v3.26.1
Capital Management - Summary of Regulatory Capital and Capital Ratios (Detail) - CAD ($)
$ in Millions
Jul. 31, 2026
Apr. 30, 2026
Oct. 31, 2025
Capital      
Common Equity Tier 1 capital [1] $ 64,508 $ 62,972 $ 62,752
Net Tier 1 capital [1] 74,494 72,961 72,790
Total regulatory capital [1] 83,483 80,724 80,908
Total loss absorbing capacity (TLAC) [1],[2] 140,919 135,476 138,049
Risk-weighted assets/exposures used in calculation of capital ratios      
Risk-weighted assets [1] 492,866 474,440 474,453
Leverage exposures [3] $ 1,723,928 $ 1,689,877 $ 1,622,415
Regulatory ratios      
Common Equity Tier 1 capital ratio [1] 13.10% 13.30% 13.20%
Tier 1 capital ratio [1] 15.10% 15.40% 15.30%
Total capital ratio [1] 16.90% 17.00% 17.10%
Total loss absorbing capacity ratio [1],[2] 28.60% 28.60% 29.10%
Leverage ratio [1],[3] 4.30% 4.30% 4.50%
Total loss absorbing capacity leverage ratio [1],[2] 8.20% 8.00% 8.50%
[1] The Q3 2026 and Q2 2026 regulatory capital ratios are based on Basel III requirements as determined in accordance with OSFI Guideline – Capital Adequacy Requirements (November 2025). The Q4 2025 regulatory capital ratios were based on Basel III requirements as determined in accordance with OSFI Guideline – Capital Adequacy Requirements (November 2023).
[2] This measure has been disclosed in this document in accordance with OSFI Guideline – Total Loss Absorbing Capacity (September 2018).
[3] The leverage ratios are based on Basel III requirements as determined in accordance with OSFI Guideline – Leverage Requirements (February 2023).