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CVE Cenovus Energy Inc

Watchlist
  • 20.010
  • +0.180+0.91%
15min DelayMarket Closed Feb 28 16:00 ET
36.45BMarket Cap11.98P/E (TTM)

Cenovus Energy Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
38.89%3.09B
38.89%3.09B
145.96%3.1B
45.55%3.15B
17.13%2.4B
-50.77%2.23B
-50.77%2.23B
-63.88%1.26B
-41.32%2.17B
-39.72%2.05B
-Cash and cash equivalents
38.89%3.09B
38.89%3.09B
145.96%3.1B
45.55%3.15B
17.13%2.4B
-50.77%2.23B
-50.77%2.23B
-63.88%1.26B
-41.32%2.17B
-39.72%2.05B
Receivables
-17.17%2.66B
-17.17%2.66B
-36.23%2.98B
10.11%3.89B
8.54%4B
0.53%3.21B
0.53%3.21B
5.76%4.67B
-39.62%3.53B
-38.49%3.69B
-Accounts receivable
-12.64%2.38B
-12.64%2.38B
-39.33%2.75B
12.56%3.65B
10.85%3.8B
-8.10%2.72B
-8.10%2.72B
5.39%4.53B
-44.58%3.24B
-42.73%3.43B
-Taxes receivable
-44.47%231M
-44.47%231M
69.17%225M
-17.24%240M
-22.09%201M
243.80%416M
243.80%416M
19.82%133M
--290M
3,585.71%258M
-Due from related parties current
-18.37%40M
-18.37%40M
----
----
----
-3.92%49M
-3.92%49M
----
----
----
-Other receivables
-59.09%9M
-59.09%9M
----
----
----
-62.07%22M
-62.07%22M
----
----
----
Inventory
11.56%4.5B
11.56%4.5B
-14.95%4.1B
8.30%4.61B
4.06%4.44B
-6.54%4.03B
-6.54%4.03B
10.56%4.82B
-19.09%4.25B
-8.54%4.26B
Prepaid assets
-22.73%187M
-22.73%187M
----
----
----
-39.80%242M
-39.80%242M
----
----
----
Total current assets
7.48%10.43B
7.48%10.43B
-5.30%10.18B
17.06%11.65B
8.39%10.84B
-21.90%9.71B
-21.90%9.71B
-12.38%10.75B
-35.06%9.95B
-31.44%10B
Non current assets
Net PPE
3.36%41B
3.36%41B
1.20%39.73B
1.10%39.68B
0.55%39.64B
1.64%39.67B
1.64%39.67B
2.11%39.26B
10.57%39.24B
9.42%39.42B
-Gross PPE
9.93%72.44B
9.93%72.44B
7.87%69.44B
8.67%68.49B
7.78%67.13B
7.83%65.9B
7.83%65.9B
8.82%64.37B
14.60%63.03B
14.76%62.29B
-Accumulated depreciation
-19.87%-31.44B
-19.87%-31.44B
-18.29%-29.71B
-21.16%-28.82B
-20.24%-27.49B
-18.78%-26.23B
-18.78%-26.23B
-21.28%-25.11B
-21.94%-23.79B
-25.30%-22.87B
Investments and advances
21.68%679M
21.68%679M
-15.08%411M
-13.64%418M
-10.65%428M
15.77%558M
15.77%558M
1.04%484M
8.52%484M
-6.81%479M
-Long term equity investment
24.35%618M
24.35%618M
-2.61%411M
-0.71%418M
2.64%428M
18.33%497M
18.33%497M
1.44%422M
9.92%421M
-7.74%417M
-Other investment
0.00%61M
0.00%61M
----
----
----
-1.61%61M
-1.61%61M
-1.59%62M
0.00%63M
0.00%62M
Non current accounts receivable
24.00%93M
24.00%93M
-65.75%25M
-72.22%25M
-76.64%25M
-48.28%75M
-48.28%75M
-39.67%73M
-24.37%90M
-29.14%107M
Goodwill and other intangible assets
