing activities CashFlowsFromUsedInFinancingActivities -9.81B CAD Annual
Net cash from (used in) financing activities CashFlowsFromUsedInFinancingActivities -15.50B CAD Annual
Net cash from (used in) financing activities CashFlowsFromUsedInFinancingActivities -15.50B CAD Annual
Interest-bearing deposits with banks CashFlowsFromUsedInDecreaseIncreaseInShorttermDepositsAndInvestments -71.15B CAD Annual
Interest-bearing deposits with banks CashFlowsFromUsedInDecreaseIncreaseInShorttermDepositsAndInvestments -71.15B CAD Annual
Interest-bearing deposits with banks CashFlowsFromUsedInDecreaseIncreaseInShorttermDepositsAndInvestments 61.59B CAD Annual
Interest-bearing deposits with banks CashFlowsFromUsedInDecreaseIncreaseInShorttermDepositsAndInvestments 61.59B CAD Annual
Purchases PurchaseOfFinancialAssetsAtFairValueThroughOtherComprehensiveIncome 77.19B CAD Annual
Purchases PurchaseOfFinancialAssetsAtFairValueThroughOtherComprehensiveIncome 77.19B CAD Annual
Purchases PurchaseOfFinancialAssetsAtFairValueThroughOtherComprehensiveIncome 42.54B CAD Annual
Purchases PurchaseOfFinancialAssetsAtFairValueThroughOtherComprehensiveIncome 42.54B CAD Annual
Proceeds from maturities ProceedsFromMaturityOfFinancialAssetsAtFairValueThroughOtherComprehensiveIncome 18.82B CAD Annual
Proceeds from maturities ProceedsFromMaturityOfFinancialAssetsAtFairValueThroughOtherComprehensiveIncome 18.82B CAD Annual
Proceeds from maturities ProceedsFromMaturityOfFinancialAssetsAtFairValueThroughOtherComprehensiveIncome 33.48B CAD Annual
Proceeds from maturities ProceedsFromMaturityOfFinancialAssetsAtFairValueThroughOtherComprehensiveIncome 33.48B CAD Annual
Proceeds from sales ProceedsFromSalesOfFinancialAssetsAtFairValueThroughOtherComprehensiveIncome 4.13B CAD Annual
Proceeds from sales ProceedsFromSalesOfFinancialAssetsAtFairValueThroughOtherComprehensiveIncome 4.13B CAD Annual
Proceeds from sales ProceedsFromSalesOfFinancialAssetsAtFairValueThroughOtherComprehensiveIncome 14.43B CAD Annual
Proceeds from sales ProceedsFromSalesOfFinancialAssetsAtFairValueThroughOtherComprehensiveIncome 14.43B CAD Annual
Purchases PurchasesOfDebtSecuritiesAtAmortizedCost 53.44B CAD Annual
Purchases PurchasesOfDebtSecuritiesAtAmortizedCost 11.31B CAD Annual
Purchases PurchasesOfDebtSecuritiesAtAmortizedCost 11.31B CAD Annual
Purchases PurchasesOfDebtSecuritiesAtAmortizedCost 53.44B CAD Annual
Proceeds from maturities ProceedsFromMaturityOfDebtSecuritiesAtAmortizedCost 49.65B CAD Annual
Proceeds from maturities ProceedsFromMaturityOfDebtSecuritiesAtAmortizedCost 49.65B CAD Annual
Proceeds from maturities ProceedsFromMaturityOfDebtSecuritiesAtAmortizedCost 49.61B CAD Annual
Proceeds from maturities ProceedsFromMaturityOfDebtSecuritiesAtAmortizedCost 49.61B CAD Annual
Proceeds from sales ProceedsFromSaleOfDebtSecuritiesAtAmortizedCost 5.77B CAD Annual
Proceeds from sales ProceedsFromSaleOfDebtSecuritiesAtAmortizedCost 5.77B CAD Annual
Proceeds from sales ProceedsFromSaleOfDebtSecuritiesAtAmortizedCost 39.03B CAD Annual
Proceeds from sales ProceedsFromSaleOfDebtSecuritiesAtAmortizedCost 39.03B CAD Annual
Net purchases of land, buildings, equipment, other depreciable assets, and other intangibles NetPurchasesOfLandBuildingsEquipmentAndOtherDepreciableAssets 2.18B CAD Annual
Net purchases of land, buildings, equipment, other depreciable assets, and other intangibles NetPurchasesOfLandBuildingsEquipmentAndOtherDepreciableAssets 2.18B CAD Annual
Net purchases of land, buildings, equipment, other depreciable assets, and other intangibles NetPurchasesOfLandBuildingsEquipmentAndOtherDepreciableAssets 2.15B CAD Annual
Net purchases of land, buildings, equipment, other depreciable assets, and other intangibles NetPurchasesOfLandBuildingsEquipmentAndOtherDepreciableAssets 2.15B CAD Annual
Net cash acquired from divestitures CashFlowsFromDivestituresAndAcquisitionsOfSubsidiariesOrEquityAccountedAssociates -3.42B CAD Annual
