CA Stock MarketDetailed Quotes

LB Laurentian Bank of Canada

Watchlist
  • 27.080
  • -0.480-1.74%
15min DelayMarket Closed Mar 28 16:00 ET
1.19BMarket Cap-67.70P/E (TTM)

Laurentian Bank of Canada Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Jan 31, 2025
(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
Assets
Cash, cash equivalents and federal funds sold
40.70%5.68B
-7.53%5.08B
-7.53%5.08B
-17.94%4.89B
-2.76%5.3B
-24.91%4.03B
-5.01%5.5B
-5.01%5.5B
13.98%5.96B
21.88%5.45B
-Cash and cash equivalents
192.42%2.02B
7.33%1.51B
7.33%1.51B
-31.71%1.26B
46.22%1.57B
-51.71%690.44M
-31.48%1.41B
-31.48%1.41B
18.87%1.85B
-12.37%1.07B
-Money market investments
9.37%3.66B
-12.67%3.57B
-12.67%3.57B
-11.75%3.63B
-14.72%3.74B
-15.18%3.34B
9.61%4.09B
9.61%4.09B
11.91%4.11B
34.75%4.38B
Securities and investments
5.82%6.47B
1.38%6.1B
1.38%6.1B
3.33%6.45B
-4.53%5.73B
0.81%6.11B
-2.72%6.02B
-2.72%6.02B
-5.96%6.24B
-10.31%6B
-Available for sale securities
3.24%6.22B
-0.56%5.93B
-0.56%5.93B
1.90%6.32B
-4.69%5.65B
1.46%6.02B
-0.53%5.97B
-0.53%5.97B
-3.22%6.21B
-8.01%5.93B
-Short term investments
181.00%248.51M
231.70%167.15M
231.70%167.15M
234.88%127.86M
7.72%83.39M
-29.74%88.44M
-73.00%50.39M
-73.00%50.39M
-83.18%38.18M
-69.25%77.41M
Derivative assets
31.82%343.56M
-25.25%243.09M
-25.25%243.09M
-36.36%236.42M
9.66%253.16M
-6.17%260.63M
4.06%325.22M
4.06%325.22M
43.33%371.51M
-12.27%230.86M
Customer acceptances
----
--0
--0
--0
--0
--0
-84.97%15M
-84.97%15M
--0
--0
Net loan
-3.04%35.38B
-4.84%35.07B
-4.84%35.07B
-5.16%34.85B
-4.35%36.06B
-2.56%36.49B
-1.16%36.85B
-1.16%36.85B
1.16%36.75B
6.08%37.7B
-Gross loan
-3.07%35.57B
-4.86%35.26B
-4.86%35.26B
-5.13%35.07B
-4.29%36.27B
-2.51%36.7B
-1.13%37.06B
-1.13%37.06B
1.22%36.96B
6.09%37.9B
-Allowance for loans and lease losses
-7.67%193.78M
-8.05%189.38M
-8.05%189.38M
0.54%210.68M
6.43%215.8M
7.48%209.88M
6.45%205.96M
6.45%205.96M
13.01%209.54M
6.47%202.76M
Receivables
----
-28.91%237.92M
-28.91%237.92M
----
----
----
64.00%334.69M
64.00%334.69M
----
----
-Accounts receivable
----
-29.88%198.73M
-29.88%198.73M
----
----
----
38.88%283.42M
38.88%283.42M
----
----
-Other receivables
----
-23.58%39.18M
-23.58%39.18M
----
----
----
--51.27M
--51.27M
----
----
Prepaid assets
----
-0.36%215.01M
-0.36%215.01M
----
----
----
-0.85%215.78M
-0.85%215.78M
----
----
Net PPE
-25.27%81.43M
-28.62%85.43M
-28.62%85.43M
-25.42%86M
-26.13%86.73M
-9.46%108.97M
-10.94%119.68M
-10.94%119.68M
-5.28%115.31M
-1.03%117.41M
-Gross PPE
----
-16.34%186.44M
-16.34%186.44M
----
----
----
-4.80%222.86M
-4.80%222.86M
----
----
-Accumulated depreciation
----
2.10%-101.01M
2.10%-101.01M
----
----
----
-3.47%-103.18M
-3.47%-103.18M
