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)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 | (FY)Dec 31, 2022 | (Q4)Dec 31, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -82.02%8.2M | -58.57%5.8M | 45.33%21.8M | -94.03%17.3M | -94.03%17.3M | -79.78%45.6M | -11.95%14M | 163.16%15M | 2,047.41%289.9M | 2,047.41%289.9M |
-Cash and cash equivalents | -82.02%8.2M | -58.57%5.8M | 45.33%21.8M | -94.03%17.3M | -94.03%17.3M | -79.78%45.6M | -11.95%14M | 163.16%15M | 2,047.41%289.9M | 2,047.41%289.9M |
Receivables | -31.55%323.7M | 1.17%379.5M | 11.84%409M | 39.44%457.1M | 39.44%457.1M | 18.23%472.9M | -29.60%375.1M | -28.14%365.7M | 4.30%327.8M | 4.30%327.8M |
-Accounts receivable | -31.55%323.7M | 1.17%379.5M | 11.84%409M | 15.28%377.9M | 15.28%377.9M | 18.23%472.9M | -29.60%375.1M | -28.14%365.7M | 4.30%327.8M | 4.30%327.8M |
-Other receivables | ---- | ---- | ---- | --79.2M | --79.2M | ---- | ---- | ---- | ---- | ---- |
Prepaid assets | 35.63%102.4M | 38.16%105M | -24.93%105.1M | 34.05%87.8M | 34.05%87.8M | 344.12%75.5M | 424.14%76M | 728.40%140M | 785.14%65.5M | 785.14%65.5M |
Hedging assets-current | 67.17%199.6M | -18.02%90.1M | -14.14%114.8M | 73.29%240.7M | 73.29%240.7M | -14.65%119.4M | 4.87%109.9M | 138.32%133.7M | 83.49%138.9M | 83.49%138.9M |
Holding assets for sale | -55.53%402.6M | --0 | 329.25%637M | 66.51%247.1M | 66.51%247.1M | --905.4M | -41.62%148.4M | 246.73%148.4M | --148.4M | --148.4M |
Other current assets | --49.5M | --50.1M | --90.2M | ---- | ---- | ---- | ---- | ---- | --18.7M | --18.7M |
Total current assets | -32.91%1.09B | -12.84%630.5M | 71.64%1.38B | 6.15%1.05B | 6.15%1.05B | 106.90%1.62B | -21.56%723.4M | 27.35%802.8M | 140.74%989.2M | 140.74%989.2M |
Non current assets | ||||||||||
Net PPE | 19.20%10.15B | 3.51%10.43B | 23.70%10.37B | 44.45%11.43B | 44.45%11.43B | -6.20%8.52B | 14.11%10.08B | -8.65%8.38B | 1.08%7.91B | 1.08%7.91B |
-Gross PPE | -0.55%23.25B | -13.09%23.19B | -6.52%23.17B | 10.01%26.49B | 10.01%26.49B | -4.90%23.38B | 11.17%26.69B | -0.45%24.78B | -4.81%24.08B | -4.81%24.08B |
-Accumulated depreciation | 11.86%-13.1B | 23.15%-12.76B | 21.96%-12.8B | 6.84%-15.06B | 6.84%-15.06B | 4.14%-14.86B | -9.47%-16.61B | -4.34%-16.4B | 7.45%-16.17B | 7.45%-16.17B |
Investments and advances | ---- | ---- | ---- | --200K | --200K | ---- | ---- | ---- | ---- | ---- |
-Other investment | ---- | ---- | ---- | --200K | --200K | ---- | ---- | ---- | ---- | ---- |
Financial assets | -50.60%12.3M | -25.81%11.5M | -76.87%21.7M | -85.17%14.3M | -85.17%14.3M | -77.73%24.9M | -76.44%15.5M | -29.74%93.8M | -33.43%96.4M | -33.43%96.4M |
Non current accounts receivable | ---- | ---- | ---- | 12.50%7.2M | 12.50%7.2M | ---- | ---- | ---- | 0.00%6.4M | 0.00%6.4M |