Net cash acquired from divestitures CashFlowsFromDivestituresAndAcquisitionsOfSubsidiariesOrEquityAccountedAssociates -3.42B CAD Annual
Net cash acquired from divestitures CashFlowsFromDivestituresAndAcquisitionsOfSubsidiariesOrEquityAccountedAssociates -20.78B CAD Annual
Net cash acquired from divestitures CashFlowsFromDivestituresAndAcquisitionsOfSubsidiariesOrEquityAccountedAssociates -20.78B CAD Annual
Net cash from (used in) investing activities CashFlowsFromUsedInInvestingActivities 86.19B CAD Annual
Net cash from (used in) investing activities CashFlowsFromUsedInInvestingActivities 86.19B CAD Annual
Net cash from (used in) investing activities CashFlowsFromUsedInInvestingActivities -45.42B CAD Annual
Net cash from (used in) investing activities CashFlowsFromUsedInInvestingActivities -45.42B CAD Annual
Effect of exchange rate changes on cash and due from banks EffectOfExchangeRateChangesOnCashAndCashEquivalents 14.00M CAD Annual
Effect of exchange rate changes on cash and due from banks EffectOfExchangeRateChangesOnCashAndCashEquivalents 14.00M CAD Annual
Effect of exchange rate changes on cash and due from banks EffectOfExchangeRateChangesOnCashAndCashEquivalents 34.00M CAD Annual
Effect of exchange rate changes on cash and due from banks EffectOfExchangeRateChangesOnCashAndCashEquivalents 34.00M CAD Annual
Net increase (decrease) in cash and due from banks IncreaseDecreaseInCashAndCashEquivalents -284.00M CAD Annual
Net increase (decrease) in cash and due from banks IncreaseDecreaseInCashAndCashEquivalents -284.00M CAD Annual
Net increase (decrease) in cash and due from banks IncreaseDecreaseInCashAndCashEquivalents 1.07B CAD Annual
Net increase (decrease) in cash and due from banks IncreaseDecreaseInCashAndCashEquivalents 1.07B CAD Annual
Cash and due from banks at beginning of year CashAndCashEquivalents 7.51B CAD Point-in-time
Cash and due from banks at beginning of year CashAndCashEquivalents 7.51B CAD Point-in-time
Cash and due from banks at beginning of year CashAndCashEquivalents 6.44B CAD Point-in-time
Cash and due from banks at beginning of year CashAndCashEquivalents 6.72B CAD Point-in-time
Cash and due from banks at beginning of year CashAndCashEquivalents 6.72B CAD Point-in-time
Cash and due from banks at beginning of year CashAndCashEquivalents 6.44B CAD Point-in-time
Cash and due from banks at end of year CashAndCashEquivalents 6.72B CAD Point-in-time
Cash and due from banks at end of year CashAndCashEquivalents 6.72B CAD Point-in-time
Cash and due from banks at end of year CashAndCashEquivalents 6.44B CAD Point-in-time
Cash and due from banks at end of year CashAndCashEquivalents 6.44B CAD Point-in-time
Cash and due from banks at end of year CashAndCashEquivalents 7.51B CAD Point-in-time
Cash and due from banks at end of year CashAndCashEquivalents 7.51B CAD Point-in-time
Amount of income taxes paid (refunded) during the year IncomeTaxesPaidRefundClassifiedAsOperatingActivities 4.33B CAD Annual
Amount of income taxes paid (refunded) during the year IncomeTaxesPaidRefundClassifiedAsOperatingActivities 4.33B CAD Annual
Amount of income taxes paid (refunded) during the year IncomeTaxesPaidRefundClassifiedAsOperatingActivities 3.81B CAD Annual
Amount of income taxes paid (refunded) during the year IncomeTaxesPaidRefundClassifiedAsOperatingActivities 3.81B CAD Annual
Amount of interest paid during the year InterestPaidClassifiedAsOperatingActivities 61.78B CAD Annual
Amount of interest paid during the year InterestPaidClassifiedAsOperatingActivities 61.78B CAD Annual
Amount of interest paid during the year InterestPaidClassifiedAsOperatingActivities 55.47B CAD Annual
Amount of interest paid during the year InterestPaidClassifiedAsOperatingActivities 55.47B CAD Annual
Amount of interest received during the year InterestReceivedClassifiedAsOperatingActivities 91.01B CAD Annual
Amount of interest received during the year InterestReceivedClassifiedAsOperatingActivities 91.01B CAD Annual
Amount of interest received during the year InterestReceivedClassifiedAsOperatingActivities 84.81B CAD Annual
