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BNS Bank of Nova Scotia

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  • 79.790
  • +0.270+0.34%
15min DelayTrading Nov 28 10:14 ET
98.73BMarket Cap13.97P/E (TTM)

Bank of Nova Scotia Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Oct 31, 2022
(Q4)Oct 31, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-69.51%7.11B
92.52%-950M
-85.95%2.3B
87.24%31.72B
300.51%4.75B
335.13%23.33B
-236.97%-12.7B
-18.05%16.35B
232.29%16.94B
-139.47%-2.37B
Net income from continuing operations
-12.77%1.91B
-2.52%2.09B
25.09%2.2B
-26.01%7.53B
-31.58%1.43B
-15.50%2.19B
-21.88%2.15B
-35.84%1.76B
2.20%10.17B
-18.21%2.09B
Operating gains losses
194.12%80M
36.67%-76M
18.33%-49M
-495.41%-649M
-439.82%-384M
-93.18%-85M
-41.18%-120M
35.48%-60M
85.45%-109M
161.08%113M
Depreciation and amortization
3.88%428M
-0.49%410M
3.69%421M
18.88%1.82B
49.75%590M
8.14%412M
8.14%412M
8.27%406M
1.32%1.53B
2.87%394M
Asset impairment expenditure
----
----
----
--185M
----
----
----
----
--0
----
Provision for loans, leases and other losses
28.45%1.05B
42.03%1.01B
50.78%962M
147.61%3.42B
137.43%1.26B
98.79%819M
223.74%709M
187.39%638M
-23.56%1.38B
214.88%529M
Remuneration paid in stock
0.00%1M
--0
11.11%10M
40.00%14M
100.00%2M
0.00%1M
0.00%2M
50.00%9M
42.86%10M
0.00%1M
Deferred tax
-9.26%451M
10.95%537M
-51.76%533M
-19.29%2.23B
-70.53%140M
-17.44%497M
-40.76%484M
27.89%1.11B
-3.94%2.76B
-31.06%475M
Other non cashItems
-6.32%-4.86B
-5.25%-4.69B
-4.60%-4.77B
-0.95%-18.29B
-1.49%-4.69B
2.20%-4.57B
0.29%-4.46B
-5.04%-4.56B
-6.80%-18.12B
-9.60%-4.62B
Change in working capital
-80.97%3.64B
73.21%-4.55B
-113.01%-1.55B
403.23%15.42B
122.99%1.37B
237.17%19.1B
-384.69%-16.98B
-29.79%11.93B
111.70%3.06B
-327.70%-5.96B
-Change in loans
-149.78%-3.37B
249.75%12B
108.52%1.43B
101.08%1.39B
169.37%19.34B
117.43%6.77B
74.16%-8.01B
44.37%-16.72B
-64.52%-127.76B
-653.30%-27.89B
-Change in other working capital
-43.21%7B
-84.45%-16.54B
-110.39%-2.98B
-89.27%14.03B
-181.97%-17.97B
-50.46%12.33B
-124.26%-8.97B
-39.10%28.64B
154.15%130.83B
247.02%21.93B
Dividends received (cash flow from operating activities)
----
----
-52.47%154M
12.37%1.3B
----
----
----
14.08%324M
19.30%1.16B
5.28%299M
Interest paid (cash flow from operating activities)
-16.42%-10.97B
-21.65%-10.05B
-42.36%-10.33B
-160.43%-34.73B
-82.01%-9.8B
-173.49%-9.42B
-254.38%-8.26B
-233.21%-7.25B
-52.13%-13.34B
-179.16%-5.39B
Interest received (cash flow from operating activities)
6.93%15.91B
9.03%15.19B
16.89%14.75B
74.18%55.62B
32.82%13.86B
79.65%14.88B
109.27%13.93B
92.55%12.62B
25.59%31.93B
70.32%10.44B
Tax refund paid
-6.19%-532M
-43.96%-822M
94.39%-31M
38.94%-2.14B
30.73%-514M
-28.79%-501M
37.53%-571M
62.07%-553M
-30.08%-3.5B
-48.10%-742M
Cash from discontinued operating activities
Operating cash flow
-69.51%7.11B
92.52%-950M
-85.95%2.3B
87.24%31.72B
300.51%4.75B
335.13%23.33B
-236.97%-12.7B
