Parent company information - Summary of Parent Company Information - Condensed Balance Sheets (Detail) - CAD ($) $ in Millions |
Oct. 31, 2024 |
Oct. 31, 2023 |
Oct. 31, 2022 |
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Assets | |||||
Cash and due from banks | [1] | $ 56,723 | $ 61,989 | $ 72,397 | |
Interest-bearing deposits with banks | 66,020 | 71,086 | |||
Securities | 439,918 | 409,730 | |||
Assets purchased under reverse repurchase agreements and securities borrowed | 350,803 | 340,191 | |||
Loans, net of allowance for loan losses | 981,380 | 852,773 | |||
Other assets | 92,155 | 81,371 | |||
Total assets | 2,171,582 | 2,006,531 | |||
Liabilities and shareholders' equity | |||||
Deposits | 1,409,531 | 1,231,687 | |||
Other liabilities | 94,677 | 96,022 | |||
Subordinated debentures | 13,546 | 11,386 | |||
Shareholders' equity | 127,192 | 115,147 | |||
Total liabilities and equity | 2,171,582 | 2,006,531 | |||
Parent [member] | |||||
Assets | |||||
Cash and due from banks | 40,944 | 41,770 | $ 48,062 | ||
Interest-bearing deposits with banks | 54,009 | 61,256 | |||
Securities | 233,376 | 217,490 | |||
Investments in bank subsidiaries and associated companies | 57,926 | 55,082 | |||
Investments in other subsidiaries and associated companies | 117,362 | 102,457 | |||
Assets purchased under reverse repurchase agreements and securities borrowed | 174,131 | 150,207 | |||
Loans, net of allowance for loan losses | 839,424 | 709,635 | |||
Net balances due from bank subsidiaries | 97 | ||||
Other assets | 216,003 | 214,145 | |||
Total assets | 1,733,272 | 1,552,042 | |||
Liabilities and shareholders' equity | |||||
Deposits | 1,168,765 | 1,006,284 | |||
Net balances due to bank subsidiaries | 10,132 | ||||
Net balances due to other subsidiaries | 17,840 | 6,866 | |||
Other liabilities | 406,032 | 402,326 | |||
Total other liabilities | 1,592,637 | 1,425,608 | |||
Subordinated debentures | 13,546 | 11,386 | |||
Shareholders' equity | 127,089 | 115,048 | |||
Total liabilities and equity | $ 1,733,272 | $ 1,552,042 | |||
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