Amount of interest received during the year InterestReceivedClassifiedAsOperatingActivities 84.81B CAD Annual
Amount of dividends received during the year DividendsReceivedClassifiedAsOperatingActivities 2.69B CAD Annual
Amount of dividends received during the year DividendsReceivedClassifiedAsOperatingActivities 2.69B CAD Annual
Amount of dividends received during the year DividendsReceivedClassifiedAsOperatingActivities 2.69B CAD Annual
Amount of dividends received during the year DividendsReceivedClassifiedAsOperatingActivities 2.69B CAD Annual
Stockholders Equity 36 line items
Line Item Tag Value Unit Period
Balance at beginning of year Equity 115.16B CAD Point-in-time
Balance at beginning of year Equity 115.16B CAD Point-in-time
Balance at beginning of year Equity 127.83B CAD Point-in-time
Balance at beginning of year Equity 127.83B CAD Point-in-time
Remeasurement gain/(loss) on employee benefit plans OtherComprehensiveIncomeNetOfTaxGainsLossesOnRemeasurementsOfDefinedBenefitPlans -111.00M CAD Annual
Remeasurement gain/(loss) on employee benefit plans OtherComprehensiveIncomeNetOfTaxGainsLossesOnRemeasurementsOfDefinedBenefitPlans -111.00M CAD Annual
Remeasurement gain/(loss) on employee benefit plans OtherComprehensiveIncomeNetOfTaxGainsLossesOnRemeasurementsOfDefinedBenefitPlans 17.00M CAD Annual
Remeasurement gain/(loss) on employee benefit plans OtherComprehensiveIncomeNetOfTaxGainsLossesOnRemeasurementsOfDefinedBenefitPlans 17.00M CAD Annual
Other comprehensive income (loss) OtherComprehensiveIncomeNetOfTaxFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncome 491.00M CAD Annual
Other comprehensive income (loss) OtherComprehensiveIncomeNetOfTaxFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncome 491.00M CAD Annual
Other comprehensive income (loss) OtherComprehensiveIncomeNetOfTaxFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncome 205.00M CAD Annual
Other comprehensive income (loss) OtherComprehensiveIncomeNetOfTaxFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncome 205.00M CAD Annual
Allowance for credit losses ReclassificationAdjustmentOfChangesInAllowanceForCreditLossesOnDebtSecuritiesAtFairValueThroughOtherComprehensiveIncomeNetOfTax 1.00M CAD Annual
Allowance for credit losses ReclassificationAdjustmentOfChangesInAllowanceForCreditLossesOnDebtSecuritiesAtFairValueThroughOtherComprehensiveIncomeNetOfTax 1.00M CAD Annual
Allowance for credit losses ReclassificationAdjustmentOfChangesInAllowanceForCreditLossesOnDebtSecuritiesAtFairValueThroughOtherComprehensiveIncomeNetOfTax -1.00M CAD Annual
Allowance for credit losses ReclassificationAdjustmentOfChangesInAllowanceForCreditLossesOnDebtSecuritiesAtFairValueThroughOtherComprehensiveIncomeNetOfTax -1.00M CAD Annual
Other comprehensive income (loss) OtherComprehensiveIncomeNetOfTaxChangeInFairValueOfFinancialLiabilityAttributableToChangeInCreditRiskOfLiability -6.00M CAD Annual
Other comprehensive income (loss) OtherComprehensiveIncomeNetOfTaxChangeInFairValueOfFinancialLiabilityAttributableToChangeInCreditRiskOfLiability -6.00M CAD Annual
Other comprehensive income (loss) OtherComprehensiveIncomeNetOfTaxChangeInFairValueOfFinancialLiabilityAttributableToChangeInCreditRiskOfLiability 16.00M CAD Annual
Other comprehensive income (loss) OtherComprehensiveIncomeNetOfTaxChangeInFairValueOfFinancialLiabilityAttributableToChangeInCreditRiskOfLiability 16.00M CAD Annual
Other comprehensive income (loss) OtherComprehensiveIncomeNetOfTaxExchangeDifferencesOnTranslationNetOfHedgesInForeignOperations 216.00M CAD Annual
Other comprehensive income (loss) OtherComprehensiveIncomeNetOfTaxExchangeDifferencesOnTranslationNetOfHedgesInForeignOperations 216.00M CAD Annual
Other comprehensive income (loss) OtherComprehensiveIncomeNetOfTaxExchangeDifferencesOnTranslationNetOfHedgesInForeignOperations 349.00M CAD Annual
Other comprehensive income (loss) OtherComprehensiveIncomeNetOfTaxExchangeDifferencesOnTranslationNetOfHedgesInForeignOperations 349.00M CAD Annual