0.38%2.93B
0.38%2.93B
-0.37%2.92B
-0.48%2.92B
-0.54%2.92B
-0.65%2.92B
-0.65%2.92B
-2.00%2.93B
-17.17%2.94B
-17.19%2.94B
-Goodwill
0.00%2.92B
0.00%2.92B
0.00%2.92B
0.00%2.92B
0.00%2.92B
0.00%2.92B
0.00%2.92B
0.00%2.92B
-15.84%2.92B
-15.84%2.92B
-Other intangible assets
--11M
--11M
----
----
----
----
----
-84.51%11M
-80.82%14M
-78.95%16M
Non current deferred assets
52.87%1.06B
52.87%1.06B
14.33%734M
-16.75%631M
-17.44%625M
27.47%696M
27.47%696M
29.70%642M
12.13%758M
34.46%757M
Other non current assets
16.03%333M
16.03%333M
135.42%678M
139.44%680M
73.58%519M
-2.71%287M
-2.71%287M
1.41%288M
-3.40%284M
11.57%299M
Total non current assets
4.29%46.11B
4.29%46.11B
1.88%44.5B
1.27%44.35B
0.35%44.16B
1.77%44.21B
1.77%44.21B
2.01%43.68B
7.95%43.8B
7.13%44B
Total assets
4.87%56.54B
4.87%56.54B
0.46%54.68B
4.19%56B
1.84%54.99B
-3.50%53.92B
-3.50%53.92B
-1.20%54.43B
-3.84%53.75B
-2.97%54B
Liabilities
Current liabilities
Current debt and capital lease obligation
51.46%724M
51.46%724M
73.86%572M
58.03%433M
0.00%299M
13.00%478M
13.00%478M
10.77%329M
0.00%274M
-6.85%299M
-Current debt
103.91%365M
103.91%365M
1,907.14%281M
--137M
----
55.65%179M
55.65%179M
--14M
----
----
-Current capital lease obligation
20.07%359M
20.07%359M
-7.62%291M
8.03%296M
0.00%299M
-2.92%299M
-2.92%299M
6.06%315M
0.00%274M
15.44%299M
Payables
22.05%1.51B
22.05%1.51B
-11.70%5.81B
7.69%6.56B
7.75%5.92B
-65.69%1.24B
-65.69%1.24B
-10.38%6.58B
-28.14%6.09B
-35.42%5.5B
-accounts payable
-6.51%1.01B
-6.51%1.01B
-12.51%5.63B
7.32%6.48B
7.08%5.81B
-53.88%1.08B
-53.88%1.08B
2.96%6.44B
-19.33%6.04B
-33.18%5.43B
-Total tax payable
350.00%396M
350.00%396M
23.97%181M
54.17%74M
59.15%113M
-92.73%88M
-92.73%88M
-86.64%146M
-95.13%48M
-81.84%71M
-Other payable
46.67%110M
46.67%110M
----
----
----
13.64%75M
13.64%75M
----
----
----
Current accrued expenses
23.73%4.98B
23.73%4.98B
----
----
----
15.05%4.03B
15.05%4.03B
----
----
----
Current provisions
-38.89%11M
-38.89%11M
----
----
----
-28.00%18M
-28.00%18M
----
----
----
Pension and other retirement benefit plans
-53.52%132M
-53.52%132M
----
----
----
75.31%284M
75.31%284M
----
----
----
Other current liabilities
----
----
----
-84.73%40M
-55.76%142M
-45.70%164M
-45.70%164M
0.34%295M
120.17%262M
4.90%321M
Current liabilities
18.55%7.36B
18.55%7.36B
-11.41%6.38B
6.11%7.03B
4.04%6.37B
-22.58%6.21B
-22.58%6.21B
-9.19%7.21B
-25.28%6.62B
-33.06%6.12B
Non current liabilities
Long term debt and capital lease obligation
4.68%9.91B
4.68%9.91B
-2.84%9.37B
