v3.26.1
Consolidated Statement of Comprehensive Income - CAD ($)
$ in Millions
3 Months Ended 6 Months Ended
Apr. 30, 2026
Jan. 31, 2026
Apr. 30, 2025
Apr. 30, 2026
Apr. 30, 2025
Statement [Line Items]          
Net Income $ 2,630 $ 2,489 $ 1,962 $ 5,119 $ 4,100
Net change in unrealized gains (losses) on fair value through OCI debt securities          
Reclassification to earnings of (gains) during the period [1] (22) (11) (15) (33) (21)
Net change in unrealized gains (losses) on fair value through OCI debt securities (83) 192 (152) 109 (38)
Net change in unrealized gains (losses) on derivatives designated as cash flow hedges          
Gains (losses) on derivatives designated as cash flow hedges arising during the period [2] (798) (569) 818 (1,367) 1,193
Reclassification to earnings of losses on derivatives designated as cash flow hedges during the period [3] 189 173 184 362 525
Net change in unrealized gains (losses) on derivatives designated as cash flow hedges (609) (396) 1,002 (1,005) 1,718
Net (losses) on translation of net foreign operations          
Unrealized (losses) on translation of net foreign operations (21) (1,931) (3,205) (1,952) (593)
Unrealized gains on hedges of net foreign operations [4] 8 532 747 540 206
Net (losses) on translation of net foreign operations (13) (1,399) (2,458) (1,412) (387)
Items that will not be subsequently reclassified to net income          
Net unrealized gains (losses) on fair value through OCI equity securities arising during the period [5] 39 (3) 0 36 (11)
Net gains (losses) on remeasurement of pension and other employee future benefit plans [6] 64 56 (28) 120 (6)
Net gains (losses) on remeasurement of own credit risk on financial liabilities designated at fair value [7] 292 (242) 146 50 58
Items that will not be subsequently reclassified to net income 395 (189) 118 206 41
Total Other Comprehensive Income (Loss), net of taxes (310) (1,792) (1,490) (2,102) 1,334
Total Comprehensive Income 2,320 697 472 3,017 5,434
Attributable to:          
Bank shareholders 2,316 698 470 3,014 5,428
Non-controlling interest in subsidiaries 4 (1) 2 3 6
Total Comprehensive Income 2,320 697 472 3,017 5,434
Debt securities          
Net change in unrealized gains (losses) on fair value through OCI debt securities          
Unrealized gains (losses) on fair value through OCI debt securities arising during the period [8] $ (61) $ 203 $ (137) $ 142 $ (17)
[1] Net of income tax provision of $8 million, $3 million, $6 million for the three months ended and $11 million and $8 million for the six months ended, respectively.
[2] Net of income tax (provision) recovery of $302 million, $221 million, $(302) million for the three months ended and $523 million and $(450) million for the six months ended, respectively.
[3] Net of income tax (recovery) of $(71) million, $(67) million, $(70) million for the three months ended and $(138) million and $(199) million for the six months ended, respectively.
[4] Net of income tax (provision) of $(3) million, $(205) million, $(287) million for the three months ended and $(208) million and $(79) million for the six months ended, respectively.
[5] Net of income tax (provision) recovery of $(4) million, $1 million, nil million for the three months ended and $(3) million and $4 million for the six months ended, respectively.
[6] Net of income tax(provision) recovery of $(25) million, $(21) million, $11 million for the three months ended and $(46) million and $3 million for the six months ended, respectively.
[7] Net of income tax (provision) recovery of $(112) million, $93 million, $(56) million for the three months ended and $(19) million and $(22) million for the six months ended, respectively.
[8] Net of income tax (provision) recovery of $22 million, $(73) million, $50 million for the three months ended and $(51) million and $5 million for the six months ended, respectively.