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 of comprehensive income [abstract]          
Net income $ 2,632 $ 2,299 $ 2,032 $ 4,931 $ 3,025
Net change in unrealized foreign currency translation gains (losses):          
Net unrealized foreign currency translation gains (losses) (586) (35) (1,847) (621) (202)
Net gains (losses) on hedges of net investments in foreign operations 86 162 539 248 (144)
Income tax expense (benefit):          
Net unrealized foreign currency translation gains (losses) (5) (17) (21) (22) (17)
Net gains (losses) on hedges of net investments in foreign operations 23 43 149 66 (41)
Other comprehensive income on foreign currency translation and hedges of net investments net of tax (518) 101 (1,436) (417) (288)
Net change in fair value due to change in debt instruments measured at fair value through other comprehensive income:          
Net gains (losses) in fair value (776) (178) 1,164 (954) 1,304
Reclassification of net (gains) losses to net income 531 460 (1,056) 991 (1,163)
Income tax expense (benefit):          
Net gains (losses) in fair value (211) (52) 311 (263) 343
Reclassification of net (gains) losses to net income 147 146 (286) 293 (310)
Other comprehensive income net of tax available for sale financial assets net of tax (181) 188 83 7 108
Net change in gains (losses) on derivative instruments designated as cash flow hedges:          
Net gains (losses) on derivative instruments designated as cash flow hedges (1,083) 87 2,522 (996) 2,318
Reclassification of net (gains) losses to net income 322 (249) (1,759) 73 (1,096)
Income tax expense (benefit):          
Net gains (losses) on derivative instruments designated as cash flow hedges (366) 74 758 (292) 726
Reclassification of net (gains) losses to net income 158 (117) (561) 41 (406)
Other comprehensive income net of tax cash flow hedges (553) (119) 566 (672) 902
Net changes in finance income/(expense) from insurance contracts:          
Net finance income/(expense) from insurance contracts 0 4 (2) 4 3
Income tax expense (benefit) 0 1 (1) 1 0
Other comprehensive income on finance income/(expense) from insurance contracts 0 3 (1) 3 3
Other comprehensive income (loss) from investments in associates (63) 13 110 (50) 48
Net change in remeasurement of employee benefit plan asset and liability:          
Actuarial gains (losses) on employee benefit plans 64 268 (255) 332 5
Income tax expense (benefit) 15 85 (69) 100 9
Other comprehensive income net of tax actuarial gains (losses) on employee benefit plans 49 183 (186) 232 (4)
Net change in fair value due to change in equity instruments designated at fair value through other comprehensive income:          
Net gains (losses) in fair value 23 3 49 26 53
Income tax expense (benefit) 2 (3) 34 (1) 26
Other comprehensive income net of tax for equity instruments designated at fair value through other comprehensive income 21 6 15 27 27
Net change in fair value due to change in own credit risk on financial liabilities designated under the fair value option:          
Change in fair value due to change in own credit risk on financial liabilities designated under the fair value option 413 (246) 512 167 248
Income tax expense (benefit) 115 (68) 142 47 69
Other comprehensive income net of tax change in fair value due to change in own credit risk on financial liabilities designated under the fair value option 298 (178) 370 120 179
Other comprehensive income (loss) from investments in associates 1 (13) 14 (12) 7
Other comprehensive income (loss) (946) 184 (465) (762) 982
Comprehensive income (loss) 1,686 2,483 1,567 4,169 4,007
Comprehensive income (loss) attributable to non-controlling interests 7 58 (7) 65 (72)
Comprehensive income (loss) attributable to equity holders of the Bank 1,679 2,425 1,574 4,104 4,079
Preferred shareholders and other equity instrument holders 127 132 135 259 257
Common shareholders $ 1,552 $ 2,293 $ 1,439 $ 3,845 $ 3,822