Other comprehensive income (loss) OtherComprehensiveIncomeNetOfTaxCashFlowHedges 2.15B CAD Annual
Other comprehensive income (loss) OtherComprehensiveIncomeNetOfTaxCashFlowHedges 2.15B CAD Annual
Other comprehensive income (loss) OtherComprehensiveIncomeNetOfTaxCashFlowHedges 2.55B CAD Annual
Other comprehensive income (loss) OtherComprehensiveIncomeNetOfTaxCashFlowHedges 2.55B CAD Annual
Share of accumulated other comprehensive income (loss) from investment in Schwab ShareOfOtherComprehensiveIncomeLossFromInvestment 2.01B CAD Annual
Share of accumulated other comprehensive income (loss) from investment in Schwab ShareOfOtherComprehensiveIncomeLossFromInvestment 2.01B CAD Annual
Share of accumulated other comprehensive income (loss) from investment in Schwab ShareOfOtherComprehensiveIncomeLossFromInvestment 1.87B CAD Annual
Share of accumulated other comprehensive income (loss) from investment in Schwab ShareOfOtherComprehensiveIncomeLossFromInvestment 1.87B CAD Annual
Balance at end of year Equity 127.83B CAD Point-in-time
Balance at end of year Equity 115.16B CAD Point-in-time
Balance at end of year Equity 115.16B CAD Point-in-time
Balance at end of year Equity 127.83B CAD Point-in-time
Comprehensive Income 132 line items
Line Item Tag Value Unit Period
Net income ProfitLoss 8.84B CAD Annual
Net income ProfitLoss 8.84B CAD Annual
Net income ProfitLoss 20.54B CAD Annual
Net income ProfitLoss 20.54B CAD Annual
Change in unrealized gain/(loss) GainsLossesOnFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncomeNetOfTax 285.00M CAD Annual
Change in unrealized gain/(loss) GainsLossesOnFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncomeNetOfTax 285.00M CAD Annual
Change in unrealized gain/(loss) GainsLossesOnFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncomeNetOfTax 579.00M CAD Annual
Change in unrealized gain/(loss) GainsLossesOnFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncomeNetOfTax 579.00M CAD Annual
Reclassification to earnings of net loss/(gain) ReclassificationAdjustmentOfGainsLossesOnDebtSecuritiesAtFairValueThroughOtherComprehensiveIncomeNetOfTax -71.00M CAD Annual
Reclassification to earnings of net loss/(gain) ReclassificationAdjustmentOfGainsLossesOnDebtSecuritiesAtFairValueThroughOtherComprehensiveIncomeNetOfTax -71.00M CAD Annual
Reclassification to earnings of net loss/(gain) ReclassificationAdjustmentOfGainsLossesOnDebtSecuritiesAtFairValueThroughOtherComprehensiveIncomeNetOfTax 23.00M CAD Annual
Reclassification to earnings of net loss/(gain) ReclassificationAdjustmentOfGainsLossesOnDebtSecuritiesAtFairValueThroughOtherComprehensiveIncomeNetOfTax 23.00M CAD Annual
Changes in allowance for credit losses recognized in earnings ReclassificationAdjustmentOfChangesInAllowanceForCreditLossesOnDebtSecuritiesAtFairValueThroughOtherComprehensiveIncomeNetOfTax 1.00M CAD Annual
Changes in allowance for credit losses recognized in earnings ReclassificationAdjustmentOfChangesInAllowanceForCreditLossesOnDebtSecuritiesAtFairValueThroughOtherComprehensiveIncomeNetOfTax 1.00M CAD Annual
Changes in allowance for credit losses recognized in earnings ReclassificationAdjustmentOfChangesInAllowanceForCreditLossesOnDebtSecuritiesAtFairValueThroughOtherComprehensiveIncomeNetOfTax -1.00M CAD Annual
Changes in allowance for credit losses recognized in earnings ReclassificationAdjustmentOfChangesInAllowanceForCreditLossesOnDebtSecuritiesAtFairValueThroughOtherComprehensiveIncomeNetOfTax -1.00M CAD Annual
Change in unrealized gain/(loss) IncomeTaxRelatingToFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncome 159.00M CAD Annual
Change in unrealized gain/(loss) IncomeTaxRelatingToFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncome 159.00M CAD Annual
Change in unrealized gain/(loss) IncomeTaxRelatingToFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncome 68.00M CAD Annual
Change in unrealized gain/(loss) IncomeTaxRelatingToFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncome 68.00M CAD Annual
