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Fair Value Measurements (Schedule of Financial Assets and Liabilities not Carried at Fair Value) (Details) - CAD ($)
$ in Millions
Oct. 31, 2025
Oct. 31, 2024
FINANCIAL ASSETS    
Total debt securities at amortized cost, net of allowance for credit losses $ 240,439 $ 271,615
Total loans, net of allowance for loan losses 953,012 949,549
FINANCIAL LIABILITIES    
Deposits 1,267,104 1,268,680
Securitization liabilities at amortized cost 14,841 12,365
Subordinated notes and debentures 10,733 11,473
Carrying value [member]    
FINANCIAL ASSETS    
Total debt securities at amortized cost, net of allowance for credit losses 240,439 271,615
Total loans, net of allowance for loan losses 953,012 949,549
Total financial assets not carried at fair value 1,193,451 1,221,164
FINANCIAL LIABILITIES    
Deposits 1,267,104 1,268,680
Securitization liabilities at amortized cost 14,841 12,365
Subordinated notes and debentures 10,733 11,473
Total financial liabilities not carried at fair value 1,292,678 1,292,518
Not measured at fair value in statement of financial position but for which fair value is disclosed [member]    
FINANCIAL ASSETS    
Total debt securities at amortized cost, net of allowance for credit losses 239,157 266,176
Total loans, net of allowance for loan losses 956,424 949,227
Total financial assets not carried at fair value 1,195,581 1,215,403
FINANCIAL LIABILITIES    
Deposits 1,267,466 1,266,562
Securitization liabilities at amortized cost 14,805 12,123
Subordinated notes and debentures 10,929 11,628
Total financial liabilities not carried at fair value 1,293,200 1,290,313
Government And Government Related Securities [Member] | Carrying value [member]    
FINANCIAL ASSETS    
Total debt securities at amortized cost, net of allowance for credit losses 183,593 206,815
Government And Government Related Securities [Member] | Not measured at fair value in statement of financial position but for which fair value is disclosed [member]    
FINANCIAL ASSETS    
Total debt securities at amortized cost, net of allowance for credit losses 182,478 202,667
Other Debt Securities1 [Member] | Carrying value [member]    
FINANCIAL ASSETS    
Total debt securities at amortized cost, net of allowance for credit losses 56,846 64,800
Other Debt Securities1 [Member] | Not measured at fair value in statement of financial position but for which fair value is disclosed [member]    
FINANCIAL ASSETS    
Total debt securities at amortized cost, net of allowance for credit losses $ 56,679 $ 63,509