Goodwill and other intangible assets | 19.74%243.8M | 19.74%243.8M | 19.63%243.8M | 35.31%275.9M | 35.31%275.9M | -0.15%203.6M | -3.37%203.6M | -3.64%203.8M | -3.59%203.9M | -3.59%203.9M |
-Goodwill | 19.74%243.8M | 19.74%243.8M | 19.63%243.8M | 35.31%275.9M | 35.31%275.9M | -0.15%203.6M | -3.37%203.6M | -3.64%203.8M | -3.59%203.9M | -3.59%203.9M |
Non current deferred assets | ---- | ---- | ---- | --0 | --0 | --0 | 3.32%251.9M | 6.18%269.7M | -51.10%278.8M | -51.10%278.8M |
Other non current assets | 174.24%18.1M | 218.75%20.4M | 253.13%22.6M | ---- | ---- | 3.13%6.6M | 0.00%6.4M | 0.00%6.4M | ---- | ---- |
Total non current assets | 19.13%10.43B | 1.44%10.71B | 18.99%10.66B | 37.99%11.73B | 37.99%11.73B | -9.35%8.75B | 12.79%10.55B | -8.44%8.96B | -3.00%8.5B | -3.00%8.5B |
Total assets | 11.00%11.51B | 0.52%11.34B | 23.32%12.04B | 34.67%12.78B | 34.67%12.78B | -0.64%10.37B | 9.71%11.28B | -6.27%9.76B | 3.44%9.49B | 3.44%9.49B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current debt and capital lease obligation | 27.66%524.3M | 30.84%529.5M | -24.35%425.4M | -25.39%420.5M | -25.39%420.5M | -27.83%410.7M | -25.32%404.7M | 87.43%562.3M | 85.64%563.6M | 85.64%563.6M |
-Current debt | 25.17%486.4M | 29.17%492M | -27.86%388.5M | -29.46%380M | -29.46%380M | -28.59%388.6M | -26.28%380.9M | 96.03%538.5M | 93.71%538.7M | 93.71%538.7M |
-Current capital lease obligation | 71.49%37.9M | 57.56%37.5M | 55.04%36.9M | 62.65%40.5M | 62.65%40.5M | -11.24%22.1M | -5.56%23.8M | -5.93%23.8M | -2.35%24.9M | -2.35%24.9M |
Payables | 14.90%636.9M | 29.82%642.6M | 28.96%664.9M | 26.31%691.7M | 26.31%691.7M | 1.02%554.3M | -12.06%495M | -8.27%515.6M | 10.81%547.6M | 10.81%547.6M |
-accounts payable | 12.93%566M | 29.63%571.4M | 28.79%593.6M | 41.66%634.9M | 41.66%634.9M | -0.52%501.2M | -16.18%440.8M | -14.06%460.9M | -0.55%448.2M | -0.55%448.2M |
-Dividends payable | 33.52%70.9M | 31.37%71.2M | 30.35%71.3M | -42.86%56.8M | -42.86%56.8M | 18.26%53.1M | 46.49%54.2M | 112.02%54.7M | 128.51%99.4M | 128.51%99.4M |
Current provisions | 3.51%41.3M | 11.27%45.4M | 16.67%42.7M | -3.85%40M | -3.85%40M | 4.72%39.9M | 32.90%40.8M | 6.09%36.6M | 21.64%41.6M | 21.64%41.6M |
Pension and other retirement benefit plans | -64.51%17M | -33.44%19.9M | -53.29%27M | -23.63%37.5M | -23.63%37.5M | 24.09%47.9M | -22.34%29.9M | 29.60%57.8M | 20.94%49.1M | 20.94%49.1M |
Other current liabilities | -91.28%17.6M | 10.02%49.4M | 446.84%172.8M | 395.42%183.8M | 395.42%183.8M | 158.39%201.8M | -88.40%44.9M | -92.80%31.6M | -76.75%37.1M | -76.75%37.1M |
Current liabilities | -1.39%1.24B | 26.74%1.29B | 10.71%1.33B | 10.86%1.37B | 10.86%1.37B | -1.41%1.25B | -34.97%1.02B | -12.78%1.2B | 20.03%1.24B | 20.03%1.24B |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | -10.42%2.37B | -9.31%2.44B | 199.07%3.3B | 228.39%3.29B | 228.39%3.29B | 161.15%2.65B | 134.18%2.69B | -33.78%1.1B | -44.58%1B | -44.58%1B |
