The Toronto-Dominion Bank
TD
Canadian Imperial Bank of Commerce
CM
Royal Bank of Canada
RY
Bank of Nova Scotia
BNS
Bank of Montreal
BMO
(Q3)Oct 31, 2024 | (Q2)Jul 31, 2024 | (Q1)Apr 30, 2024 | (FY)Jan 31, 2024 | (Q4)Jan 31, 2024 | (Q3)Oct 31, 2023 | (Q2)Jul 31, 2023 | (Q1)Apr 30, 2023 | (FY)Jan 31, 2023 | (Q4)Jan 31, 2023 | |
---|---|---|---|---|---|---|---|---|---|---|
Operating Cash Flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | -41.02%179.9M | -77.20%111.6M | -45.36%141.4M | 155.29%1.66B | 96.91%604.9M | -11.16%305M | 47.37%489.4M | 177.69%258.8M | -15.65%649.5M | -56.66%307.2M |
Net income from continuing operations | -89.22%6.8M | -97.87%7.2M | -104.79%-7.4M | -13.97%744.5M | -48.45%188.2M | -55.44%63.1M | 42.49%338.7M | 27.69%154.5M | 8.91%865.4M | 74.19%365.1M |
Operating gains losses | -81.69%25.8M | 115.19%11.7M | 61.75%70.2M | -88.96%10.2M | -73.08%-97.1M | 6.34%140.9M | -38,400.00%-77M | 167.90%43.4M | 724.32%92.4M | -227.21%-56.1M |
Depreciation and amortization | 8.86%109.4M | 11.81%107M | 12.23%103.7M | 26.19%391.7M | 14.56%103.1M | 31.72%100.5M | 31.46%95.7M | 29.59%92.4M | 13.45%310.4M | 20.81%90M |
Asset impairment expenditure | ---- | ---- | ---- | --116.3M | ---- | ---- | ---- | ---- | --0 | ---- |
Deferred tax | -51.73%25.1M | -87.63%9.4M | -65.05%14.4M | -30.25%209.6M | -56.09%40.4M | -33.16%52M | -7.32%76M | -15.40%41.2M | 6.52%300.5M | 16.16%92M |
Other non cashItems | -13.08%65.1M | 20.05%52.1M | 9.80%49.3M | 80.12%213.8M | 10.48%50.6M | 133.33%74.9M | 128.42%43.4M | 105.96%44.9M | -10.08%118.7M | 780.77%45.8M |
Change In working capital | 52.69%-42.2M | -146.60%-44.5M | -32.65%-13M | 133.11%228.2M | 243.91%231.7M | -53.26%-89.2M | 923.28%95.5M | 97.86%-9.8M | -32.99%-689.3M | -147.90%-161M |
-Change in receivables | -115.85%-118.5M | -0.80%111.8M | 93.32%156.2M | 102.22%3.7M | -25.61%-134.9M | 57.67%-54.9M | 320.52%112.7M | 83.64%80.8M | 1.54%-166.3M | -1,033.91%-107.4M |
-Change in inventory | 87.26%-25M | -110.24%-10.9M | 90.54%-17.6M | 123.86%122.6M | 66.29%398.6M | 9.12%-196.3M | 152.70%106.4M | 44.56%-186.1M | 20.67%-513.9M | 333.45%239.7M |
-Change in payables and accrued expense | 1.79%136.3M | 72.10%-57.5M | -508.70%-178.6M | 11.18%-96.1M | 80.08%-67.6M | -47.32%133.9M | -253.23%-206.1M | 127.73%43.7M | -130.40%-108.2M | -267.89%-339.3M |
-Change in other current assets | -400.00%-8.4M | -60.54%-41.9M | --0 | -143.06%-18.6M | -54.63%4.9M | -96.42%2.8M | -214.47%-26.1M | 99.71%-200K | 127.43%43.2M | 109.81%10.8M |
-Change in other current liabilities | 61.05%-3.7M | -229.90%-12.6M | 48.05%-12M | 81.32%-34.3M | 55.81%-11.4M | 91.70%-9.5M | 112.25%9.7M | -164.35%-23.1M | -275.86%-183.6M | -126.22%-25.8M |
-Change in other working capital | -165.80%-22.9M | -133.77%-33.4M | -48.07%39M | 4.76%250.9M | -30.98%42.1M | -50.00%34.8M | 15.81%98.9M | 219.57%75.1M | 5,543.18%239.5M | -22.69%61M |
Tax refund paid | 72.85%-10.1M | 62.24%-31.3M | 29.68%-75.8M | 26.51%-256.2M | 58.75%-28.3M | 36.73%-37.2M | -22.63%-82.9M | 29.82%-107.8M | -94.53%-348.6M | -71.93%-68.6M |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | -41.02%179.9M | -77.20%111.6M | -45.36%141.4M | 155.29%1.66B | 96.91%604.9M | -11.16%305M | 47.37%489.4M | 177.69%258.8M | -15.65%649.5M | -56.66%307.2M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | 13.36%-118.7M | -6.71%-106.6M | 35.90%-74.1M | 32.63%-574.9M | 12.41%-222.4M | 63.66%-137M | 13.13%-99.9M | -7.53%-115.6M | -24.09%-853.4M | 22.80%-253.9M |
