v3.24.3
Other assets (Tables)
12 Months Ended
Oct. 31, 2024
Text Block [Abstract]  
Summary of Other Assets
     As at   
   
October 31
2024
   
October 31
2023
 
(Millions of Canadian dollars)          (Restated – Note 2)  
Accounts receivable and prepaids
 
$
4,389
 
  $ 4,299  
Accrued interest receivable
 
 
7,904
 
    7,774  
Cash collateral
 
 
20,475
 
    20,104  
Commodity trading receivables
 
 
9,834
 
    5,979  
Deferred income tax asset
 
 
4,328
 
    3,116  
Employee benefit assets
 
 
3,630
 
    2,826  
Held-for-sale assets
 
 
 
    2,562  
Insurance-related assets
   
Insurance contract assets
 
 
588
 
    681  
Reinsurance contracts held assets
 
 
1,758
 
    1,582  
Segregated fund net assets (Note 15)
 
 
3,378
 
    2,708  
Collateral loans and other
 
 
517
 
    529  
Investments in joint ventures and associates
 
 
835
 
    501  
Margin deposits
 
 
11,108
 
    8,849  
Precious metals
 
 
6,018
 
    2,753  
Receivable from brokers, dealers and clients
 
 
3,343
 
    2,834  
Taxes receivable
 
 
7,418
 
    8,908  
Other
 
 
6,632
 
    5,366  
   
$
 92,155
 
  $  81,371