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BMO Bank of Montreal

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  • 96.060
  • -0.980-1.01%
Close Jan 3 16:00 ET
  • 96.060
  • 0.0000.00%
Post 20:01 ET
70.11BMarket Cap14.55P/E (TTM)

Bank of Montreal Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Oct 31, 2024
(Q4)Oct 31, 2024
(Q3)Jul 31, 2024
(Q2)Apr 30, 2024
(Q1)Jan 31, 2024
(FY)Oct 31, 2023
(Q4)Oct 31, 2023
(Q3)Jul 31, 2023
(Q2)Apr 30, 2023
(Q1)Jan 31, 2023
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
202.68%29.03B
32.22%4.71B
-81.03%2.03B
116.30%3.99B
-7.64%18.31B
93.48%9.59B
-80.07%3.56B
643.13%10.68B
-294.57%-24.47B
184.31%19.82B
Net income from continuing operations
65.13%7.33B
34.74%2.3B
19.17%1.87B
81.34%1.87B
871.43%1.29B
-67.22%4.44B
-61.86%1.71B
14.65%1.57B
-78.36%1.03B
-95.47%133M
Operating gains losses
-11.51%-407M
-20.55%-264M
-36.11%-49M
-131.43%-81M
82.67%-13M
-44.84%-365M
-882.14%-219M
57.65%-36M
59.30%-35M
31.19%-75M
Depreciation and amortization
0.86%2.11B
-11.78%524M
-3.64%530M
-7.09%524M
38.54%532M
41.35%2.09B
56.73%594M
49.86%550M
56.23%564M
2.95%384M
Deferred tax
121.61%153M
794.87%271M
126.69%146M
-1,153.33%-376M
221.74%112M
-249.05%-708M
29.09%-39M
-592.41%-547M
-107.04%-30M
-150.27%-92M
Change in working capital
721.97%16.09B
-67.32%349M
-115.85%-1.37B
105.00%1.35B
-18.16%15.76B
118.47%1.96B
-91.65%1.07B
335.80%8.65B
-482.21%-27.02B
171.87%19.26B
-Change in receivables
125.96%257M
----
----
----
----
---990M
----
----
----
----
-Change in loans
91.38%-2.69B
-172.98%-7.94B
-81.66%-12.76B
168.61%8.96B
209.83%9.05B
57.72%-31.23B
81.86%-2.91B
62.16%-7.02B
25.27%-13.06B
62.20%-8.24B
-Change in other working capital
-45.81%18.52B
61.73%8.03B
-27.36%11.39B
45.54%-7.61B
-75.61%6.71B
-45.98%34.18B
-82.84%4.97B
6.09%15.68B
-156.97%-13.97B
654.32%27.5B
Cash from discontinued operating activities
Operating cash flow
202.68%29.03B
32.22%4.71B
-81.03%2.03B
116.30%3.99B
-7.64%18.31B
93.48%9.59B
-80.07%3.56B
643.13%10.68B
-294.57%-24.47B
184.31%19.82B
Investing cash flow
Cash flow from continuing investing activities
-15.94%-24.53B
-51.35%-8.56B
-232.63%-5.15B
113.52%1.8B
-107.46%-12.62B
28.21%-21.16B
-68.70%-5.65B
444.20%3.89B
-813.18%-13.31B
77.35%-6.08B
Proceeds payment in interest bearing deposits in bank
-69.35%515M
-105.03%-38M
61.76%791M
68.47%-35M
-137.18%-203M
-49.34%1.68B
-62.85%756M
30.05%489M
-111.36%-111M
858.33%546M
Net investment purchase and sale
-287.59%-23.48B
-37.63%-8.09B
-241.12%-5.53B
2.13%2.16B
-93.33%-12.02B
81.40%-6.06B
-19.95%-5.88B
443.26%3.92B
75.02%2.12B
77.58%-6.22B
Net PPE purchase and sale
6.74%-1.56B
11.07%-988M
-3.16%-196M
26.73%-148M
-33.33%-232M
-115.83%-1.68B
-269.10%-1.11B
-8.57%-190M
-21.69%-202M
-28.89%-174M
Net intangibles purchase and sale
----
----
-21.91%-217M
10.95%-179M
17.10%-160M
----
----
5.32%-178M
-24.07%-201M
-44.03%-193M
Net business purchase and sale
--0
--0
--0
--0
--0
-1,331.81%-15.1B
--5M
---155M
-186,475.00%-14.91B
-103.45%-42M
Cash from discontinued investing activities
Investing cash flow
-15.94%-24.53B
-51.35%-8.56B
-232.63%-5.15B
113.52%1.8B
-107.46%-12.62B
28.21%-21.16B
-68.70%-5.65B
444.20%3.89B
-813.18%-13.31B
77.35%-6.08B
Financing cash flow
Cash flow from continuing financing activities
-6,597.01%-17.41B