Reclassification to earnings of net loss/(gain) IncomeTaxRelatingToReclassificationofNetlossOnFinancialAssetsAtFairValueThroughotherComprehensiveIncomeToIncome -12.00M CAD Annual
Reclassification to earnings of net loss/(gain) IncomeTaxRelatingToReclassificationofNetlossOnFinancialAssetsAtFairValueThroughotherComprehensiveIncomeToIncome -12.00M CAD Annual
Reclassification to earnings of net loss/(gain) IncomeTaxRelatingToReclassificationofNetlossOnFinancialAssetsAtFairValueThroughotherComprehensiveIncomeToIncome 1.00M CAD Annual
Reclassification to earnings of net loss/(gain) IncomeTaxRelatingToReclassificationofNetlossOnFinancialAssetsAtFairValueThroughotherComprehensiveIncomeToIncome 1.00M CAD Annual
Net change in unrealized gain/(loss) on financial assets at fair value through other comprehensive income OtherComprehensiveIncomeNetOfTaxFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncome 205.00M CAD Annual
Net change in unrealized gain/(loss) on financial assets at fair value through other comprehensive income OtherComprehensiveIncomeNetOfTaxFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncome 205.00M CAD Annual
Net change in unrealized gain/(loss) on financial assets at fair value through other comprehensive income OtherComprehensiveIncomeNetOfTaxFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncome 491.00M CAD Annual
Net change in unrealized gain/(loss) on financial assets at fair value through other comprehensive income OtherComprehensiveIncomeNetOfTaxFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncome 491.00M CAD Annual
Change in unrealized gain/(loss) GainsLossesOnExchangeDifferencesOnTranslationNetOfTax 540.00M CAD Annual
Change in unrealized gain/(loss) GainsLossesOnExchangeDifferencesOnTranslationNetOfTax 540.00M CAD Annual
Change in unrealized gain/(loss) GainsLossesOnExchangeDifferencesOnTranslationNetOfTax 1.09B CAD Annual
Change in unrealized gain/(loss) GainsLossesOnExchangeDifferencesOnTranslationNetOfTax 1.09B CAD Annual
Reclassification to earnings of net loss/(gain) ReclassificationAdjustmentsOnExchangeDifferencesOnTranslationNetOfTax 534.00M CAD Annual
Reclassification to earnings of net loss/(gain) ReclassificationAdjustmentsOnExchangeDifferencesOnTranslationNetOfTax 534.00M CAD Annual
Reclassification to earnings of net loss/(gain) ReclassificationAdjustmentsOnExchangeDifferencesOnTranslationNetOfTax 19.00M CAD Annual
Reclassification to earnings of net loss/(gain) ReclassificationAdjustmentsOnExchangeDifferencesOnTranslationNetOfTax 19.00M CAD Annual
Net gain/(loss) on hedges GainsLossesOnHedgesOfNetInvestmentsInForeignOperationsNetOfTax -457.00M CAD Annual
Net gain/(loss) on hedges GainsLossesOnHedgesOfNetInvestmentsInForeignOperationsNetOfTax -457.00M CAD Annual
Net gain/(loss) on hedges GainsLossesOnHedgesOfNetInvestmentsInForeignOperationsNetOfTax -1.09B CAD Annual
Net gain/(loss) on hedges GainsLossesOnHedgesOfNetInvestmentsInForeignOperationsNetOfTax -1.09B CAD Annual
Reclassification to earnings of net loss/(gain) on hedges ReclassificationAdjustmentsOnHedgesOfNetInvestmentsInForeignOperationsBeforeTax -41.00M CAD Annual
Reclassification to earnings of net loss/(gain) on hedges ReclassificationAdjustmentsOnHedgesOfNetInvestmentsInForeignOperationsBeforeTax -41.00M CAD Annual
Reclassification to earnings of net loss/(gain) on hedges ReclassificationAdjustmentsOnHedgesOfNetInvestmentsInForeignOperationsBeforeTax -799.00M CAD Annual
Reclassification to earnings of net loss/(gain) on hedges ReclassificationAdjustmentsOnHedgesOfNetInvestmentsInForeignOperationsBeforeTax -799.00M CAD Annual
Net gain/(loss) on hedges IncomeTaxRelatingToHedgesOfNetInvestmentsInForeignOperationsOfOtherComprehensiveIncome -122.00M CAD Annual
Net gain/(loss) on hedges IncomeTaxRelatingToHedgesOfNetInvestmentsInForeignOperationsOfOtherComprehensiveIncome -122.00M CAD Annual