Net PPE purchase and sale | 11.31%-113.7M | -5.12%-98.5M | 39.93%-66.8M | 8.75%-548.4M | 13.15%-215.3M | 20.32%-128.2M | 5.92%-93.7M | -20.09%-111.2M | 4.44%-601M | 19.77%-247.9M |
Net intangibles purchas and sale | 47.52%-5.3M | 20.22%-7.1M | -27.27%-8.4M | 35.96%-37.4M | 21.33%-11.8M | 30.82%-10.1M | 28.23%-8.9M | 59.76%-6.6M | 15.12%-58.4M | 37.50%-15M |
Net business purchase and sale | ---- | ---- | ---- | --0 | ---- | ---- | ---- | ---- | ---208.2M | --600K |
Net other investing changes | -76.92%300K | -137.04%-1M | -50.00%1.1M | -23.24%10.9M | -44.05%4.7M | -82.19%1.3M | 190.00%2.7M | 46.67%2.2M | 42.00%14.2M | 104.88%8.4M |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | 13.36%-118.7M | -6.71%-106.6M | 35.90%-74.1M | 32.63%-574.9M | 12.41%-222.4M | 63.66%-137M | 13.13%-99.9M | -7.53%-115.6M | -24.09%-853.4M | 22.80%-253.9M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | 72.75%-64.3M | -8.61%-261.1M | -2.08%-117.7M | -518.71%-796.8M | -286.96%-205.1M | -424.18%-236M | -6.99%-240.4M | -149.59%-115.3M | 116.65%190.3M | 179.21%109.7M |
Net issuance payments of debt | 75.48%-5.1M | -11.74%-33.3M | 2.53%-19.3M | -120.00%-132.5M | -135.81%-62.1M | -118.51%-20.8M | -147.23%-29.8M | -106.31%-19.8M | 263.69%662.6M | 340.17%173.4M |
Net common stock issuance | 100.19%300K | -5.91%-163M | 5.83%-38.8M | -45.23%-428M | -1,482.14%-77.4M | -22,314.29%-155.5M | 37.94%-153.9M | 22.26%-41.2M | 52.29%-294.7M | 112.84%5.6M |
Cash dividends paid | -11.59%-15.4M | -10.07%-15.3M | -11.27%-15.8M | -9.45%-55.6M | -8.73%-13.7M | -9.52%-13.8M | -10.32%-13.9M | -9.23%-14.2M | -17.87%-50.8M | -17.76%-12.6M |
Interest paid (cash flow from financing activities) | -4.69%-44.6M | -5.40%-44.9M | -7.11%-43.7M | -66.43%-167.6M | -10.64%-41.6M | -54.91%-42.6M | -90.18%-42.6M | -209.09%-40.8M | -89.29%-100.7M | -200.80%-37.6M |
Net other financing activities | 115.15%500K | -2,200.00%-4.6M | -114.29%-100K | 49.81%-13.1M | 46.07%-10.3M | -1,550.00%-3.3M | 95.83%-200K | 135.00%700K | -9.21%-26.1M | -3,920.00%-19.1M |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | 72.75%-64.3M | -8.61%-261.1M | -2.08%-117.7M | -518.71%-796.8M | -286.96%-205.1M | -424.18%-236M | -6.99%-240.4M | -149.59%-115.3M | 116.65%190.3M | 179.21%109.7M |
Net cash flow | ||||||||||
Beginning cash position | -57.43%165.4M | 95.96%417.4M | 143.10%491.8M | -23.89%202.3M | 373.46%283.6M | 557.36%388.5M | 285.17%213M | -23.89%202.3M | -79.95%265.8M | 74.64%59.9M |
Current changes in cash | 95.44%-3.1M | -271.76%-256.1M | -280.65%-50.4M | 2,205.88%286.4M | 8.83%177.4M | -273.91%-68M | 2,061.84%149.1M | 113.41%27.9M | 98.72%-13.6M | -32.48%163M |
Effect of exchange rate changes | 55.01%-16.6M | -84.47%4.1M | -39.53%-24M | 106.21%3.1M | 249.51%30.8M | 3.66%-36.9M | 131.58%26.4M | -616.67%-17.2M | -10,080.00%-49.9M | -108.08%-20.6M |
End cash Position | -48.62%145.7M | -57.43%165.4M | 95.96%417.4M | 143.10%491.8M | 143.10%491.8M | 373.46%283.6M | 557.36%388.5M | 285.17%213M | -23.89%202.3M | -23.89%202.3M |
Free cash from | -63.47%60.9M | -98.45%6M | -53.05%66.2M | 10,931.31%1.07B | 752.82%377.8M | -0.66%166.7M | 75.74%386.8M | 131.89%141M | -113.69%-9.9M | -88.21%44.3M |
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: 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.