-13.19%9.58B
-14.91%9.53B
-15.62%9.47B
-15.62%9.47B
-15.02%9.64B
-20.16%11.03B
-22.19%11.2B
-Long term debt
3.29%7.34B
3.29%7.34B
-2.84%7.02B
-14.75%7.28B
-16.75%7.23B
-18.21%7.11B
-18.21%7.11B
-17.67%7.22B
-23.99%8.53B
-26.08%8.68B
-Long term capital lease obligation
8.86%2.57B
8.86%2.57B
-2.85%2.35B
-7.84%2.3B
-8.59%2.3B
-6.69%2.36B
-6.69%2.36B
-5.99%2.42B
-3.55%2.5B
-4.95%2.52B
Long term provisions
5.65%4.66B
5.65%4.66B
9.99%4.26B
10.88%4.32B
10.56%4.33B
13.35%4.41B
13.35%4.41B
25.30%3.87B
25.64%3.9B
5.86%3.92B
Employee benefits
-2.93%365M
-2.93%365M
13.52%361M
11.90%348M
14.24%329M
-15.70%376M
-15.70%376M
-8.09%318M
-7.16%311M
-12.73%288M
Non current deferred liabilities
-3.41%4.05B
-3.41%4.05B
2.67%4.11B
-1.86%4.05B
-1.99%4.08B
-3.23%4.19B
-3.23%4.19B
-5.92%4.01B
21.91%4.13B
24.92%4.16B
Other non current liabilities
-22.20%431M
-22.20%431M
6.12%590M
40.13%646M
75.50%616M
46.95%554M
46.95%554M
64.99%556M
365.66%461M
161.94%351M
Total non current liabilities
2.19%19.41B
2.19%19.41B
1.61%18.69B
-4.47%18.95B
-5.19%18.88B
-6.25%18.99B
-6.25%18.99B
-5.07%18.4B
-4.39%19.83B
-9.01%19.92B
Total liabilities
6.22%26.77B
6.22%26.77B
-2.05%25.08B
-1.82%25.97B
-3.02%25.25B
-10.88%25.2B
-10.88%25.2B
-6.27%25.6B
-10.65%26.46B
-16.09%26.04B
Shareholders'equity
Share capital
-3.23%16.02B
-3.23%16.02B
-2.69%16.22B
-1.78%16.45B
-2.03%16.5B
-1.72%16.55B
-1.72%16.55B
-1.68%16.67B
-2.49%16.75B
-3.20%16.84B
-common stock
-2.32%15.66B
-2.32%15.66B
-2.78%15.7B
-1.84%15.93B
-2.09%15.98B
-1.77%16.03B
-1.77%16.03B
-1.73%16.15B
-2.56%16.23B
-3.30%16.32B
-Preferred stock
-31.41%356M
-31.41%356M
0.00%519M
0.00%519M
0.00%519M
0.00%519M
0.00%519M
0.00%519M
0.00%519M
0.00%519M
Additional paid-in capital
-52.85%944M
-52.85%944M
-50.83%1.1B
-36.11%1.58B
-28.58%1.9B
-25.60%2B
-25.60%2B
-24.31%2.23B
-26.18%2.48B
-33.71%2.67B
Retained earnings
17.95%10.51B
17.95%10.51B
26.85%10.71B
49.28%10.22B
43.98%9.82B
39.44%8.91B
39.44%8.91B
39.80%8.44B
47.54%6.85B
181.20%6.82B
Less: Treasury stock
--43M
--43M
----
----
----
--0
--0
----
----
----
Gains losses not affecting retained earnings
91.47%2.31B
91.47%2.31B
7.36%1.56B
47.59%1.74B
2.90%1.49B
-17.82%1.21B
-17.82%1.21B
-11.34%1.45B
29.35%1.18B
156.74%1.45B
Other equity interest
-52.00%12M
-52.00%12M
-53.85%12M
-42.86%16M
-86.89%24M
-86.41%25M
-86.41%25M
-86.32%26M
-85.57%28M
-12.86%183M
Total stockholders'equity
3.68%29.75B
3.68%29.75B
2.70%29.59B
10.02%30.01B
6.36%29.73B
4.07%28.7B
4.07%28.7B
3.79%28.81B
3.82%27.28B
13.56%27.95B
Noncontrolling interests