Net gain/(loss) on hedges IncomeTaxRelatingToHedgesOfNetInvestmentsInForeignOperationsOfOtherComprehensiveIncome -298.00M CAD Annual
Net gain/(loss) on hedges IncomeTaxRelatingToHedgesOfNetInvestmentsInForeignOperationsOfOtherComprehensiveIncome -298.00M CAD Annual
Reclassification to earnings of net loss/(gain) on hedges IncomeTaxRelatingToReclassificationToEarningsOfNetLossGainOnHedges 220.00M CAD Annual
Reclassification to earnings of net loss/(gain) on hedges IncomeTaxRelatingToReclassificationToEarningsOfNetLossGainOnHedges 220.00M CAD Annual
Reclassification to earnings of net loss/(gain) on hedges IncomeTaxRelatingToReclassificationToEarningsOfNetLossGainOnHedges 11.00M CAD Annual
Reclassification to earnings of net loss/(gain) on hedges IncomeTaxRelatingToReclassificationToEarningsOfNetLossGainOnHedges 11.00M CAD Annual
Net change in unrealized foreign currency translation gain/(loss) on investments in foreign operations, net of hedging activities OtherComprehensiveIncomeNetOfTaxExchangeDifferencesOnTranslationNetOfHedgesInForeignOperations 216.00M CAD Annual
Net change in unrealized foreign currency translation gain/(loss) on investments in foreign operations, net of hedging activities OtherComprehensiveIncomeNetOfTaxExchangeDifferencesOnTranslationNetOfHedgesInForeignOperations 216.00M CAD Annual
Net change in unrealized foreign currency translation gain/(loss) on investments in foreign operations, net of hedging activities OtherComprehensiveIncomeNetOfTaxExchangeDifferencesOnTranslationNetOfHedgesInForeignOperations 349.00M CAD Annual
Net change in unrealized foreign currency translation gain/(loss) on investments in foreign operations, net of hedging activities OtherComprehensiveIncomeNetOfTaxExchangeDifferencesOnTranslationNetOfHedgesInForeignOperations 349.00M CAD Annual
Change in gain/(loss) GainsLossesOnCashFlowHedgesNetOfTax 3.35B CAD Annual
Change in gain/(loss) GainsLossesOnCashFlowHedgesNetOfTax 3.35B CAD Annual
Change in gain/(loss) GainsLossesOnCashFlowHedgesNetOfTax 7.84B CAD Annual
Change in gain/(loss) GainsLossesOnCashFlowHedgesNetOfTax 7.84B CAD Annual
Reclassification to earnings of loss/(gain) ReclassificationAdjustmentsOnCashFlowHedgesNetOfTax -173.00M CAD Annual
Reclassification to earnings of loss/(gain) ReclassificationAdjustmentsOnCashFlowHedgesNetOfTax -173.00M CAD Annual
Reclassification to earnings of loss/(gain) ReclassificationAdjustmentsOnCashFlowHedgesNetOfTax 4.86B CAD Annual
Reclassification to earnings of loss/(gain) ReclassificationAdjustmentsOnCashFlowHedgesNetOfTax 4.86B CAD Annual
Change in gain/(loss) IncomeTaxRelatingToCashFlowHedgesOfOtherComprehensiveIncome 2.16B CAD Annual
Change in gain/(loss) IncomeTaxRelatingToCashFlowHedgesOfOtherComprehensiveIncome 2.16B CAD Annual
Change in gain/(loss) IncomeTaxRelatingToCashFlowHedgesOfOtherComprehensiveIncome 929.00M CAD Annual
Change in gain/(loss) IncomeTaxRelatingToCashFlowHedgesOfOtherComprehensiveIncome 929.00M CAD Annual
Reclassification to earnings of loss/(gain) IncomeTaxProvisionRecoveryOnReclassificationAdjustmentsOnCashFlowHedges 50.00M CAD Annual
Reclassification to earnings of loss/(gain) IncomeTaxProvisionRecoveryOnReclassificationAdjustmentsOnCashFlowHedges 50.00M CAD Annual
Reclassification to earnings of loss/(gain) IncomeTaxProvisionRecoveryOnReclassificationAdjustmentsOnCashFlowHedges -1.34B CAD Annual
Reclassification to earnings of loss/(gain) IncomeTaxProvisionRecoveryOnReclassificationAdjustmentsOnCashFlowHedges -1.34B CAD Annual
Net change in gain/(loss) on derivatives designated as cash flow hedges OtherComprehensiveIncomeNetOfTaxCashFlowHedges 2.55B CAD Annual
Net change in gain/(loss) on derivatives designated as cash flow hedges OtherComprehensiveIncomeNetOfTaxCashFlowHedges 2.55B CAD Annual
Net change in gain/(loss) on derivatives designated as cash flow hedges OtherComprehensiveIncomeNetOfTaxCashFlowHedges 2.15B CAD Annual
Net change in gain/(loss) on derivatives designated as cash flow hedges OtherComprehensiveIncomeNetOfTaxCashFlowHedges 2.15B CAD Annual
