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RY Royal Bank of Canada

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  • 166.405
  • +0.405+0.24%
15min DelayPost-Market Auction Session Mar 25 15:56 ET
235.05BMarket Cap13.54P/E (TTM)

Royal 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
1,996.17%31.15B
-11.27%23.14B
254.34%17.17B
156.96%23.22B
-251.40%-15.6B
-109.20%-1.64B
18.85%26.08B
-3,086.82%-11.12B
-31.13%9.04B
1,298.37%10.31B
Net income from continuing operations
43.24%5.13B
11.14%16.24B
7.18%4.22B
16.22%4.49B
7.34%3.95B
14.33%3.58B
-7.56%14.61B
1.47%3.94B
7.91%3.86B
-13.47%3.68B
Operating gains losses
13.95%-74M
-95.31%-125M
-110.81%-24M
176.83%63M
36.07%-78M
-4.88%-86M
74.50%-64M
--222M
-13.89%-82M
10.29%-122M
Depreciation and amortization
14.84%774M
4.45%2.98B
9.32%821M
7.92%763M
2.12%723M
-2.03%674M
7.62%2.85B
9.00%751M
7.61%707M
8.26%708M
Provision for loans, leases and other losses
29.15%1.05B
30.96%3.23B
16.67%840M
6.98%659M
53.33%920M
52.82%813M
409.92%2.47B
88.98%720M
81.18%616M
275.44%600M
Deferred tax
104.62%28M
-50.20%-1.53B
111.97%99M
-567.47%-776M
-156.25%-246M
-132.18%-606M
-278.91%-1.02B
-613.66%-827M
170.04%166M
-122.97%-96M
Change in working capital
502.74%24.25B
-67.62%2.34B
170.37%11.21B
378.22%18.02B
-477.02%-20.87B
-143.47%-6.02B
169.56%7.23B
-191.60%-15.93B
-57.44%3.77B
234.70%5.54B
-Change in loans
197.01%13.84B
-2,466.83%-100.76B
-249.81%-34.4B
-139.13%-10.29B
-212.00%-41.79B
-1,306.94%-14.27B
104.22%4.26B
67.45%-9.84B
219.49%26.31B
44.96%-13.4B
-Change in other working capital
26.18%10.41B
3,371.25%103.1B
848.72%45.61B
225.65%28.32B
10.51%20.92B
-34.90%8.25B
-97.13%2.97B
-124.61%-6.09B
-173.00%-22.54B
-6.40%18.93B
Cash from discontinued operating activities
Operating cash flow
1,996.17%31.15B
-11.27%23.14B
254.34%17.17B
156.96%23.22B
-251.40%-15.6B
-109.20%-1.64B
18.85%26.08B
-3,086.82%-11.12B
-31.13%9.04B
1,298.37%10.31B
Investing cash flow
Cash flow from continuing investing activities
-214.05%-16.11B
26.10%-20.89B
-1,105.65%-13.02B
-25.40%-27.71B
3.78%5.71B
233.30%14.13B
50.46%-28.27B
95.17%-1.08B
38.12%-22.09B
160.96%5.51B
Proceeds payment in interest bearing deposits in bank
80.85%18.1B
-72.97%5.07B
-151.99%-8.61B
-228.42%-18.95B
94.76%22.62B
372.94%10.01B
166.06%18.74B
267.89%16.56B
80.32%-5.77B
314.73%11.62B
Net PPE purchase and sale
-41.29%-681M
16.48%-2.28B
12.74%-671M
-28.73%-717M
41.93%-410M
30.95%-482M
-9.20%-2.73B
0.26%-769M
4.95%-557M
-27.67%-706M
Net business purchase and sale
--0
-841.88%-12.7B
--0
-99.71%5M
---12.72B
--9M
172.54%1.71B
--0
519.61%1.71B
--0
Net investment purchase and sale
-829.92%-33.53B
76.14%-10.97B
77.84%-3.74B
53.98%-8.04B
30.00%-3.78B
173.69%4.59B
-93.06%-45.99B
-74.02%-16.88B
-223.93%-17.48B
-70.71%-5.4B
Cash from discontinued investing activities
Investing cash flow
-214.05%-16.11B
26.10%-20.89B
-1,105.65%-13.02B
-25.40%-27.71B
3.78%5.71B
233.30%14.13B
50.46%-28.27B
95.17%-1.08B
38.12%-22.09B
160.96%5.51B
Financing cash flow
Cash flow from continuing financing activities
-3,617.14%-1.23B
17.16%-8.15B
52.60%-2.94B
32.02%-2.91B
28.33%-2.34B
-99.10%35M
-350.02%-9.83B
-199.02%-6.19B
-33.80%-4.28B
19.14%-3.27B
