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Consolidated Statement of Comprehensive Income - CAD ($)
$ in Millions
12 Months Ended
Oct. 31, 2025
Oct. 31, 2024
Statement [Line Items]    
Net Income $ 8,725 $ 7,327
Other Comprehensive Income, net of taxes (Note 22)    
Reclassification to earnings of (gains) during the year (65) (83)
Other comprehensive income net of tax OCI debt financial assets 243 134
Net change in unrealized gains on derivatives designated as cash flow hedges    
Gains on derivatives designated as cash flow hedges arising during the year (Note 7) 995 2,512
Reclassification to earnings of losses on derivatives designated as cash flow hedges during the year 1,051 1,417
Other comprehensive income net of tax cash flow hedges 2,046 3,929
Net gains on translation of net foreign operations    
Unrealized gains on translation of net foreign operations 473 287
Unrealized (losses) on hedges of net foreign operations (76) (100)
Other comprehensive income, net of taxes, translation of net foreign operations 397 187
Items that will not be subsequently reclassified to net income    
Net unrealized gains (losses) on fair value through OCI equity securities arising during the year (11) 9
Net gains (losses) on remeasurement of pension and other employee future benefit plans (Note 21) 137 (69)
Net (losses) on remeasurement of own credit risk on financial liabilities designated at fair value (245) (633)
Items that will not be reclassified to net income (119) (693)
Total Other Comprehensive Income, net of taxes (Note 22) 2,567 3,557
Total Comprehensive Income 11,292 10,884
Attributable to:    
Bank shareholders 11,276 10,875
Non-controlling interest in subsidiaries 16 9
Total Comprehensive Income 11,292 10,884
Debt securities [member]    
Other Comprehensive Income, net of taxes (Note 22)    
Unrealized gains on fair value through OCI debt securities arising during the year $ 308 $ 217