v3.10.0.1
Consolidated statement of cash flows - CAD ($)
$ in Millions |
12 Months Ended |
|
|
|
Cash flows provided by (used in) operating activities |
|
|
|
Net income |
$ 5,284
|
$ 4,718
|
$ 4,295
|
Adjustments to reconcile net income to cash flows provided by (used in) operating activities: |
|
|
|
Provision for credit losses |
870
|
829
|
1,051
|
Amortization and impairment |
657
|
542
|
462
|
Stock options and restricted shares expense |
31
|
7
|
5
|
Deferred income taxes |
69
|
21
|
(20)
|
Losses (gains) from debt securities measured at FVOCI and amortized cost |
35
|
|
|
Available for sale debt and equity securities (gains), net |
|
(143)
|
(73)
|
Net losses (gains) on disposal of land, buildings and equipment |
(14)
|
(305)
|
(72)
|
Other non-cash items, net |
(292)
|
(15)
|
(692)
|
Net changes in operating assets and liabilities |
|
|
|
Interest-bearing deposits with banks |
(2,599)
|
394
|
4,919
|
Loans, net of repayments |
(16,155)
|
(30,547)
|
(27,464)
|
Deposits, net of withdrawals |
20,770
|
18,407
|
28,440
|
Obligations related to securities sold short |
69
|
3,375
|
532
|
Accrued interest receivable |
(341)
|
(34)
|
(98)
|
Accrued interest payable |
205
|
90
|
(72)
|
Derivative assets |
2,780
|
3,588
|
(1,425)
|
Derivative liabilities |
(2,084)
|
(5,549)
|
(232)
|
Securities measured at FVTPL |
(647)
|
|
|
Trading and FVO securities |
|
(657)
|
(3,722)
|
Other assets and liabilities designated at fair value |
(380)
|
|
|
Other FVO assets and liabilities |
|
1,071
|
807
|
Current income taxes |
(301)
|
(1,063)
|
8
|
Cash collateral on securities lent |
707
|
(494)
|
1,089
|
Obligations related to securities sold under repurchase agreements |
2,869
|
16,277
|
2,780
|
Cash collateral on securities borrowed |
(453)
|
398
|
(2,188)
|
Securities purchased under resale agreements |
(1,195)
|
(10,556)
|
1,712
|
Other, net |
(18)
|
2,103
|
169
|
Cash flows provided by (used in) operating activities |
9,867
|
2,457
|
10,211
|
Cash flows provided by (used in) financing activities |
|
|
|
Issue of subordinated indebtedness |
1,534
|
0
|
1,000
|
Redemption/repurchase/maturity of subordinated indebtedness |
(638)
|
(55)
|
(1,514)
|
Issue of preferred shares, net of issuance cost |
445
|
792
|
0
|
Issue of common shares for cash |
186
|
194
|
100
|
Purchase of common shares for cancellation |
(417)
|
0
|
(270)
|
Net sale (purchase) of treasury shares |
6
|
(7)
|
1
|
Dividends paid |
(2,109)
|
(1,425)
|
(1,753)
|
Cash flows provided by (used in) financing activities |
(993)
|
(501)
|
(2,436)
|
Cash flows provided by (used in) investing activities |
|
|
|
Purchase of securities measured/designated at FVOCI and amortized cost |
(33,011)
|
|
|
Purchase of AFS securities |
|
(37,864)
|
(31,625)
|
Proceeds from sale of securities measured/designated at FVOCI and amortized cost |
12,992
|
|
|
Proceeds from sale of AFS securities |
|
18,787
|
10,750
|
Proceeds from maturity of debt securities measured at FVOCI and amortized cost |
12,402
|
|
|
Proceeds from maturity of AFS securities |
|
19,368
|
12,299
|
Cash used in acquisitions, net of cash acquired |
(315)
|
(2,517)
|
0
|
Net cash provided by dispositions of investments in equity-accounted associates and joint ventures |
200
|
60
|
1,363
|
Net sale (purchase) of land, buildings and equipment |
(255)
|
201
|
(170)
|
Cash flows provided by (used in) investing activities |
(7,987)
|
(1,965)
|
(7,383)
|
Effect of exchange rate changes on cash and non-interest-bearing deposits with banks |
53
|
(51)
|
55
|
Net increase (decrease) in cash and non-interest-bearing deposits with banks during year |
940
|
(60)
|
447
|
Cash and non-interest-bearing deposits with banks at beginning of year |
3,440
|
3,500
|
3,053
|
Cash and non-interest-bearing deposits with banks at end of year |
4,380
|
3,440
|
3,500
|
Cash interest paid |
7,235
|
4,526
|
3,798
|
Cash interest received |
16,440
|
12,611
|
10,961
|
Cash dividends received |
724
|
949
|
1,033
|
Cash income taxes paid |
$ 1,654
|
$ 2,204
|
$ 730
|
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ifrs-full_ProceedsFromSalesOfInvestmentsAccountedForUsingEquityMethod |
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ifrs-full_ |
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xbrli:monetaryItemType |
Balance Type: |
debit |
Period Type: |
duration |
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X |
- DefinitionThe total of income less expenses, excluding the components of other comprehensive income. [Refer: Other comprehensive income]
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ifrs-full_ProfitLoss |
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ifrs-full_ |
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xbrli:monetaryItemType |
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credit |
Period Type: |
duration |
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X |
- DefinitionThe cash outflow for the purchase of available-for-sale financial assets. [Refer: Financial assets available-for-sale]
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ifrs-full_PurchaseOfAvailableforsaleFinancialAssets |
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ifrs-full_ |
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xbrli:monetaryItemType |
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credit |
Period Type: |
duration |
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X |
- DefinitionThe cash outflow for repayments of subordinated liabilities. [Refer: Subordinated liabilities]
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ifrs-full_RepaymentsOfSubordinatedLiabilities |
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ifrs-full_ |
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duration |
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