CA Stock MarketDetailed Quotes

NA National Bank of Canada

Watchlist
  • 120.410
  • +0.400+0.33%
15min DelayMarket Closed Feb 28 16:00 ET
47.06BMarket Cap11.08P/E (TTM)

National 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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-24.16%4.59B
-9.95%4.65B
106.15%260M
272.71%6.79B
-1,395.25%-8.45B
-52.29%6.05B
368.78%5.17B
42.54%-4.23B
-153.00%-3.93B
109.17%652M
Net income from continuing operations
8.13%997M
16.02%3.82B
27.16%955M
24.46%1.03B
8.89%906M
5.25%922M
-2.78%3.29B
1.76%751M
0.48%830M
-6.41%832M
Operating gains losses
14.29%-24M
-80.72%-150M
-74.07%-47M
-288.89%-35M
-21.21%-40M
-100.00%-28M
38.97%-83M
-1,450.00%-27M
18.18%-9M
51.47%-33M
Depreciation and amortization
10.40%138M
-1.91%514M
-1.52%130M
-0.77%129M
-0.76%130M
-4.58%125M
8.94%524M
11.86%132M
7.44%130M
8.26%131M
Asset impairment expenditure
----
-95.45%4M
----
----
----
----
1,000.00%88M
----
----
----
Unrealized gains and losses of investment securities
---4M
-91.21%-174M
---54M
----
----
--0
---91M
--0
----
----
Provision for loans, leases and other losses
109.09%253M
42.11%567M
33.61%159M
35.45%149M
64.29%138M
40.70%121M
185.00%399M
41.67%119M
100.00%110M
2,700.00%84M
Remuneration paid in stock
25.00%5M
-5.56%17M
0.00%4M
-20.00%4M
25.00%5M
-20.00%4M
5.88%18M
-20.00%4M
25.00%5M
0.00%4M
Deferred tax
3,600.00%35M
43.21%-138M
54.14%-72M
-120.00%-44M
38.24%-21M
96.88%-1M
-320.91%-243M
-1,221.43%-157M
-1,100.00%-20M
-300.00%-34M
Change in working capital
-35.04%3.19B
-84.51%196M
84.05%-819M
216.12%5.68B
-2,780.42%-9.56B
-57.81%4.9B
121.35%1.27B
38.30%-5.14B
-176.10%-4.89B
95.89%-332M
-Change in loans
50.03%-3.94B
-14,605.52%-26.62B
-34.24%-8.43B
-125.00%-325M
-280.96%-9.98B
-999.02%-7.88B
99.31%-181M
41.96%-6.28B
121.63%1.3B
231.11%5.52B
-Change in other working capital
-44.28%7.12B
1,754.29%26.81B
565.30%7.61B
196.98%6B
107.16%419M
3.62%12.78B
-92.86%1.45B
-54.17%1.14B
-149.77%-6.19B
-51.23%-5.85B
Cash from discontinued operating activities
Operating cash flow
-24.16%4.59B
-9.95%4.65B
106.15%260M
272.71%6.79B
-1,395.25%-8.45B
-52.29%6.05B
368.78%5.17B
42.54%-4.23B
-153.00%-3.93B
109.17%652M
Investing cash flow
Cash flow from continuing investing activities
-4.40%-2.94B
-9,070.00%-7.34B
-37.83%-951M
-270.75%-3.68B
-63.43%113M
-52.19%-2.82B
94.51%-80M
-921.43%-690M
1,024.46%2.15B
117.89%309M
Net PPE purchase and sale
73.47%-65M
-25.85%-443M
2.44%-80M
53.93%-41M
16.30%-77M
-175.28%-245M
-18.92%-352M
-18.84%-82M
-25.35%-89M
-13.58%-92M
Net intangibles purchas and sale
-20.75%-64M
13.04%-260M
18.95%-77M
21.62%-58M
-2.86%-72M
11.67%-53M
20.05%-299M
5.94%-95M
22.11%-74M
28.57%-70M
Net investment purchase and sale
-11.62%-2.82B
-1,261.65%-6.63B
-54.78%-794M
-254.47%-3.58B
-44.37%262M
-48.00%-2.52B
172.65%571M
-301.97%-513M
3,558.21%2.32B
130.43%471M
Cash from discontinued investing activities
Investing cash flow
-4.40%-2.94B
-9,070.00%-7.34B
-37.83%-951M
-270.75%-3.68B
-63.43%113M
-52.19%-2.82B
94.51%-80M
-921.43%-690M