----
----
Goodwill and other intangible assets
-50.35%179.59M
-50.68%181.28M
-50.68%181.28M
-49.53%186.31M
-49.94%186.59M
-3.12%361.73M
-2.79%367.59M
-2.79%367.59M
2.40%369.16M
4.05%372.69M
-Goodwill
----
--0
--0
--0
--0
0.72%82.95M
1.25%84.76M
1.25%84.76M
1.56%81.86M
3.69%83.39M
-Other intangible assets
-35.58%179.59M
-35.91%181.28M
-35.91%181.28M
-35.15%186.31M
-35.51%186.59M
-4.21%278.78M
-3.94%282.83M
-3.94%282.83M
2.64%287.3M
4.15%289.31M
Defined pension benefit
----
0.80%28.46M
0.80%28.46M
----
----
----
-26.87%28.23M
-26.87%28.23M
----
----
Deferred assets
18.56%149.13M
32.55%157.84M
32.55%157.84M
51.08%157.91M
90.51%166.55M
56.22%125.78M
66.48%119.09M
66.48%119.09M
76.31%104.52M
57.06%87.42M
Other assets
-14.06%499.95M
----
----
-17.48%599.9M
-18.31%600.83M
-6.55%581.76M
----
----
-2.20%727.01M
3.63%735.46M
Total assets
1.46%48.78B
-4.99%47.4B
-4.99%47.4B
-6.27%47.46B
-4.56%48.39B
-4.54%48.08B
-1.62%49.89B
-1.62%49.89B
1.69%50.64B
4.93%50.7B
Liabilities
Total deposits
-6.21%21.79B
-10.80%21.51B
-10.80%21.51B
-10.16%21.87B
-5.62%22.71B
-7.92%23.24B
-2.57%24.11B
-2.57%24.11B
2.17%24.34B
8.17%24.06B
Federal funds purchased and securities sold under agreement to repurchase
9.45%3.57B
17.41%3.66B
17.41%3.66B
19.93%3.84B
-3.52%3.1B
40.44%3.26B
6.65%3.12B
6.65%3.12B
25.53%3.2B
9.10%3.21B
Trading liabilities
39.72%2.67B
-12.50%2.26B
-12.50%2.26B
-37.40%2.22B
-24.62%2.52B
-46.13%1.91B
-19.78%2.58B
-19.78%2.58B
-14.08%3.55B
8.65%3.35B
Derivative product liabilities
32.57%535M
-54.79%333.66M
-54.79%333.66M
-43.63%337.61M
13.54%519.4M
-15.92%403.55M
-8.77%738.04M
-8.77%738.04M
46.63%598.9M
3.72%457.45M
Payables
----
0.74%1.09B
0.74%1.09B
----
----
----
14.26%1.08B
14.26%1.08B
----
----
-Accounts payable
----
-0.21%1.07B
-0.21%1.07B
----
----
----
13.38%1.07B
13.38%1.07B
----
----
-Total tax payable
----
122.09%18.62M
122.09%18.62M
----
----
----
--8.38M
--8.38M
----
----
Long term debt and capital lease obligation
6.46%15.98B
2.39%15.59B
2.39%15.59B
1.62%15.14B
-0.38%15.38B
1.61%15.01B
1.24%15.23B
1.24%15.23B
0.78%14.9B
-0.10%15.44B
-Long term debt
6.46%15.98B
2.47%15.48B
2.47%15.48B
1.62%15.14B
-0.38%15.38B
1.61%15.01B
1.30%15.11B
1.30%15.11B
0.78%14.9B
-0.10%15.44B
-Long term capital lease obligation
----
-7.40%113.92M
-7.40%113.92M
----
----
----
-5.64%123.03M
-5.64%123.03M
----
----
Employee benefits
----
-12.89%14.76M
-12.89%14.76M
----
----
----
-2.93%16.95M
-2.93%16.95M
----
----
Non current deferred liabilities
-17.13%62.5M
-15.04%61.46M
-15.04%61.46M
7.69%61.13M
3.62%57.7M
38.01%75.42M
33.34%72.34M
33.34%72.34M
5.51%56.76M
5.90%55.68M
Other liabilities
0.95%1.3B
-39.43%49.6M
-39.43%49.6M
2.44%1.2B
5.76%1.36B
13.25%1.29B
