v3.26.1
Other Assets (Tables)
9 Months Ended
Jul. 31, 2026
Other Assets [Abstract]  
Schedule of Other Assets
Other Assets
(millions of Canadian dollars)
As at
July 31
October 31
2026
2025
Accounts receivable and other items
$
8,135
$
9,366
Accrued interest
5,587
5,674
Current income tax receivable
4,566
3,849
Defined benefit asset
 
1,131
 
1,111
Investments in other associates and joint
 
ventures
1
5,647
5,237
Prepaid expenses
2,042
1,815
Reinsurance contract assets
947
936
Total
$
28,055
$
27,988
1
One
 
of these investments was disposed of by the Bank during the third quarter of fiscal 2025 for net proceeds of
 
$
133
 
million.