-59.50%-5.91B
-743.46%-2.19B
-217.92%-1.83B
-378.76%-7.48B
-98.32%268M
-399.60%-3.71B
-110.03%-260M
-73.47%1.55B
-57.43%2.68B
Net issuance payments of debt
13.36%-2.68B
59.83%-1.08B
-67.81%909M
96.46%-93M
-301.16%-2.42B
-139.68%-3.1B
-311.39%-2.69B
12,736.36%2.82B
-180.15%-2.63B
-118.65%-603M
Net commonstock issuance
-97.97%68M
-58.62%12M
240.00%17M
90.00%19M
-99.40%20M
8.30%3.35B
3,000.00%29M
-54.55%5M
-99.67%10M
15,657.14%3.31B
Net preferred stock issuance
72.53%1.12B
---400M
--168M
--1.35B
--0
-13.02%648M
--0
--0
--0
--648M
Cash dividends paid
-42.06%-3.84B
-80.03%-1.18B
-67.79%-1.25B
-5.52%-669M
-11.03%-745M
-4.16%-2.7B
-3.63%-656M
-23.87%-742M
-2.76%-634M
10.05%-671M
Net other financing activities
-683.85%-12.07B
-740.46%-3.26B
13.00%-2.04B
-150.72%-2.44B
---4.34B
-70.15%2.07B
---388M
-174.25%-2.35B
16,662.07%4.8B
----
Cash from discontinued financing activities
Financing cash flow
-6,597.01%-17.41B
-59.50%-5.91B
-743.46%-2.19B
-217.92%-1.83B
-378.76%-7.48B
-98.32%268M
-399.60%-3.71B
-110.03%-260M
-73.47%1.55B
-57.43%2.68B
Net cash flow
Beginning cash position
-10.90%77.93B
-8.00%74.76B
16.61%79.87B
-27.76%74.66B
-10.90%77.93B
-6.21%87.47B
16.78%81.26B
-2.55%68.5B
106.18%103.34B
-6.21%87.47B
Current changes in cash
-14.28%-12.91B
-68.30%-9.76B
-137.20%-5.32B
110.93%3.96B
-110.89%-1.79B
-32.39%-11.3B
-136.83%-5.8B
2,949.40%14.3B
-278.55%-36.23B
137.27%16.43B
Effect of exchange rate changes
-95.75%75M
-96.07%97M
113.86%213M
-9.34%1.25B
-170.86%-1.49B
-35.52%1.77B
15.74%2.47B
-676.26%-1.54B
1,187.40%1.38B
-159.10%-549M
End cash position
-16.47%65.1B
-16.47%65.1B
-8.00%74.76B
16.61%79.87B
-27.76%74.66B
-10.90%77.93B
-10.90%77.93B
16.78%81.26B
-2.55%68.5B
106.18%103.34B
Free cash flow
247.06%27.47B
41.51%4.28B
-84.35%1.61B
114.72%3.66B
-7.91%17.92B
125.53%7.91B
-82.61%3.02B
542.68%10.31B
-303.07%-24.87B
181.81%19.46B
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Oct 31, 2024(Q4)Oct 31, 2024(Q3)Jul 31, 2024(Q2)Apr 30, 2024(Q1)Jan 31, 2024(FY)Oct 31, 2023(Q4)Oct 31, 2023(Q3)Jul 31, 2023(Q2)Apr 30, 2023(Q1)Jan 31, 2023
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities 202.68%29.03B32.22%4.71B-81.03%2.03B116.30%3.99B-7.64%18.31B93.48%9.59B-80.07%3.56B643.13%10.68B-294.57%-24.47B184.31%19.82B
Net income from continuing operations 65.13%7.33B34.74%2.3B19.17%1.87B81.34%1.87B871.43%1.29B-67.22%4.44B-61.86%1.71B14.65%1.57B-78.36%1.03B-95.47%133M
Operating gains losses -11.51%-407M-20.55%-264M-36.11%-49M-131.43%-81M82.67%-13M-44.84%-365M-882.14%-219M57.65%-36M59.30%-35M31.19%-75M
Depreciation and amortization 0.86%2.11B-11.78%524M-3.64%530M-7.09%524M38.54%532M41.35%2.09B56.73%594M49.86%550M56.23%564M2.95%384M
Deferred tax 121.61%153M794.87%271M126.69%146M-1,153.33%-376M221.74%112M-249.05%-708M29.09%-39M-592.41%-547M-107.04%-30M-150.27%-92M
Change in working capital 721.97%16.09B-67.32%349M-115.85%-1.37B105.00%1.35B-18.16%15.76B118.47%1.96B-91.65%1.07B335.80%8.65B-482.21%-27.02B171.87%19.26B
-Change in receivables 125.96%257M-------------------990M----------------
-Change in loans 91.38%-2.69B-172.98%-7.94B-81.66%-12.76B168.61%8.96B209.83%9.05B57.72%-31.23B81.86%-2.91B62.16%-7.02B25.27%-13.06B62.20%-8.24B
-Change in other working capital -45.81%18.52B61.73%8.03B-27.36%11.39B45.54%-7.61B-75.61%6.71B-45.98%34.18B-82.84%4.97B6.09%15.68B-156.97%-13.97B654.32%27.5B