-52.25%81.89M
-52.25%81.89M
-11.07%1.18B
-9.30%1.28B
Total liabilities
1.60%45.91B
-5.23%44.57B
-5.23%44.57B
-6.59%44.67B
-4.62%45.64B
-4.97%45.19B
-1.88%47.03B
-1.88%47.03B
1.59%47.82B
4.87%47.85B
Shareholders'equity
Share capital
10.26%1.44B
0.71%1.31B
0.71%1.31B
0.72%1.31B
0.79%1.3B
0.79%1.3B
0.80%1.3B
0.80%1.3B
0.90%1.3B
0.68%1.29B
-common stock
0.86%1.19B
0.79%1.19B
0.79%1.19B
0.79%1.18B
0.87%1.18B
0.87%1.18B
0.88%1.18B
0.88%1.18B
1.00%1.18B
0.76%1.17B
-Preferred stock
101.21%245.63M
0.00%122.07M
0.00%122.07M
0.00%122.07M
0.00%122.07M
0.00%122.07M
0.00%122.07M
0.00%122.07M
0.00%122.07M
0.00%122.07M
Retained earnings
-6.92%1.32B
-6.97%1.31B
-6.97%1.31B
-7.74%1.29B
-6.91%1.28B
5.10%1.42B
6.31%1.41B
6.31%1.41B
8.29%1.4B
9.16%1.37B
Gains losses not affecting retained earnings
179.39%102.8M
255.23%81.24M
255.23%81.24M
1,853.32%67.57M
-35.75%30.97M
-6.60%36.79M
-45.61%22.87M
-45.61%22.87M
-116.51%-3.85M
155.77%48.21M
Other equity interest
-94.43%7.24M
0.61%130.32M
0.61%130.32M
-0.09%129.37M
0.60%129.99M
0.99%129.85M
1.95%129.54M
1.95%129.54M
2.53%129.49M
2.54%129.21M
Total stockholders'equity
-0.73%2.87B
-1.04%2.83B
-1.04%2.83B
-0.98%2.79B
-3.56%2.74B
2.76%2.89B
2.77%2.86B
2.77%2.86B
3.47%2.82B
5.82%2.85B
Total equity
-0.73%2.87B
-1.04%2.83B
-1.04%2.83B
-0.98%2.79B
-3.56%2.74B
2.76%2.89B
2.77%2.86B
2.77%2.86B
3.47%2.82B
5.82%2.85B
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
--
--
--
(Q1)Jan 31, 2025(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
Assets
Cash, cash equivalents and federal funds sold 40.70%5.68B-7.53%5.08B-7.53%5.08B-17.94%4.89B-2.76%5.3B-24.91%4.03B-5.01%5.5B-5.01%5.5B13.98%5.96B21.88%5.45B
-Cash and cash equivalents 192.42%2.02B7.33%1.51B7.33%1.51B-31.71%1.26B46.22%1.57B-51.71%690.44M-31.48%1.41B-31.48%1.41B18.87%1.85B-12.37%1.07B
-Money market investments 9.37%3.66B-12.67%3.57B-12.67%3.57B-11.75%3.63B-14.72%3.74B-15.18%3.34B9.61%4.09B9.61%4.09B11.91%4.11B34.75%4.38B
Securities and investments 5.82%6.47B1.38%6.1B1.38%6.1B3.33%6.45B-4.53%5.73B0.81%6.11B-2.72%6.02B-2.72%6.02B-5.96%6.24B-10.31%6B
-Available for sale securities 3.24%6.22B-0.56%5.93B-0.56%5.93B1.90%6.32B-4.69%5.65B1.46%6.02B-0.53%5.97B-0.53%5.97B-3.22%6.21B-8.01%5.93B
-Short term investments 181.00%248.51M231.70%167.15M231.70%167.15M234.88%127.86M7.72%83.39M-29.74%88.44M-73.00%50.39M-73.00%50.39M-83.18%38.18M-69.25%77.41M
Derivative assets 31.82%343.56M-25.25%243.09M-25.25%243.09M-36.36%236.42M9.66%253.16M-6.17%260.63M4.06%325.22M4.06%325.22M43.33%371.51M-12.27%230.86M
Customer acceptances ------0--0--0--0--0-84.97%15M-84.97%15M--0--0
Net loan -3.04%35.38B-4.84%35.07B-4.84%35.07B-5.16%34.85B-4.35%36.06B-2.56%36.49B-1.16%36.85B-1.16%36.85B1.16%36.75B6.08%37.7B