Share of other comprehensive income (loss) from investment in Schwab ShareOfOtherComprehensiveIncomeLossFromInvestment 2.01B CAD Annual
Share of other comprehensive income (loss) from investment in Schwab ShareOfOtherComprehensiveIncomeLossFromInvestment 2.01B CAD Annual
Share of other comprehensive income (loss) from investment in Schwab ShareOfOtherComprehensiveIncomeLossFromInvestment 1.87B CAD Annual
Share of other comprehensive income (loss) from investment in Schwab ShareOfOtherComprehensiveIncomeLossFromInvestment 1.87B CAD Annual
Gain/(loss) OtherComprehensiveIncomeBeforeTaxGainsLossesOnRemeasurementsOfDefinedBenefitPlans 22.00M CAD Annual
Gain/(loss) OtherComprehensiveIncomeBeforeTaxGainsLossesOnRemeasurementsOfDefinedBenefitPlans 22.00M CAD Annual
Gain/(loss) OtherComprehensiveIncomeBeforeTaxGainsLossesOnRemeasurementsOfDefinedBenefitPlans -151.00M CAD Annual
Gain/(loss) OtherComprehensiveIncomeBeforeTaxGainsLossesOnRemeasurementsOfDefinedBenefitPlans -151.00M CAD Annual
Income taxes IncomeTaxRelatingToRemeasurementsOfDefinedBenefitPlansOfOtherComprehensiveIncome -40.00M CAD Annual
Income taxes IncomeTaxRelatingToRemeasurementsOfDefinedBenefitPlansOfOtherComprehensiveIncome -40.00M CAD Annual
Income taxes IncomeTaxRelatingToRemeasurementsOfDefinedBenefitPlansOfOtherComprehensiveIncome 5.00M CAD Annual
Income taxes IncomeTaxRelatingToRemeasurementsOfDefinedBenefitPlansOfOtherComprehensiveIncome 5.00M CAD Annual
Remeasurement gain/(loss) on employee benefit plans OtherComprehensiveIncomeNetOfTaxGainsLossesOnRemeasurementsOfDefinedBenefitPlans -111.00M CAD Annual
Remeasurement gain/(loss) on employee benefit plans OtherComprehensiveIncomeNetOfTaxGainsLossesOnRemeasurementsOfDefinedBenefitPlans -111.00M CAD Annual
Remeasurement gain/(loss) on employee benefit plans OtherComprehensiveIncomeNetOfTaxGainsLossesOnRemeasurementsOfDefinedBenefitPlans 17.00M CAD Annual
Remeasurement gain/(loss) on employee benefit plans OtherComprehensiveIncomeNetOfTaxGainsLossesOnRemeasurementsOfDefinedBenefitPlans 17.00M CAD Annual
Change in net unrealized gain/(loss) UnrealizedGainLossesRelatingToEquitySecuritiesDesignatedAtFairValueThroughOtherComprehensiveIncome 222.00M CAD Annual
Change in net unrealized gain/(loss) UnrealizedGainLossesRelatingToEquitySecuritiesDesignatedAtFairValueThroughOtherComprehensiveIncome 222.00M CAD Annual
Change in net unrealized gain/(loss) UnrealizedGainLossesRelatingToEquitySecuritiesDesignatedAtFairValueThroughOtherComprehensiveIncome 150.00M CAD Annual
Change in net unrealized gain/(loss) UnrealizedGainLossesRelatingToEquitySecuritiesDesignatedAtFairValueThroughOtherComprehensiveIncome 150.00M CAD Annual
Income taxes TaxesRelatingToNetUnrealizedGainsLossesOnEquitySecuritiesDesignatedAtFairValueThroughOtherComprehensiveIncome 39.00M CAD Annual
Income taxes TaxesRelatingToNetUnrealizedGainsLossesOnEquitySecuritiesDesignatedAtFairValueThroughOtherComprehensiveIncome 39.00M CAD Annual
Income taxes TaxesRelatingToNetUnrealizedGainsLossesOnEquitySecuritiesDesignatedAtFairValueThroughOtherComprehensiveIncome 60.00M CAD Annual
Income taxes TaxesRelatingToNetUnrealizedGainsLossesOnEquitySecuritiesDesignatedAtFairValueThroughOtherComprehensiveIncome 60.00M CAD Annual
Change in net unrealized gain/(loss) on equity securities designated at fair value through other comprehensive income UnrealizedGainsLossesOnEquitySecuritiesAtFairValueThroughOtherComprehensiveIncomeNetOfTax 162.00M CAD Annual
Change in net unrealized gain/(loss) on equity securities designated at fair value through other comprehensive income UnrealizedGainsLossesOnEquitySecuritiesAtFairValueThroughOtherComprehensiveIncomeNetOfTax 162.00M CAD Annual
Change in net unrealized gain/(loss) on equity securities designated at fair value through other comprehensive income UnrealizedGainsLossesOnEquitySecuritiesAtFairValueThroughOtherComprehensiveIncomeNetOfTax 111.00M CAD Annual
