v3.26.1
Consolidated Balance Sheet - CAD ($)
$ in Millions
Apr. 30, 2026
Oct. 31, 2025
ASSETS    
Cash and due from banks $ 5,858 $ 7,512
Interest-bearing deposits with banks 110,124 109,417
Cash and interest bearing deposits with banks 115,982 116,929
Trading loans, securities, and other 231,680 220,136
Non-trading financial assets at fair value through profit or loss 8,095 7,395
Derivatives 74,835 82,972
Financial assets designated at fair value through profit or loss 7,299 6,986
Financial assets at fair value through other comprehensive income 128,612 126,369
Total trading and non trading financial assets 450,521 443,858
Debt securities at amortized cost, net of allowance for credit losses 238,677 240,439
Securities purchased under reverse repurchase agreements 220,120 247,078
Loans    
Residential mortgages 299,994 315,063
Consumer instalment and other personal 274,675 259,033
Credit card 40,802 41,662
Business and government 357,237 345,943
Total loans 972,708 961,701
Allowance for loan losses (8,419) (8,689)
Loans, net of allowance for loan losses 964,289 953,012
Other    
Goodwill 18,460 18,980
Other intangibles 3,624 3,409
Land, buildings, equipment, other depreciable assets, and right-of-use assets 9,979 10,132
Deferred tax assets 5,327 5,388
Amounts receivable from brokers, dealers, and clients 29,969 27,345
Other assets 28,157 27,988
Total other miscellaneous assets 95,516 93,242
Total assets 2,085,105 2,094,558
LIABILITIES    
Trading deposits 39,308 37,882
Derivatives 74,532 79,356
Securitization liabilities at fair value 26,028 25,283
Financial liabilities designated at fair value through profit or loss 222,503 197,635
Total financial liabilities other than non-trading deposits and other 362,371 340,156
Deposits    
Personal 641,827 650,396
Banks 25,537 27,233
Business and government 576,067 589,475
Total deposits, other than trading 1,243,431 1,267,104
Other    
Obligations related to securities sold short 42,293 43,795
Obligations related to securities sold under repurchase agreements 218,392 221,150
Securitization liabilities at amortized cost 16,017 14,841
Amounts payable to brokers, dealers, and clients 29,487 27,434
Insurance contract liabilities 7,307 7,278
Other liabilities 31,144 34,240
Total other miscellaneous liabilities 344,640 348,738
Subordinated notes and debentures 10,345 10,733
Total liabilities 1,960,787 1,966,731
EQUITY    
Contributed surplus 361 285
Retained earnings 78,295 78,320
Accumulated other comprehensive income (loss) 9,802 12,874
Total equity 124,318 127,827
Total liabilities and equity 2,085,105 2,094,558
Common shares [member]    
EQUITY    
Issued capital 24,309 24,727
Treasury shares (60) 0
Preferred shares and other equity instruments [member]    
EQUITY    
Issued capital 11,625 11,625
Treasury shares (14) $ (4)
Total equity $ 11,625