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Consolidated Statement of Changes in Equity - CAD ($)
$ in Millions
Total
Contributed Surplus [member]
Retained Earnings [member]
Accumulated Other Comprehensive (Loss) on Fair Value through OCI Securities, net of taxes [member]
Accumulated Other Comprehensive Income (Loss) on Cash Flow Hedges, net of taxes
Accumulated Other Comprehensive Income on Translation of Net Foreign Operations, net of taxes [member]
Accumulated Other Comprehensive Income on Pension and Other Employee Future Benefit Plans, net of taxes [member]
Accumulated Other Comprehensive Income (Loss) on Own Credit Risk on Financial Liabilities Designated at Fair Value, net of taxes
Total Accumulated Other Comprehensive Income [member]
Total Shareholders' Equity [member]
Non-controlling interest in subsidiaries [member]
Preferred Shares and Other Equity Instruments (Note 16) [member]
Common shares [member]
Balance at beginning of year at Oct. 31, 2023   $ 328 $ 44,006 $ (464) $ (5,448) $ 6,194 $ 943 $ 637     $ 28 $ 6,958 $ 22,941
Statement [Line Items]                          
Issued during the year                       2,379  
Redeemed during the year                       (1,250)  
Issued under the Shareholder Dividend Reinvestment and Share Purchase Plan                         905
Issued under the Stock Option Plan                         74
Treasury shares sold                         1
Stock option expense, net of options exercised (Note 20)   15                      
Net premium on sale of treasury shares   11                      
Net income attributable to bank shareholders $ 7,327   7,318                    
Dividends on preferred shares and distributions payable on other equity instruments (Note 16)     (386)                    
Dividends on common shares (Note 16)     (4,458)                    
Equity issue expense     (11)                    
Unrealized gains on fair value through OCI debt securities arising during the year       217                  
Unrealized gains (losses) on fair value through OCI equity securities arising during the year       9                  
Gains on derivatives designated as cash flow hedges arising during the year (Note 7) 2,512       2,512                
Reclassification to earnings of (gains) during the year (83)     (83)                  
Reclassification to earnings of losses on derivatives designated as cash flow hedges during the year 1,417       1,417                
Unrealized gains on translation of net foreign operations 287         287              
Unrealized (losses) on hedges of net foreign operations (100)         (100)              
Gains (losses) on remeasurement of pension and other employee future benefit plans (Note 21) (69)           (69)            
(Losses) on remeasurement of own credit risk on financial liabilities designated at fair value (633)             (633)          
Net income attributable to non-controlling interest in subsidiaries 9                   9    
Dividends to non-controlling interest in subsidiaries                     (3)    
Other                     2    
Balance at end of year at Oct. 31, 2024 84,286 354 46,469 (321) (1,519) 6,381 874 4 $ 5,419 $ 84,250 36 8,087 23,921
Statement [Line Items]                          
Issued during the year                       1,369  
Redeemed during the year                       (500)  
Issued under the Shareholder Dividend Reinvestment and Share Purchase Plan                         0
Issued under the Stock Option Plan                         161
Treasury shares sold                         7
Purchased for cancellation                         (730)
Stock option expense, net of options exercised (Note 20)   14                      
Net premium on sale of treasury shares   5                      
Net income attributable to bank shareholders 8,725   8,709                    
Dividends on preferred shares and distributions payable on other equity instruments (Note 16)     (436)                    
Dividends on common shares (Note 16)     (4,630)                    
Equity issue expense     (4)                    
Common shares purchased for cancellation (Note 16)     (2,731)                    
Unrealized gains on fair value through OCI debt securities arising during the year       308                  
Unrealized gains (losses) on fair value through OCI equity securities arising during the year       (11)                  
Gains on derivatives designated as cash flow hedges arising during the year (Note 7) 995       995                
Reclassification to earnings of (gains) during the year (65)     (65)                  
Reclassification to earnings of losses on derivatives designated as cash flow hedges during the year 1,051       1,051                
Unrealized gains on translation of net foreign operations 473         473              
Unrealized (losses) on hedges of net foreign operations (76)         (76)              
Gains (losses) on remeasurement of pension and other employee future benefit plans (Note 21) 137           137            
(Losses) on remeasurement of own credit risk on financial liabilities designated at fair value (245)             (245)          
Net income attributable to non-controlling interest in subsidiaries 16                   16    
Dividends to non-controlling interest in subsidiaries                     (3)    
Other                     0    
Balance at end of year at Oct. 31, 2025 $ 88,100 $ 373 $ 47,377 $ (89) $ 527 $ 6,778 $ 1,011 $ (241) $ 7,986 $ 88,051 $ 49 $ 8,956 $ 23,359