Net issuance payments of debt
-140.53%-154M
23.36%-3.39B
90.56%-461M
73.54%-803M
-10.43%-2.51B
-93.41%380M
-145.23%-4.43B
-153.43%-4.89B
-7,886.84%-3.04B
-1,384.97%-2.27B
Net commonstock issuance
-309.25%-362M
27.44%209M
273.17%142M
-4,325.00%-177M
-73.51%71M
1,061.11%173M
102.93%164M
92.16%-82M
99.71%-4M
113.58%268M
Net preferred stock issuance
91.70%1.39B
--1.68B
---500M
--96M
--0
--723M
--0
--0
--0
--0
Cash dividends paid
-69.44%-2.1B
-19.61%-6.64B
-73.08%-2.12B
-63.70%-2.02B
-0.80%-1.26B
32.65%-1.24B
20.27%-5.55B
33.66%-1.22B
29.65%-1.23B
28.70%-1.25B
Net other financing activities
----
71.43%-6M
66.67%-1M
0.00%-2M
15,211.11%1.36B
85.71%-1M
-320.00%-21M
-200.00%-3M
0.00%-2M
-800.00%-9M
Cash from discontinued financing activities
Financing cash flow
-3,617.14%-1.23B
17.16%-8.15B
52.60%-2.94B
32.02%-2.91B
28.33%-2.34B
-99.10%35M
-350.02%-9.83B
-199.02%-6.19B
-33.80%-4.28B
19.14%-3.27B
Net cash flow
Beginning cash position
-8.50%56.72B
-14.38%61.99B
-31.27%55.23B
-38.13%61.37B
-13.83%74.35B
-14.38%61.99B
-36.41%72.4B
-9.82%80.36B
-14.43%99.2B
-34.22%86.28B
Current changes in cash
10.35%13.81B
50.96%-5.89B
106.58%1.21B
57.35%-7.39B
-197.47%-12.23B
12.16%12.52B
67.77%-12.02B
-11.63%-18.39B
32.77%-17.33B
201.74%12.55B
Effect of exchange rate changes
515.00%664M
-61.02%628M
1,032.00%283M
182.89%1.25B
-298.67%-745M
-105.88%-160M
138.80%1.61B
110.59%25M
-45.28%-1.51B
112.93%375M
End cash position
-4.23%71.2B
-8.50%56.72B
-8.50%56.72B
-31.27%55.23B
-38.13%61.37B
-13.83%74.35B
-14.38%61.99B
-14.38%61.99B
-9.82%80.36B
-14.43%99.2B
Free cash from
1,534.02%30.47B
-10.66%20.86B
238.72%16.5B
165.39%22.5B
-266.80%-16.01B
-112.38%-2.13B
20.10%23.35B
-961.70%-11.89B
-32.35%8.48B
5,117.39%9.6B
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 with Explanatory Notes
--
--
--
--
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 1,996.17%31.15B-11.27%23.14B254.34%17.17B156.96%23.22B-251.40%-15.6B-109.20%-1.64B18.85%26.08B-3,086.82%-11.12B-31.13%9.04B1,298.37%10.31B
Net income from continuing operations 43.24%5.13B11.14%16.24B7.18%4.22B16.22%4.49B7.34%3.95B14.33%3.58B-7.56%14.61B1.47%3.94B7.91%3.86B-13.47%3.68B
Operating gains losses 13.95%-74M-95.31%-125M-110.81%-24M176.83%63M36.07%-78M-4.88%-86M74.50%-64M--222M-13.89%-82M10.29%-122M
Depreciation and amortization 14.84%774M4.45%2.98B9.32%821M7.92%763M2.12%723M-2.03%674M7.62%2.85B9.00%751M7.61%707M8.26%708M
Provision for loans, leases and other losses 29.15%1.05B30.96%3.23B16.67%840M6.98%659M53.33%920M52.82%813M409.92%2.47B88.98%720M81.18%616M275.44%600M
Deferred tax 104.62%28M-50.20%-1.53B111.97%99M-567.47%-776M-156.25%-246M-132.18%-606M-278.91%-1.02B-613.66%-827M170.04%166M-122.97%-96M
Change in working capital 502.74%24.25B-67.62%2.34B170.37%11.21B378.22%18.02B-477.02%-20.87B-143.47%-6.02B169.56%7.23B-191.60%-15.93B-57.44%3.77B234.70%5.54B
-Change in loans 197.01%13.84B-2,466.83%-100.76B-249.81%-34.4B-139.13%-10.29B-212.00%-41.79B-1,306.94%-14.27B104.22%4.26B67.45%-9.84B219.49%26.31B44.96%-13.4B
-Change in other working capital 26.18%10.41B3,371.25%103.1B848.72%45.61B225.65%28.32B10.51%20.92B-34.90%8.25B-97.13%2.97B-124.61%-6.09B-173.00%-22.54B-6.40%18.93B
