v3.26.1
Consolidated Statement of Changes in Equity - CAD ($)
$ in Millions
Total
Common shares [member]
Retained earnings [member]
[1]
Other reserves [member]
Total common equity [member]
Preferred shares and other equity instruments [member]
Total common and preferred equity [member]
Non-controlling interests [member]
Foreign currency translation [member]
Accumulated other comprehensive income (loss) [member]
Debt Instruments Fair Value Other Comprehensive Income [member]
Accumulated other comprehensive income (loss) [member]
Equity Instruments Fair Value Other Comprehensive Income [member]
Accumulated other comprehensive income (loss) [member]
Cash flow hedging reserve [member]
Accumulated other comprehensive income (loss) [member]
Other [member]
Accumulated other comprehensive income (loss) [member]
Beginning Balance at Oct. 31, 2024 $ 84,076 $ 22,054 $ 57,751 $ (68) $ 73,590 $ 8,779 $ 82,369 $ 1,707 $ (3,559) $ (491) $ 339 $ (2,197) $ (239)
Statement [Line Items]                          
Net income 5,552   5,179   5,179 391 5,570 (18)          
Other comprehensive income (loss) 841       837   837 4 (133) 295 50 544 81 [2]
Total comprehensive income 6,393   5,179   6,016 391 6,407 (14) (133) 295 50 544 81 [2]
Shares/instruments issued 1,541 94   (6) 88 1,453 1,541            
Shares repurchased/redeemed (1,933) (59) (186)   (245) (1,688) (1,933)            
Dividends and distributions paid to equity holders (4,462)   (4,008)   (4,008) (391) (4,399) (63)          
Share-based payments [3] 13     13 13   13            
Foreign currency loss on redemption of Subordinated Additional Tier 1 Capital Notes (22)   (22)   (22)   (22)            
Other (123)   (11) (163) (174)   (174) 51          
Ending Balance at Jul. 31, 2025 85,483 22,089 58,703 (224) 75,258 8,544 83,802 1,681 (3,692) (196) 389 (1,653) (158) [2]
Statement [Line Items]                          
Net income 2,527                        
Other comprehensive income (loss) (141)                        
Total comprehensive income 2,386                        
Ending Balance at Jul. 31, 2025 85,483 22,089 58,703 (224) 75,258 8,544 83,802 1,681 (3,692) (196) 389 (1,653) (158) [2]
Beginning Balance at Oct. 31, 2025 88,587 22,067 58,916 (230) 76,927 9,939 86,866 1,721 (2,851) 42 398 (1,140) (275) [2]
Statement [Line Items]                          
Net income 7,884   7,401   7,401 389 7,790 94          
Other comprehensive income (loss) 865       808   808 57 972 2 56 (644) 422 [2]
Total comprehensive income 8,749   7,401   8,209 389 8,598 151 972 2 56 (644) 422 [2]
Shares/instruments issued 181 196   (15) 181   181            
Shares repurchased/redeemed (2,182) (364) (1,818)   (2,182)   (2,182)            
Dividends and distributions paid to equity holders (4,559)   (4,101)   (4,101) (389) (4,490) (69)          
Share-based payments [3] 9     9 9   9            
Other (163)   (7) 178 169   169 (332) (3)       1 [2]
Ending Balance at Jul. 31, 2026 90,622 21,899 60,391 (58) 79,212 9,939 89,151 1,471 (1,882) 44 454 (1,784) 148 [2]
Beginning Balance at Apr. 30, 2026 88,582                        
Statement [Line Items]                          
Net income 2,953                        
Other comprehensive income (loss) 1,627                        
Total comprehensive income 4,580                        
Ending Balance at Jul. 31, 2026 $ 90,622 $ 21,899 $ 60,391 $ (58) $ 79,212 $ 9,939 $ 89,151 $ 1,471 $ (1,882) $ 44 $ 454 $ (1,784) $ 148 [2]
[1] Includes undistributed retained earnings of $80 (July 31, 2025 – $75) related to a foreign associated corporation, which is subject to local regulatory restriction.
[2] Includes Share from associates, Employee benefits, Own credit risk, and Insurance contracts.
[3] Represents amounts on account of share-based payments (refer to Note 12).