Cash from discontinued operating activities
Operating cash flow 202.68%29.03B32.22%4.71B-81.03%2.03B116.30%3.99B-7.64%18.31B93.48%9.59B-80.07%3.56B643.13%10.68B-294.57%-24.47B184.31%19.82B
Investing cash flow
Cash flow from continuing investing activities -15.94%-24.53B-51.35%-8.56B-232.63%-5.15B113.52%1.8B-107.46%-12.62B28.21%-21.16B-68.70%-5.65B444.20%3.89B-813.18%-13.31B77.35%-6.08B
Proceeds payment in interest bearing deposits in bank -69.35%515M-105.03%-38M61.76%791M68.47%-35M-137.18%-203M-49.34%1.68B-62.85%756M30.05%489M-111.36%-111M858.33%546M
Net investment purchase and sale -287.59%-23.48B-37.63%-8.09B-241.12%-5.53B2.13%2.16B-93.33%-12.02B81.40%-6.06B-19.95%-5.88B443.26%3.92B75.02%2.12B77.58%-6.22B
Net PPE purchase and sale 6.74%-1.56B11.07%-988M-3.16%-196M26.73%-148M-33.33%-232M-115.83%-1.68B-269.10%-1.11B-8.57%-190M-21.69%-202M-28.89%-174M
Net intangibles purchase and sale ---------21.91%-217M10.95%-179M17.10%-160M--------5.32%-178M-24.07%-201M-44.03%-193M
Net business purchase and sale --0--0--0--0--0-1,331.81%-15.1B--5M---155M-186,475.00%-14.91B-103.45%-42M
Cash from discontinued investing activities
Investing cash flow -15.94%-24.53B-51.35%-8.56B-232.63%-5.15B113.52%1.8B-107.46%-12.62B28.21%-21.16B-68.70%-5.65B444.20%3.89B-813.18%-13.31B77.35%-6.08B
Financing cash flow
Cash flow from continuing financing activities -6,597.01%-17.41B-59.50%-5.91B-743.46%-2.19B-217.92%-1.83B-378.76%-7.48B-98.32%268M-399.60%-3.71B-110.03%-260M-73.47%1.55B-57.43%2.68B
Net issuance payments of debt 13.36%-2.68B59.83%-1.08B-67.81%909M96.46%-93M-301.16%-2.42B-139.68%-3.1B-311.39%-2.69B12,736.36%2.82B-180.15%-2.63B-118.65%-603M
Net commonstock issuance -97.97%68M-58.62%12M240.00%17M90.00%19M-99.40%20M8.30%3.35B3,000.00%29M-54.55%5M-99.67%10M15,657.14%3.31B
Net preferred stock issuance 72.53%1.12B---400M--168M--1.35B--0-13.02%648M--0--0--0--648M
Cash dividends paid -42.06%-3.84B-80.03%-1.18B-67.79%-1.25B-5.52%-669M-11.03%-745M-4.16%-2.7B-3.63%-656M-23.87%-742M-2.76%-634M10.05%-671M
Net other financing activities -683.85%-12.07B-740.46%-3.26B13.00%-2.04B-150.72%-2.44B---4.34B-70.15%2.07B---388M-174.25%-2.35B16,662.07%4.8B----
Cash from discontinued financing activities
Financing cash flow -6,597.01%-17.41B-59.50%-5.91B-743.46%-2.19B-217.92%-1.83B-378.76%-7.48B-98.32%268M-399.60%-3.71B-110.03%-260M-73.47%1.55B-57.43%2.68B
Net cash flow
Beginning cash position -10.90%77.93B-8.00%74.76B16.61%79.87B-27.76%74.66B-10.90%77.93B-6.21%87.47B16.78%81.26B-2.55%68.5B106.18%103.34B-6.21%87.47B
Current changes in cash -14.28%-12.91B-68.30%-9.76B-137.20%-5.32B110.93%3.96B-110.89%-1.79B-32.39%-11.3B-136.83%-5.8B2,949.40%14.3B-278.55%-36.23B137.27%16.43B
Effect of exchange rate changes -95.75%75M-96.07%97M113.86%213M-9.34%1.25B-170.86%-1.49B-35.52%1.77B15.74%2.47B-676.26%-1.54B1,187.40%1.38B-159.10%-549M
End cash position -16.47%65.1B-16.47%65.1B-8.00%74.76B16.61%79.87B-27.76%74.66B-10.90%77.93B-10.90%77.93B16.78%81.26B-2.55%68.5B106.18%103.34B
Free cash flow 247.06%27.47B41.51%4.28B-84.35%1.61B114.72%3.66B-7.91%17.92B125.53%7.91B-82.61%3.02B542.68%10.31B-303.07%-24.87B181.81%19.46B
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------
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