-Gross loan -3.07%35.57B-4.86%35.26B-4.86%35.26B-5.13%35.07B-4.29%36.27B-2.51%36.7B-1.13%37.06B-1.13%37.06B1.22%36.96B6.09%37.9B
-Allowance for loans and lease losses -7.67%193.78M-8.05%189.38M-8.05%189.38M0.54%210.68M6.43%215.8M7.48%209.88M6.45%205.96M6.45%205.96M13.01%209.54M6.47%202.76M
Receivables -----28.91%237.92M-28.91%237.92M------------64.00%334.69M64.00%334.69M--------
-Accounts receivable -----29.88%198.73M-29.88%198.73M------------38.88%283.42M38.88%283.42M--------
-Other receivables -----23.58%39.18M-23.58%39.18M--------------51.27M--51.27M--------
Prepaid assets -----0.36%215.01M-0.36%215.01M-------------0.85%215.78M-0.85%215.78M--------
Net PPE -25.27%81.43M-28.62%85.43M-28.62%85.43M-25.42%86M-26.13%86.73M-9.46%108.97M-10.94%119.68M-10.94%119.68M-5.28%115.31M-1.03%117.41M
-Gross PPE -----16.34%186.44M-16.34%186.44M-------------4.80%222.86M-4.80%222.86M--------
-Accumulated depreciation ----2.10%-101.01M2.10%-101.01M-------------3.47%-103.18M-3.47%-103.18M--------
Goodwill and other intangible assets -50.35%179.59M-50.68%181.28M-50.68%181.28M-49.53%186.31M-49.94%186.59M-3.12%361.73M-2.79%367.59M-2.79%367.59M2.40%369.16M4.05%372.69M
-Goodwill ------0--0--0--00.72%82.95M1.25%84.76M1.25%84.76M1.56%81.86M3.69%83.39M
-Other intangible assets -35.58%179.59M-35.91%181.28M-35.91%181.28M-35.15%186.31M-35.51%186.59M-4.21%278.78M-3.94%282.83M-3.94%282.83M2.64%287.3M4.15%289.31M
Defined pension benefit ----0.80%28.46M0.80%28.46M-------------26.87%28.23M-26.87%28.23M--------
Deferred assets 18.56%149.13M32.55%157.84M32.55%157.84M51.08%157.91M90.51%166.55M56.22%125.78M66.48%119.09M66.48%119.09M76.31%104.52M57.06%87.42M
Other assets -14.06%499.95M---------17.48%599.9M-18.31%600.83M-6.55%581.76M---------2.20%727.01M3.63%735.46M
Total assets 1.46%48.78B-4.99%47.4B-4.99%47.4B-6.27%47.46B-4.56%48.39B-4.54%48.08B-1.62%49.89B-1.62%49.89B1.69%50.64B4.93%50.7B
Liabilities
Total deposits -6.21%21.79B-10.80%21.51B-10.80%21.51B-10.16%21.87B-5.62%22.71B-7.92%23.24B-2.57%24.11B-2.57%24.11B2.17%24.34B8.17%24.06B
Federal funds purchased and securities sold under agreement to repurchase 9.45%3.57B17.41%3.66B17.41%3.66B19.93%3.84B-3.52%3.1B40.44%3.26B6.65%3.12B6.65%3.12B25.53%3.2B9.10%3.21B
Trading liabilities 39.72%2.67B-12.50%2.26B-12.50%2.26B-37.40%2.22B-24.62%2.52B-46.13%1.91B-19.78%2.58B-19.78%2.58B-14.08%3.55B8.65%3.35B
Derivative product liabilities 32.57%535M-54.79%333.66M-54.79%333.66M-43.63%337.61M13.54%519.4M-15.92%403.55M-8.77%738.04M-8.77%738.04M46.63%598.9M3.72%457.45M
Payables ----0.74%1.09B0.74%1.09B------------14.26%1.08B14.26%1.08B--------
-Accounts payable -----0.21%1.07B-0.21%1.07B------------13.38%1.07B13.38%1.07B--------