7.14%15M
7.14%15M
7.69%14M
7.69%14M
7.69%14M
7.69%14M
7.69%14M
8.33%13M
8.33%13M
8.33%13M
Total equity
3.68%29.77B
3.68%29.77B
2.70%29.61B
10.02%30.03B
6.37%29.75B
4.07%28.71B
4.07%28.71B
3.79%28.83B
3.82%27.29B
13.56%27.97B
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
--
--
--
--
--
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments 38.89%3.09B38.89%3.09B145.96%3.1B45.55%3.15B17.13%2.4B-50.77%2.23B-50.77%2.23B-63.88%1.26B-41.32%2.17B-39.72%2.05B
-Cash and cash equivalents 38.89%3.09B38.89%3.09B145.96%3.1B45.55%3.15B17.13%2.4B-50.77%2.23B-50.77%2.23B-63.88%1.26B-41.32%2.17B-39.72%2.05B
Receivables -17.17%2.66B-17.17%2.66B-36.23%2.98B10.11%3.89B8.54%4B0.53%3.21B0.53%3.21B5.76%4.67B-39.62%3.53B-38.49%3.69B
-Accounts receivable -12.64%2.38B-12.64%2.38B-39.33%2.75B12.56%3.65B10.85%3.8B-8.10%2.72B-8.10%2.72B5.39%4.53B-44.58%3.24B-42.73%3.43B
-Taxes receivable -44.47%231M-44.47%231M69.17%225M-17.24%240M-22.09%201M243.80%416M243.80%416M19.82%133M--290M3,585.71%258M
-Due from related parties current -18.37%40M-18.37%40M-------------3.92%49M-3.92%49M------------
-Other receivables -59.09%9M-59.09%9M-------------62.07%22M-62.07%22M------------
Inventory 11.56%4.5B11.56%4.5B-14.95%4.1B8.30%4.61B4.06%4.44B-6.54%4.03B-6.54%4.03B10.56%4.82B-19.09%4.25B-8.54%4.26B
Prepaid assets -22.73%187M-22.73%187M-------------39.80%242M-39.80%242M------------
Total current assets 7.48%10.43B7.48%10.43B-5.30%10.18B17.06%11.65B8.39%10.84B-21.90%9.71B-21.90%9.71B-12.38%10.75B-35.06%9.95B-31.44%10B
Non current assets
Net PPE 3.36%41B3.36%41B1.20%39.73B1.10%39.68B0.55%39.64B1.64%39.67B1.64%39.67B2.11%39.26B10.57%39.24B9.42%39.42B
-Gross PPE 9.93%72.44B9.93%72.44B7.87%69.44B8.67%68.49B7.78%67.13B7.83%65.9B7.83%65.9B8.82%64.37B14.60%63.03B14.76%62.29B
-Accumulated depreciation -19.87%-31.44B-19.87%-31.44B-18.29%-29.71B-21.16%-28.82B-20.24%-27.49B-18.78%-26.23B-18.78%-26.23B-21.28%-25.11B-21.94%-23.79B-25.30%-22.87B
Investments and advances 21.68%679M21.68%679M-15.08%411M-13.64%418M-10.65%428M15.77%558M15.77%558M1.04%484M8.52%484M-6.81%479M
-Long term equity investment 24.35%618M24.35%618M-2.61%411M-0.71%418M2.64%428M18.33%497M18.33%497M1.44%422M9.92%421M-7.74%417M
-Other investment 0.00%61M0.00%61M-------------1.61%61M-1.61%61M-1.59%62M0.00%63M0.00%62M
Non current accounts receivable 24.00%93M24.00%93M-65.75%25M-72.22%25M-76.64%25M-48.28%75M-48.28%75M-39.67%73M-24.37%90M-29.14%107M
Goodwill and other intangible assets 0.38%2.93B0.38%2.93B-0.37%2.92B-0.48%2.92B-0.54%2.92B-0.65%2.92B-0.65%2.92B-2.00%2.93B-17.17%2.94B-17.19%2.94B