-18.05%16.35B
232.29%16.94B
-139.47%-2.37B
Investing cash flow
Cash flow from continuing investing activities
73.28%-5.46B
-65.65%5.42B
93.74%-1.19B
-166.01%-30.04B
-225.28%-6.32B
-362.12%-20.42B
298.18%15.77B
-17.94%-19.07B
-176.84%-11.29B
192.28%5.04B
Proceeds payment in interest bearing deposits in bank
98.39%-384M
-48.82%10.16B
211.16%21.04B
-191.29%-23.54B
-110.75%-641M
-243.40%-23.83B
47.85%19.86B
-85.02%-18.93B
271.82%25.78B
158.32%5.96B
Net PPE purchase and sale
38.25%-134M
-450.00%-88M
-160.71%-146M
22.59%-442M
13.56%-153M
-10.71%-217M
89.54%-16M
-24.44%-56M
-23.59%-571M
7.33%-177M
Net business purchase and sale
----
----
----
263.02%895M
----
----
----
----
23.43%-549M
430.00%165M
Net investment purchase and sale
-230.37%-4.7B
-15.30%-4.35B
-12,769.36%-21.92B
82.53%-6.04B
-5,659.05%-6.05B
142.88%3.6B
81.54%-3.77B
103.05%173M
-209.84%-34.61B
-101.99%-105M
Net other investing changes
-1,030.77%-242M
-2.65%-310M
36.26%-167M
32.52%-911M
53.43%-373M
115.38%26M
-97.39%-302M
-15.42%-262M
-116.35%-1.35B
-181.05%-801M
Cash from discontinued investing activities
Investing cash flow
73.28%-5.46B
-65.65%5.42B
93.74%-1.19B
-166.01%-30.04B
-225.28%-6.32B
-362.12%-20.42B
298.18%15.77B
-17.94%-19.07B
-176.84%-11.29B
192.28%5.04B
Financing cash flow
Cash flow from continuing financing activities
-471.48%-2.16B
-85.29%-4.03B
-911.96%-1.86B
39.59%-2.77B
25.64%-989M
-44.68%582M
-75.69%-2.18B
93.99%-184M
-64.89%-4.58B
-288.65%-1.33B
Net issuance payments of debt
-162.26%-574M
10.34%-78M
-826.19%-1.83B
-40.61%1.04B
53.76%-43M
1,184.71%922M
-104.30%-87M
383.15%252M
260.69%1.76B
8.82%-93M
Net commonstock issuance
3.43%483M
9.11%467M
1,860.00%490M
151.24%1.4B
491.87%482M
216.17%467M
134.83%428M
102.55%25M
-1,120.90%-2.74B
-978.57%-123M
Net preferred stock issuance
--0
--0
--704M
--0
--0
--0
--0
--0
171.91%2.02B
35.86%1.02B
Cash dividends paid
-3.56%-1.42B
-6.54%-1.42B
-4.97%-1.4B
-5.94%-5.42B
-4.05%-1.39B
-8.70%-1.38B
-4.89%-1.33B
-6.24%-1.33B
-11.16%-5.12B
-13.64%-1.33B
Net other financing activities
-213.91%-647M
-153.25%-3B
-80.53%169M
141.50%210M
94.90%-41M
-56.44%568M
-54.90%-1.19B
460.17%868M
-126.51%-506M
-166.28%-804M
Cash from discontinued financing activities
Financing cash flow
-471.48%-2.16B
-85.29%-4.03B
-911.96%-1.86B
39.59%-2.77B
25.64%-989M
-44.68%582M
-75.69%-2.18B
93.99%-184M
-64.89%-4.58B
-288.65%-1.33B
Net cash flow
Beginning cash position
5.13%9.77B
10.96%9.21B
-8.06%10.17B
14.15%11.07B
34.23%12.64B
-12.69%9.29B
-21.41%8.3B
14.15%11.07B
-12.86%9.69B
10.05%9.41B
Current changes in cash
-114.47%-505M
-50.95%437M
73.87%-758M
-201.03%-1.08B
-290.20%-2.56B
423.45%3.49B
1,027.85%891M
-500.69%-2.9B
220.74%1.07B
8.98%1.35B
Effect of exchange rate changes
92.52%-11M
21.00%121M
-248.91%-204M
-36.88%190M
-67.21%100M
2.65%-147M
9,900.00%100M
-6.16%137M
155.43%301M
417.71%305M
End cash position
-26.77%9.25B
5.13%9.77B
10.96%9.21B
-8.06%10.17B
-8.06%10.17B
34.23%12.64B