1,024.46%2.15B
117.89%309M
Financing cash flow
Cash flow from continuing financing activities
243.48%561M
51.61%-1.1B
-2.18%-422M
-9.19%-416M
111.79%132M
-10.76%-391M
-495.01%-2.27B
-433.06%-413M
-200.53%-381M
-34.94%-1.12B
Net issuance payments of debt
2,737.84%976M
145.77%390M
11.54%-23M
7.69%-24M
161.16%474M
-48.00%-37M
-233.13%-852M
25.71%-26M
-103.59%-26M
-3,000.00%-775M
Net commonstock issuance
-59.57%19M
73.86%153M
2,100.00%20M
-16.67%25M
165.22%61M
30.56%47M
145.83%88M
-116.67%-1M
528.57%30M
112.04%23M
Cash dividends paid
-8.23%-434M
-9.12%-1.64B
-8.55%-419M
-8.31%-417M
-9.51%-403M
-10.16%-401M
-13.43%-1.5B
-12.54%-386M
-13.57%-385M
40.07%-368M
Cash from discontinued financing activities
Financing cash flow
243.48%561M
51.61%-1.1B
-2.18%-422M
-9.19%-416M
111.79%132M
-10.76%-391M
-495.01%-2.27B
-433.06%-413M
-200.53%-381M
-34.94%-1.12B
Net cash flow
Beginning cash position
-10.46%31.55B
10.56%35.23B
-18.39%32.49B
-30.17%29.68B
-11.56%37.4B
10.56%35.23B
-5.93%31.87B
4.85%39.81B
39.70%42.5B
5.55%42.29B
Current changes in cash
-22.33%2.2B
-234.13%-3.78B
79.11%-1.11B
224.92%2.7B
-5,057.23%-8.2B
-72.91%2.84B
174.99%2.82B
25.44%-5.33B
-128.54%-2.16B
98.35%-159M
Effect of exchange rate changes
227.91%857M
-82.39%96M
-77.09%173M
121.35%114M
28.07%479M
-1,240.00%-670M
-68.86%545M
-28.03%755M
-2,570.00%-534M
1,396.00%374M
End cash position
-7.46%34.61B
-10.46%31.55B
-10.46%31.55B
-18.39%32.49B
-30.17%29.68B
-11.56%37.4B
10.56%35.23B
10.56%35.23B
4.85%39.81B
39.70%42.5B
Free cash from
-22.48%4.46B
-12.54%3.95B
102.34%103M
263.42%6.69B
-1,853.88%-8.59B
-54.10%5.75B
274.19%4.52B
41.49%-4.4B
-156.46%-4.1B
106.72%490M
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
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -24.16%4.59B-9.95%4.65B106.15%260M272.71%6.79B-1,395.25%-8.45B-52.29%6.05B368.78%5.17B42.54%-4.23B-153.00%-3.93B109.17%652M
Net income from continuing operations 8.13%997M16.02%3.82B27.16%955M24.46%1.03B8.89%906M5.25%922M-2.78%3.29B1.76%751M0.48%830M-6.41%832M
Operating gains losses 14.29%-24M-80.72%-150M-74.07%-47M-288.89%-35M-21.21%-40M-100.00%-28M38.97%-83M-1,450.00%-27M18.18%-9M51.47%-33M
Depreciation and amortization 10.40%138M-1.91%514M-1.52%130M-0.77%129M-0.76%130M-4.58%125M8.94%524M11.86%132M7.44%130M8.26%131M
Asset impairment expenditure -----95.45%4M----------------1,000.00%88M------------
Unrealized gains and losses of investment securities ---4M-91.21%-174M---54M----------0---91M--0--------
Provision for loans, leases and other losses 109.09%253M42.11%567M33.61%159M35.45%149M64.29%138M40.70%121M185.00%399M41.67%119M100.00%110M2,700.00%84M
Remuneration paid in stock 25.00%5M-5.56%17M0.00%4M-20.00%4M25.00%5M-20.00%4M5.88%18M-20.00%4M25.00%5M0.00%4M
Deferred tax 3,600.00%35M43.21%-138M54.14%-72M-120.00%-44M38.24%-21M96.88%-1M-320.91%-243M-1,221.43%-157M-1,100.00%-20M-300.00%-34M
Change in working capital -35.04%3.19B-84.51%196M84.05%-819M216.12%5.68B-2,780.42%-9.56B-57.81%4.9B121.35%1.27B38.30%-5.14B-176.10%-4.89B95.89%-332M
