v3.26.1
Consolidated Statement of Financial Position - CAD ($)
$ in Millions
Jul. 31, 2026
Apr. 30, 2026
Oct. 31, 2025
Assets      
Cash and deposits with financial institutions [1] $ 62,455 $ 79,301 $ 65,967
Precious metals 5,908 10,200 5,156
Trading assets      
Securities 154,667 149,705 140,844
Loans 6,450 6,537 8,487
Other 1,409 1,447 2,892
Total trading assets 162,526 157,689 152,223
Securities purchased under resale agreements and securities borrowed 273,638 253,177 203,008
Derivative financial instruments 50,531 46,709 46,531
Investment securities 152,681 149,806 149,948
Loans      
Residential mortgages 366,643 368,495 370,191
Personal loans 108,016 108,355 110,567
Credit cards 16,365 16,040 18,045
Business and government 286,860 271,694 279,705
Total loans gross 777,884 764,584 778,508
Allowance for credit losses 7,329 7,150 7,463
Total loans net 770,555 757,434 771,045
Other      
Customers' liability under acceptances, net of allowance 161 155 177
Property and equipment 5,564 5,314 4,881
Investments in associates 8,198 7,660 6,317
Goodwill and other intangible assets 16,012 15,970 16,169
Deferred tax assets 3,100 3,136 3,253
Other assets 36,938 34,970 35,367
Total other 69,973 67,205 66,164
Total assets 1,548,267 1,521,521 1,460,042
Deposits      
Personal 298,070 295,240 301,718
Business and government 668,662 644,305 627,667
Financial institutions 39,283 41,944 36,894
Total deposits [2] 1,006,015 981,489 966,279
Financial instruments designated at fair value through profit or loss 52,864 48,629 47,165
Other      
Acceptances 162 157 178
Obligations related to securities sold short 39,971 38,064 38,104
Derivative financial instruments 58,344 56,854 56,031
Obligations related to securities sold under repurchase agreements and securities lent 226,261 238,663 189,144
Subordinated debentures 6,919 5,766 7,692
Other liabilities 67,109 63,317 66,862
Total other 398,766 402,821 358,011
Total liabilities 1,457,645 1,432,939 1,371,455
Equity      
Common shares 21,899 22,002 22,067
Retained earnings 60,391 59,876 58,916
Accumulated other comprehensive income (loss) (3,020) (4,604) (3,826)
Other reserves (58) (52) (230)
Total common equity 79,212 77,222 76,927
Preferred shares and other equity instruments 9,939 9,939 9,939
Total equity attributable to equity holders of the Bank 89,151 87,161 86,866
Non-controlling interests in subsidiaries 1,471 1,421 1,721
Total equity 90,622 88,582 88,587
Total liabilities and equity $ 1,548,267 $ 1,521,521 $ 1,460,042
[1] Net of allowances of $3 (April 30, 2026 – $3; October 31, 2025 – $4).
[2] Deposits denominated in U.S. dollars amount to $329,956 (April 30, 2026 – $317,453 ; October 31, 2025 – $297,065), deposits denominated in Chilean pesos amount to $21,091 (April 30, 2026 – $20,300; October 31, 2025 – $20,053), deposits denominated in Mexican pesos amount to $38,592 (April 30, 2026 – $36,731; October 31, 2025 – $35,941) and deposits denominated in other foreign currencies amount to $110,620 (April 30, 2026 – $109,608; October 31, 2025 – $117,530).