-12.69%9.29B
-21.41%8.3B
14.15%11.07B
14.15%11.07B
Free cash from
-69.80%6.98B
91.84%-1.04B
-86.80%2.15B
91.07%31.28B
280.54%4.59B
328.43%23.11B
-239.45%-12.72B
-18.15%16.3B
223.39%16.37B
-143.82%-2.54B
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
--
(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(FY)Oct 31, 2022(Q4)Oct 31, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -69.51%7.11B92.52%-950M-85.95%2.3B87.24%31.72B300.51%4.75B335.13%23.33B-236.97%-12.7B-18.05%16.35B232.29%16.94B-139.47%-2.37B
Net income from continuing operations -12.77%1.91B-2.52%2.09B25.09%2.2B-26.01%7.53B-31.58%1.43B-15.50%2.19B-21.88%2.15B-35.84%1.76B2.20%10.17B-18.21%2.09B
Operating gains losses 194.12%80M36.67%-76M18.33%-49M-495.41%-649M-439.82%-384M-93.18%-85M-41.18%-120M35.48%-60M85.45%-109M161.08%113M
Depreciation and amortization 3.88%428M-0.49%410M3.69%421M18.88%1.82B49.75%590M8.14%412M8.14%412M8.27%406M1.32%1.53B2.87%394M
Asset impairment expenditure --------------185M------------------0----
Provision for loans, leases and other losses 28.45%1.05B42.03%1.01B50.78%962M147.61%3.42B137.43%1.26B98.79%819M223.74%709M187.39%638M-23.56%1.38B214.88%529M
Remuneration paid in stock 0.00%1M--011.11%10M40.00%14M100.00%2M0.00%1M0.00%2M50.00%9M42.86%10M0.00%1M
Deferred tax -9.26%451M10.95%537M-51.76%533M-19.29%2.23B-70.53%140M-17.44%497M-40.76%484M27.89%1.11B-3.94%2.76B-31.06%475M
Other non cashItems -6.32%-4.86B-5.25%-4.69B-4.60%-4.77B-0.95%-18.29B-1.49%-4.69B2.20%-4.57B0.29%-4.46B-5.04%-4.56B-6.80%-18.12B-9.60%-4.62B
Change in working capital -80.97%3.64B73.21%-4.55B-113.01%-1.55B403.23%15.42B122.99%1.37B237.17%19.1B-384.69%-16.98B-29.79%11.93B111.70%3.06B-327.70%-5.96B
-Change in loans -149.78%-3.37B249.75%12B108.52%1.43B101.08%1.39B169.37%19.34B117.43%6.77B74.16%-8.01B44.37%-16.72B-64.52%-127.76B-653.30%-27.89B
-Change in other working capital -43.21%7B-84.45%-16.54B-110.39%-2.98B-89.27%14.03B-181.97%-17.97B-50.46%12.33B-124.26%-8.97B-39.10%28.64B154.15%130.83B247.02%21.93B
Dividends received (cash flow from operating activities) ---------52.47%154M12.37%1.3B------------14.08%324M19.30%1.16B5.28%299M
Interest paid (cash flow from operating activities) -16.42%-10.97B-21.65%-10.05B-42.36%-10.33B-160.43%-34.73B-82.01%-9.8B-173.49%-9.42B-254.38%-8.26B-233.21%-7.25B-52.13%-13.34B-179.16%-5.39B
Interest received (cash flow from operating activities) 6.93%15.91B9.03%15.19B16.89%14.75B74.18%55.62B32.82%13.86B79.65%14.88B109.27%13.93B92.55%12.62B25.59%31.93B70.32%10.44B
Tax refund paid -6.19%-532M-43.96%-822M94.39%-31M38.94%-2.14B30.73%-514M-28.79%-501M37.53%-571M62.07%-553M-30.08%-3.5B-48.10%-742M
Cash from discontinued operating activities
Operating cash flow -69.51%7.11B92.52%-950M-85.95%2.3B87.24%31.72B300.51%4.75B335.13%23.33B-236.97%-12.7B-18.05%16.35B232.29%16.94B-139.47%-2.37B
Investing cash flow