-Total tax payable ----122.09%18.62M122.09%18.62M--------------8.38M--8.38M--------
Long term debt and capital lease obligation 6.46%15.98B2.39%15.59B2.39%15.59B1.62%15.14B-0.38%15.38B1.61%15.01B1.24%15.23B1.24%15.23B0.78%14.9B-0.10%15.44B
-Long term debt 6.46%15.98B2.47%15.48B2.47%15.48B1.62%15.14B-0.38%15.38B1.61%15.01B1.30%15.11B1.30%15.11B0.78%14.9B-0.10%15.44B
-Long term capital lease obligation -----7.40%113.92M-7.40%113.92M-------------5.64%123.03M-5.64%123.03M--------
Employee benefits -----12.89%14.76M-12.89%14.76M-------------2.93%16.95M-2.93%16.95M--------
Non current deferred liabilities -17.13%62.5M-15.04%61.46M-15.04%61.46M7.69%61.13M3.62%57.7M38.01%75.42M33.34%72.34M33.34%72.34M5.51%56.76M5.90%55.68M
Other liabilities 0.95%1.3B-39.43%49.6M-39.43%49.6M2.44%1.2B5.76%1.36B13.25%1.29B-52.25%81.89M-52.25%81.89M-11.07%1.18B-9.30%1.28B
Total liabilities 1.60%45.91B-5.23%44.57B-5.23%44.57B-6.59%44.67B-4.62%45.64B-4.97%45.19B-1.88%47.03B-1.88%47.03B1.59%47.82B4.87%47.85B
Shareholders'equity
Share capital 10.26%1.44B0.71%1.31B0.71%1.31B0.72%1.31B0.79%1.3B0.79%1.3B0.80%1.3B0.80%1.3B0.90%1.3B0.68%1.29B
-common stock 0.86%1.19B0.79%1.19B0.79%1.19B0.79%1.18B0.87%1.18B0.87%1.18B0.88%1.18B0.88%1.18B1.00%1.18B0.76%1.17B
-Preferred stock 101.21%245.63M0.00%122.07M0.00%122.07M0.00%122.07M0.00%122.07M0.00%122.07M0.00%122.07M0.00%122.07M0.00%122.07M0.00%122.07M
Retained earnings -6.92%1.32B-6.97%1.31B-6.97%1.31B-7.74%1.29B-6.91%1.28B5.10%1.42B6.31%1.41B6.31%1.41B8.29%1.4B9.16%1.37B
Gains losses not affecting retained earnings 179.39%102.8M255.23%81.24M255.23%81.24M1,853.32%67.57M-35.75%30.97M-6.60%36.79M-45.61%22.87M-45.61%22.87M-116.51%-3.85M155.77%48.21M
Other equity interest -94.43%7.24M0.61%130.32M0.61%130.32M-0.09%129.37M0.60%129.99M0.99%129.85M1.95%129.54M1.95%129.54M2.53%129.49M2.54%129.21M
Total stockholders'equity -0.73%2.87B-1.04%2.83B-1.04%2.83B-0.98%2.79B-3.56%2.74B2.76%2.89B2.77%2.86B2.77%2.86B3.47%2.82B5.82%2.85B
Total equity -0.73%2.87B-1.04%2.83B-1.04%2.83B-0.98%2.79B-3.56%2.74B2.76%2.89B2.77%2.86B2.77%2.86B3.47%2.82B5.82%2.85B
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.

Market Insights
Dividend Kings of Canada Dividend Kings of Canada

Dividend Kings In Canada are companies that have increased their Dividend per share for the most consecutive years, reflecting a strong business model and robust financials, and are likely to outperform the market with less volatility. Dividend Kings In Canada are companies that have increased their Dividend per share for the most consecutive years, reflecting a strong business model and robust financials, and are likely to outperform the market with less volatility.