Cash from discontinued operating activities
Operating cash flow 1,996.17%31.15B-11.27%23.14B254.34%17.17B156.96%23.22B-251.40%-15.6B-109.20%-1.64B18.85%26.08B-3,086.82%-11.12B-31.13%9.04B1,298.37%10.31B
Investing cash flow
Cash flow from continuing investing activities -214.05%-16.11B26.10%-20.89B-1,105.65%-13.02B-25.40%-27.71B3.78%5.71B233.30%14.13B50.46%-28.27B95.17%-1.08B38.12%-22.09B160.96%5.51B
Proceeds payment in interest bearing deposits in bank 80.85%18.1B-72.97%5.07B-151.99%-8.61B-228.42%-18.95B94.76%22.62B372.94%10.01B166.06%18.74B267.89%16.56B80.32%-5.77B314.73%11.62B
Net PPE purchase and sale -41.29%-681M16.48%-2.28B12.74%-671M-28.73%-717M41.93%-410M30.95%-482M-9.20%-2.73B0.26%-769M4.95%-557M-27.67%-706M
Net business purchase and sale --0-841.88%-12.7B--0-99.71%5M---12.72B--9M172.54%1.71B--0519.61%1.71B--0
Net investment purchase and sale -829.92%-33.53B76.14%-10.97B77.84%-3.74B53.98%-8.04B30.00%-3.78B173.69%4.59B-93.06%-45.99B-74.02%-16.88B-223.93%-17.48B-70.71%-5.4B
Cash from discontinued investing activities
Investing cash flow -214.05%-16.11B26.10%-20.89B-1,105.65%-13.02B-25.40%-27.71B3.78%5.71B233.30%14.13B50.46%-28.27B95.17%-1.08B38.12%-22.09B160.96%5.51B
Financing cash flow
Cash flow from continuing financing activities -3,617.14%-1.23B17.16%-8.15B52.60%-2.94B32.02%-2.91B28.33%-2.34B-99.10%35M-350.02%-9.83B-199.02%-6.19B-33.80%-4.28B19.14%-3.27B
Net issuance payments of debt -140.53%-154M23.36%-3.39B90.56%-461M73.54%-803M-10.43%-2.51B-93.41%380M-145.23%-4.43B-153.43%-4.89B-7,886.84%-3.04B-1,384.97%-2.27B
Net commonstock issuance -309.25%-362M27.44%209M273.17%142M-4,325.00%-177M-73.51%71M1,061.11%173M102.93%164M92.16%-82M99.71%-4M113.58%268M
Net preferred stock issuance 91.70%1.39B--1.68B---500M--96M--0--723M--0--0--0--0
Cash dividends paid -69.44%-2.1B-19.61%-6.64B-73.08%-2.12B-63.70%-2.02B-0.80%-1.26B32.65%-1.24B20.27%-5.55B33.66%-1.22B29.65%-1.23B28.70%-1.25B
Net other financing activities ----71.43%-6M66.67%-1M0.00%-2M15,211.11%1.36B85.71%-1M-320.00%-21M-200.00%-3M0.00%-2M-800.00%-9M
Cash from discontinued financing activities
Financing cash flow -3,617.14%-1.23B17.16%-8.15B52.60%-2.94B32.02%-2.91B28.33%-2.34B-99.10%35M-350.02%-9.83B-199.02%-6.19B-33.80%-4.28B19.14%-3.27B
Net cash flow
Beginning cash position -8.50%56.72B-14.38%61.99B-31.27%55.23B-38.13%61.37B-13.83%74.35B-14.38%61.99B-36.41%72.4B-9.82%80.36B-14.43%99.2B-34.22%86.28B
Current changes in cash 10.35%13.81B50.96%-5.89B106.58%1.21B57.35%-7.39B-197.47%-12.23B12.16%12.52B67.77%-12.02B-11.63%-18.39B32.77%-17.33B201.74%12.55B
Effect of exchange rate changes 515.00%664M-61.02%628M1,032.00%283M182.89%1.25B-298.67%-745M-105.88%-160M138.80%1.61B110.59%25M-45.28%-1.51B112.93%375M
End cash position -4.23%71.2B-8.50%56.72B-8.50%56.72B-31.27%55.23B-38.13%61.37B-13.83%74.35B-14.38%61.99B-14.38%61.99B-9.82%80.36B-14.43%99.2B
Free cash from 1,534.02%30.47B-10.66%20.86B238.72%16.5B165.39%22.5B-266.80%-16.01B-112.38%-2.13B20.10%23.35B-961.70%-11.89B-32.35%8.48B5,117.39%9.6B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion with Explanatory Notes--------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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