Change in net unrealized gain/(loss) on equity securities designated at fair value through other comprehensive income UnrealizedGainsLossesOnEquitySecuritiesAtFairValueThroughOtherComprehensiveIncomeNetOfTax 111.00M CAD Annual
Gain/(loss) GainLossesRelatingToFairValueDueToOwnCreditRiskOnFinancialLiabilitiesThroughOtherComprehensiveIncome 22.00M CAD Annual
Gain/(loss) GainLossesRelatingToFairValueDueToOwnCreditRiskOnFinancialLiabilitiesThroughOtherComprehensiveIncome 22.00M CAD Annual
Gain/(loss) GainLossesRelatingToFairValueDueToOwnCreditRiskOnFinancialLiabilitiesThroughOtherComprehensiveIncome -8.00M CAD Annual
Gain/(loss) GainLossesRelatingToFairValueDueToOwnCreditRiskOnFinancialLiabilitiesThroughOtherComprehensiveIncome -8.00M CAD Annual
Income taxes IncomeTaxRelatingToChangesInFairValueOfFinancialLiabilityAttributableToChangeInCreditRiskOfLiabilityOfOtherComprehensiveIncome 6.00M CAD Annual
Income taxes IncomeTaxRelatingToChangesInFairValueOfFinancialLiabilityAttributableToChangeInCreditRiskOfLiabilityOfOtherComprehensiveIncome 6.00M CAD Annual
Income taxes IncomeTaxRelatingToChangesInFairValueOfFinancialLiabilityAttributableToChangeInCreditRiskOfLiabilityOfOtherComprehensiveIncome -2.00M CAD Annual
Income taxes IncomeTaxRelatingToChangesInFairValueOfFinancialLiabilityAttributableToChangeInCreditRiskOfLiabilityOfOtherComprehensiveIncome -2.00M CAD Annual
Gain/(loss) from changes in fair value due to own credit risk on financial liabilities designated at fair value through profit or loss OtherComprehensiveIncomeNetOfTaxChangeInFairValueOfFinancialLiabilityAttributableToChangeInCreditRiskOfLiability -6.00M CAD Annual
Gain/(loss) from changes in fair value due to own credit risk on financial liabilities designated at fair value through profit or loss OtherComprehensiveIncomeNetOfTaxChangeInFairValueOfFinancialLiabilityAttributableToChangeInCreditRiskOfLiability -6.00M CAD Annual
Gain/(loss) from changes in fair value due to own credit risk on financial liabilities designated at fair value through profit or loss OtherComprehensiveIncomeNetOfTaxChangeInFairValueOfFinancialLiabilityAttributableToChangeInCreditRiskOfLiability 16.00M CAD Annual
Gain/(loss) from changes in fair value due to own credit risk on financial liabilities designated at fair value through profit or loss OtherComprehensiveIncomeNetOfTaxChangeInFairValueOfFinancialLiabilityAttributableToChangeInCreditRiskOfLiability 16.00M CAD Annual
Total other comprehensive income (loss) OtherComprehensiveIncome 5.04B CAD Annual
Total other comprehensive income (loss) OtherComprehensiveIncome 5.04B CAD Annual
Total other comprehensive income (loss) OtherComprehensiveIncome 4.99B CAD Annual
Total other comprehensive income (loss) OtherComprehensiveIncome 4.99B CAD Annual
Total comprehensive income (loss) ComprehensiveIncome 25.52B CAD Annual
Total comprehensive income (loss) ComprehensiveIncome 25.52B CAD Annual
Total comprehensive income (loss) ComprehensiveIncome 13.88B CAD Annual
Total comprehensive income (loss) ComprehensiveIncome 13.88B CAD Annual
Common shareholders ComprehensiveIncomeAttributableToOwnersOfParent 13.36B CAD Annual
Common shareholders ComprehensiveIncomeAttributableToOwnersOfParent 13.36B CAD Annual
Common shareholders ComprehensiveIncomeAttributableToOwnersOfParent 24.96B CAD Annual
Common shareholders ComprehensiveIncomeAttributableToOwnersOfParent 24.96B CAD Annual
Preferred shareholders and other equity instrument holders ComprehensiveIncomeAttributableToPreferredShareholders 565.00M CAD Annual
Preferred shareholders and other equity instrument holders ComprehensiveIncomeAttributableToPreferredShareholders 526.00M CAD Annual
Preferred shareholders and other equity instrument holders ComprehensiveIncomeAttributableToPreferredShareholders 526.00M CAD Annual
Preferred shareholders and other equity instrument holders ComprehensiveIncomeAttributableToPreferredShareholders 565.00M CAD Annual

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

NEWS
Loading article...
NEWS
Loading news...
TRENDING
Loading...