-Goodwill 0.00%2.92B0.00%2.92B0.00%2.92B0.00%2.92B0.00%2.92B0.00%2.92B0.00%2.92B0.00%2.92B-15.84%2.92B-15.84%2.92B
-Other intangible assets --11M--11M---------------------84.51%11M-80.82%14M-78.95%16M
Non current deferred assets 52.87%1.06B52.87%1.06B14.33%734M-16.75%631M-17.44%625M27.47%696M27.47%696M29.70%642M12.13%758M34.46%757M
Other non current assets 16.03%333M16.03%333M135.42%678M139.44%680M73.58%519M-2.71%287M-2.71%287M1.41%288M-3.40%284M11.57%299M
Total non current assets 4.29%46.11B4.29%46.11B1.88%44.5B1.27%44.35B0.35%44.16B1.77%44.21B1.77%44.21B2.01%43.68B7.95%43.8B7.13%44B
Total assets 4.87%56.54B4.87%56.54B0.46%54.68B4.19%56B1.84%54.99B-3.50%53.92B-3.50%53.92B-1.20%54.43B-3.84%53.75B-2.97%54B
Liabilities
Current liabilities
Current debt and capital lease obligation 51.46%724M51.46%724M73.86%572M58.03%433M0.00%299M13.00%478M13.00%478M10.77%329M0.00%274M-6.85%299M
-Current debt 103.91%365M103.91%365M1,907.14%281M--137M----55.65%179M55.65%179M--14M--------
-Current capital lease obligation 20.07%359M20.07%359M-7.62%291M8.03%296M0.00%299M-2.92%299M-2.92%299M6.06%315M0.00%274M15.44%299M
Payables 22.05%1.51B22.05%1.51B-11.70%5.81B7.69%6.56B7.75%5.92B-65.69%1.24B-65.69%1.24B-10.38%6.58B-28.14%6.09B-35.42%5.5B
-accounts payable -6.51%1.01B-6.51%1.01B-12.51%5.63B7.32%6.48B7.08%5.81B-53.88%1.08B-53.88%1.08B2.96%6.44B-19.33%6.04B-33.18%5.43B
-Total tax payable 350.00%396M350.00%396M23.97%181M54.17%74M59.15%113M-92.73%88M-92.73%88M-86.64%146M-95.13%48M-81.84%71M
-Other payable 46.67%110M46.67%110M------------13.64%75M13.64%75M------------
Current accrued expenses 23.73%4.98B23.73%4.98B------------15.05%4.03B15.05%4.03B------------
Current provisions -38.89%11M-38.89%11M-------------28.00%18M-28.00%18M------------
Pension and other retirement benefit plans -53.52%132M-53.52%132M------------75.31%284M75.31%284M------------
Other current liabilities -------------84.73%40M-55.76%142M-45.70%164M-45.70%164M0.34%295M120.17%262M4.90%321M
Current liabilities 18.55%7.36B18.55%7.36B-11.41%6.38B6.11%7.03B4.04%6.37B-22.58%6.21B-22.58%6.21B-9.19%7.21B-25.28%6.62B-33.06%6.12B
Non current liabilities
Long term debt and capital lease obligation 4.68%9.91B4.68%9.91B-2.84%9.37B-13.19%9.58B-14.91%9.53B-15.62%9.47B-15.62%9.47B-15.02%9.64B-20.16%11.03B-22.19%11.2B
-Long term debt 3.29%7.34B3.29%7.34B-2.84%7.02B-14.75%7.28B-16.75%7.23B-18.21%7.11B-18.21%7.11B-17.67%7.22B-23.99%8.53B-26.08%8.68B