Cash flow from continuing investing activities 73.28%-5.46B-65.65%5.42B93.74%-1.19B-166.01%-30.04B-225.28%-6.32B-362.12%-20.42B298.18%15.77B-17.94%-19.07B-176.84%-11.29B192.28%5.04B
Proceeds payment in interest bearing deposits in bank 98.39%-384M-48.82%10.16B211.16%21.04B-191.29%-23.54B-110.75%-641M-243.40%-23.83B47.85%19.86B-85.02%-18.93B271.82%25.78B158.32%5.96B
Net PPE purchase and sale 38.25%-134M-450.00%-88M-160.71%-146M22.59%-442M13.56%-153M-10.71%-217M89.54%-16M-24.44%-56M-23.59%-571M7.33%-177M
Net business purchase and sale ------------263.02%895M----------------23.43%-549M430.00%165M
Net investment purchase and sale -230.37%-4.7B-15.30%-4.35B-12,769.36%-21.92B82.53%-6.04B-5,659.05%-6.05B142.88%3.6B81.54%-3.77B103.05%173M-209.84%-34.61B-101.99%-105M
Net other investing changes -1,030.77%-242M-2.65%-310M36.26%-167M32.52%-911M53.43%-373M115.38%26M-97.39%-302M-15.42%-262M-116.35%-1.35B-181.05%-801M
Cash from discontinued investing activities
Investing cash flow 73.28%-5.46B-65.65%5.42B93.74%-1.19B-166.01%-30.04B-225.28%-6.32B-362.12%-20.42B298.18%15.77B-17.94%-19.07B-176.84%-11.29B192.28%5.04B
Financing cash flow
Cash flow from continuing financing activities -471.48%-2.16B-85.29%-4.03B-911.96%-1.86B39.59%-2.77B25.64%-989M-44.68%582M-75.69%-2.18B93.99%-184M-64.89%-4.58B-288.65%-1.33B
Net issuance payments of debt -162.26%-574M10.34%-78M-826.19%-1.83B-40.61%1.04B53.76%-43M1,184.71%922M-104.30%-87M383.15%252M260.69%1.76B8.82%-93M
Net commonstock issuance 3.43%483M9.11%467M1,860.00%490M151.24%1.4B491.87%482M216.17%467M134.83%428M102.55%25M-1,120.90%-2.74B-978.57%-123M
Net preferred stock issuance --0--0--704M--0--0--0--0--0171.91%2.02B35.86%1.02B
Cash dividends paid -3.56%-1.42B-6.54%-1.42B-4.97%-1.4B-5.94%-5.42B-4.05%-1.39B-8.70%-1.38B-4.89%-1.33B-6.24%-1.33B-11.16%-5.12B-13.64%-1.33B
Net other financing activities -213.91%-647M-153.25%-3B-80.53%169M141.50%210M94.90%-41M-56.44%568M-54.90%-1.19B460.17%868M-126.51%-506M-166.28%-804M
Cash from discontinued financing activities
Financing cash flow -471.48%-2.16B-85.29%-4.03B-911.96%-1.86B39.59%-2.77B25.64%-989M-44.68%582M-75.69%-2.18B93.99%-184M-64.89%-4.58B-288.65%-1.33B
Net cash flow
Beginning cash position 5.13%9.77B10.96%9.21B-8.06%10.17B14.15%11.07B34.23%12.64B-12.69%9.29B-21.41%8.3B14.15%11.07B-12.86%9.69B10.05%9.41B
Current changes in cash -114.47%-505M-50.95%437M73.87%-758M-201.03%-1.08B-290.20%-2.56B423.45%3.49B1,027.85%891M-500.69%-2.9B220.74%1.07B8.98%1.35B
Effect of exchange rate changes 92.52%-11M21.00%121M-248.91%-204M-36.88%190M-67.21%100M2.65%-147M9,900.00%100M-6.16%137M155.43%301M417.71%305M
End cash position -26.77%9.25B5.13%9.77B10.96%9.21B-8.06%10.17B-8.06%10.17B34.23%12.64B-12.69%9.29B-21.41%8.3B14.15%11.07B14.15%11.07B
Free cash from -69.80%6.98B91.84%-1.04B-86.80%2.15B91.07%31.28B280.54%4.59B328.43%23.11B-239.45%-12.72B-18.15%16.3B223.39%16.37B-143.82%-2.54B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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