-Change in loans 50.03%-3.94B-14,605.52%-26.62B-34.24%-8.43B-125.00%-325M-280.96%-9.98B-999.02%-7.88B99.31%-181M41.96%-6.28B121.63%1.3B231.11%5.52B
-Change in other working capital -44.28%7.12B1,754.29%26.81B565.30%7.61B196.98%6B107.16%419M3.62%12.78B-92.86%1.45B-54.17%1.14B-149.77%-6.19B-51.23%-5.85B
Cash from discontinued operating activities
Operating cash flow -24.16%4.59B-9.95%4.65B106.15%260M272.71%6.79B-1,395.25%-8.45B-52.29%6.05B368.78%5.17B42.54%-4.23B-153.00%-3.93B109.17%652M
Investing cash flow
Cash flow from continuing investing activities -4.40%-2.94B-9,070.00%-7.34B-37.83%-951M-270.75%-3.68B-63.43%113M-52.19%-2.82B94.51%-80M-921.43%-690M1,024.46%2.15B117.89%309M
Net PPE purchase and sale 73.47%-65M-25.85%-443M2.44%-80M53.93%-41M16.30%-77M-175.28%-245M-18.92%-352M-18.84%-82M-25.35%-89M-13.58%-92M
Net intangibles purchas and sale -20.75%-64M13.04%-260M18.95%-77M21.62%-58M-2.86%-72M11.67%-53M20.05%-299M5.94%-95M22.11%-74M28.57%-70M
Net investment purchase and sale -11.62%-2.82B-1,261.65%-6.63B-54.78%-794M-254.47%-3.58B-44.37%262M-48.00%-2.52B172.65%571M-301.97%-513M3,558.21%2.32B130.43%471M
Cash from discontinued investing activities
Investing cash flow -4.40%-2.94B-9,070.00%-7.34B-37.83%-951M-270.75%-3.68B-63.43%113M-52.19%-2.82B94.51%-80M-921.43%-690M1,024.46%2.15B117.89%309M
Financing cash flow
Cash flow from continuing financing activities 243.48%561M51.61%-1.1B-2.18%-422M-9.19%-416M111.79%132M-10.76%-391M-495.01%-2.27B-433.06%-413M-200.53%-381M-34.94%-1.12B
Net issuance payments of debt 2,737.84%976M145.77%390M11.54%-23M7.69%-24M161.16%474M-48.00%-37M-233.13%-852M25.71%-26M-103.59%-26M-3,000.00%-775M
Net commonstock issuance -59.57%19M73.86%153M2,100.00%20M-16.67%25M165.22%61M30.56%47M145.83%88M-116.67%-1M528.57%30M112.04%23M
Cash dividends paid -8.23%-434M-9.12%-1.64B-8.55%-419M-8.31%-417M-9.51%-403M-10.16%-401M-13.43%-1.5B-12.54%-386M-13.57%-385M40.07%-368M
Cash from discontinued financing activities
Financing cash flow 243.48%561M51.61%-1.1B-2.18%-422M-9.19%-416M111.79%132M-10.76%-391M-495.01%-2.27B-433.06%-413M-200.53%-381M-34.94%-1.12B
Net cash flow
Beginning cash position -10.46%31.55B10.56%35.23B-18.39%32.49B-30.17%29.68B-11.56%37.4B10.56%35.23B-5.93%31.87B4.85%39.81B39.70%42.5B5.55%42.29B
Current changes in cash -22.33%2.2B-234.13%-3.78B79.11%-1.11B224.92%2.7B-5,057.23%-8.2B-72.91%2.84B174.99%2.82B25.44%-5.33B-128.54%-2.16B98.35%-159M
Effect of exchange rate changes 227.91%857M-82.39%96M-77.09%173M121.35%114M28.07%479M-1,240.00%-670M-68.86%545M-28.03%755M-2,570.00%-534M1,396.00%374M
End cash position -7.46%34.61B-10.46%31.55B-10.46%31.55B-18.39%32.49B-30.17%29.68B-11.56%37.4B10.56%35.23B10.56%35.23B4.85%39.81B39.70%42.5B
Free cash from -22.48%4.46B-12.54%3.95B102.34%103M263.42%6.69B-1,853.88%-8.59B-54.10%5.75B274.19%4.52B41.49%-4.4B-156.46%-4.1B106.72%490M
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.

Trending Stocks
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.