-Long term debt | -10.51%2.29B | -9.54%2.35B | 217.41%3.2B | 252.94%3.19B | 252.94%3.19B | 180.44%2.56B | 149.14%2.6B | -35.16%1.01B | -46.65%902.8M | -46.65%902.8M |
-Long term capital lease obligation | -7.64%81M | -2.92%89.8M | 4.21%99M | 5.04%104.2M | 5.04%104.2M | -13.17%87.7M | -12.90%92.5M | -14.41%95M | -14.41%99.2M | -14.41%99.2M |
Derivative product liabilities | 366.67%4.2M | 341.67%5.3M | 970.00%10.7M | --3.8M | --3.8M | 28.57%900K | 500.00%1.2M | -93.51%1M | --0 | --0 |
Long term provisions | -4.56%460M | -33.58%444.8M | -28.33%454.7M | -10.65%566.4M | -10.65%566.4M | -25.09%482M | 4.06%669.7M | -18.71%634.4M | -28.34%633.9M | -28.34%633.9M |
Employee benefits | ---- | ---- | ---- | -24.02%31M | -24.02%31M | ---- | ---- | ---- | 13.97%40.8M | 13.97%40.8M |
Non current deferred liabilities | 189.26%695.1M | 208.59%599.6M | 276.75%526.7M | 731.82%643M | 731.82%643M | -8.49%240.3M | 68.37%194.3M | 913.04%139.8M | --77.3M | --77.3M |
Other non current liabilities | -27.37%26M | 37.45%32.3M | 7.49%33M | ---- | ---- | 12.93%35.8M | -23.45%23.5M | -30.39%30.7M | ---- | ---- |
Total non current liabilities | 4.42%3.56B | -1.61%3.52B | 126.55%4.33B | 158.53%4.53B | 158.53%4.53B | 74.49%3.41B | 84.64%3.58B | -24.24%1.91B | -35.84%1.75B | -35.84%1.75B |
Total liabilities | 2.86%4.79B | 4.65%4.81B | 81.76%5.66B | 97.40%5.91B | 97.40%5.91B | 44.53%4.66B | 31.31%4.6B | -20.18%3.11B | -20.52%2.99B | -20.52%2.99B |
Shareholders'equity | ||||||||||
Share capital | 5.17%16.99B | 4.46%17.01B | 4.10%17.04B | 3.86%17.05B | 3.86%17.05B | -2.10%16.16B | -1.79%16.28B | -1.65%16.37B | -1.72%16.42B | -1.72%16.42B |
-common stock | 5.17%16.99B | 4.46%17.01B | 4.10%17.04B | 3.86%17.05B | 3.86%17.05B | -2.10%16.16B | -1.79%16.28B | -1.65%16.37B | -1.72%16.42B | -1.72%16.42B |
Additional paid-in capital | -18.29%13.4M | -19.87%12.1M | 2.16%18.9M | 1.75%17.4M | 1.75%17.4M | 1.23%16.4M | -2.58%15.1M | 3.35%18.5M | -2.29%17.1M | -2.29%17.1M |
Retained earnings | 7.18%-10.29B | -2.86%-10.5B | -3.11%-10.69B | 3.42%-10.2B | 3.42%-10.2B | -11.45%-11.09B | 1.58%-10.2B | 2.82%-10.36B | 10.85%-10.56B | 10.85%-10.56B |
Gains losses not affecting retained earnings | -100.05%-300K | -100.05%-300K | -100.03%-200K | -100.02%-100K | -100.02%-100K | -2.71%620.8M | 6.24%585.6M | 21.14%620.1M | 17.13%620.3M | 17.13%620.3M |
Total stockholders'equity | 17.65%6.72B | -2.32%6.52B | -4.06%6.38B | 5.76%6.87B | 5.76%6.87B | -20.83%5.71B | -1.45%6.68B | 2.07%6.65B | 20.13%6.49B | 20.13%6.49B |
Total equity | 17.65%6.72B | -2.32%6.52B | -4.06%6.38B | 5.76%6.87B | 5.76%6.87B | -20.83%5.71B | -1.45%6.68B | 2.07%6.65B | 20.13%6.49B | 20.13%6.49B |
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.