-Long term capital lease obligation 8.86%2.57B8.86%2.57B-2.85%2.35B-7.84%2.3B-8.59%2.3B-6.69%2.36B-6.69%2.36B-5.99%2.42B-3.55%2.5B-4.95%2.52B
Long term provisions 5.65%4.66B5.65%4.66B9.99%4.26B10.88%4.32B10.56%4.33B13.35%4.41B13.35%4.41B25.30%3.87B25.64%3.9B5.86%3.92B
Employee benefits -2.93%365M-2.93%365M13.52%361M11.90%348M14.24%329M-15.70%376M-15.70%376M-8.09%318M-7.16%311M-12.73%288M
Non current deferred liabilities -3.41%4.05B-3.41%4.05B2.67%4.11B-1.86%4.05B-1.99%4.08B-3.23%4.19B-3.23%4.19B-5.92%4.01B21.91%4.13B24.92%4.16B
Other non current liabilities -22.20%431M-22.20%431M6.12%590M40.13%646M75.50%616M46.95%554M46.95%554M64.99%556M365.66%461M161.94%351M
Total non current liabilities 2.19%19.41B2.19%19.41B1.61%18.69B-4.47%18.95B-5.19%18.88B-6.25%18.99B-6.25%18.99B-5.07%18.4B-4.39%19.83B-9.01%19.92B
Total liabilities 6.22%26.77B6.22%26.77B-2.05%25.08B-1.82%25.97B-3.02%25.25B-10.88%25.2B-10.88%25.2B-6.27%25.6B-10.65%26.46B-16.09%26.04B
Shareholders'equity
Share capital -3.23%16.02B-3.23%16.02B-2.69%16.22B-1.78%16.45B-2.03%16.5B-1.72%16.55B-1.72%16.55B-1.68%16.67B-2.49%16.75B-3.20%16.84B
-common stock -2.32%15.66B-2.32%15.66B-2.78%15.7B-1.84%15.93B-2.09%15.98B-1.77%16.03B-1.77%16.03B-1.73%16.15B-2.56%16.23B-3.30%16.32B
-Preferred stock -31.41%356M-31.41%356M0.00%519M0.00%519M0.00%519M0.00%519M0.00%519M0.00%519M0.00%519M0.00%519M
Additional paid-in capital -52.85%944M-52.85%944M-50.83%1.1B-36.11%1.58B-28.58%1.9B-25.60%2B-25.60%2B-24.31%2.23B-26.18%2.48B-33.71%2.67B
Retained earnings 17.95%10.51B17.95%10.51B26.85%10.71B49.28%10.22B43.98%9.82B39.44%8.91B39.44%8.91B39.80%8.44B47.54%6.85B181.20%6.82B
Less: Treasury stock --43M--43M--------------0--0------------
Gains losses not affecting retained earnings 91.47%2.31B91.47%2.31B7.36%1.56B47.59%1.74B2.90%1.49B-17.82%1.21B-17.82%1.21B-11.34%1.45B29.35%1.18B156.74%1.45B
Other equity interest -52.00%12M-52.00%12M-53.85%12M-42.86%16M-86.89%24M-86.41%25M-86.41%25M-86.32%26M-85.57%28M-12.86%183M
Total stockholders'equity 3.68%29.75B3.68%29.75B2.70%29.59B10.02%30.01B6.36%29.73B4.07%28.7B4.07%28.7B3.79%28.81B3.82%27.28B13.56%27.95B
Noncontrolling interests 7.14%15M7.14%15M7.69%14M7.69%14M7.69%14M7.69%14M7.69%14M8.33%13M8.33%13M8.33%13M
Total equity 3.68%29.77B3.68%29.77B2.70%29.61B10.02%30.03B6.37%29.75B4.07%28.71B4.07%28.71B3.79%28.83B3.82%27.29B13.56%27.97B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions 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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