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NTIOF NATIONAL BANK OF CANADA
71.011-0.879-1.22%
YOY
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(Q1)2022/01/31(FY)2021/10/31(Q4)2021/10/31(Q3)2021/07/31
Assets
Cash cash equivalents and federal funds sold
25.14% 55.24B -5.17% 41.4B -5.17% 41.4B 9.78% 45.88B
-Cash and cash equivalents
18.79% 40.06B 16.25% 33.88B 16.25% 33.88B 27.54% 37.09B
-Money market investments
45.68% 15.18B -48.21% 7.52B -48.21% 7.52B -30.84% 8.79B
Receivables
29.78% 3.85B 36.52% 3.36B 36.52% 3.36B 11.95% 3.04B
-Accounts receivable
19.63% 1.93B 46.05% 1.68B 46.05% 1.68B 25.47% 1.66B
-Other receivables
41.83% 1.93B 28.1% 1.67B 28.1% 1.67B -0.86% 1.38B
Net loan
12.75% 181.31B 11.39% 175.85B 11.39% 175.85B 11.09% 172.22B
-Gross loan
12.52% 182.24B 11.2% 176.85B 11.2% 176.85B 10.98% 173.27B
-Allowance for loans and lease losses
-19.23% 928M -13.82% 998M -13.82% 998M -4.87% 1.05B
Securities and investments
-10.75% 98.74B 4.09% 106.3B 4.09% 106.3B 7.85% 105.28B
-Available for sale securities
-3.82% 95.69B 7.05% 103.37B 7.05% 103.37B 14.03% 95.67B
-Short term investments
-72.61% 3.06B -47.35% 2.93B -47.35% 2.93B -29.94% 9.61B
Long term equity investment
-50.25% 201M -44.99% 225M -44.99% 225M -18.36% 338M
Derivative assets
19.07% 15.33B 22.81% 16.48B 22.81% 16.48B 13.28% 15.26B
Customer acceptances
-1.6% 6.77B -0.44% 6.84B -0.44% 6.84B -0.09% 6.73B
Net PPE
9.62% 1.25B 5.28% 1.22B 5.28% 1.22B 1.2% 1.18B
-Gross PPE
-- -- 3.38% 1.8B 3.38% 1.8B -- --
-Accumulated depreciation
-- -- 0.34% -586M 0.34% -586M -- --
Goodwill and other intangible assets
6.2% 3.03B 5.83% 3.01B 5.83% 3.01B 0.49% 2.89B
-Goodwill
7.1% 1.51B 6.36% 1.5B 6.36% 1.5B -0.78% 1.4B
-Other intangible assets
5.33% 1.52B 5.3% 1.51B 5.3% 1.51B 1.71% 1.49B
Defined pension benefit
185.71% 820M 448.41% 691M 448.41% 691M 2143.33% 673M
Other assets
102.44% 83M 73.68% 66M 73.68% 66M 103.33% 61M
Total assets
6.77% 366.89B 7.29% 355.8B 7.29% 355.8B 9.8% 354.04B
Liabilities
Total deposits
4.79% 175.15B 9.85% 173.91B 9.85% 173.91B 13.19% 171.86B
Federal funds purchased and securities sold under agreement to repurchase
-19.11% 25.3B -48.93% 17.29B -48.93% 17.29B -25.74% 26.64B
Payables
31.99% 3.89B 25.01% 4.23B 25.01% 4.23B 10.5% 3.69B
-Accounts payable
35.43% 3.82B 15% 3.76B 15% 3.76B 0.27% 3.32B
-Total tax payable
-41.98% 76M 295.04% 478M 295.04% 478M 977.14% 377M
Current debt and capital lease obligation
36.57% 21.15B 36.15% 18.22B 36.15% 18.22B 84.3% 18.74B
-Current debt
36.57% 21.15B 36.15% 18.22B 36.15% 18.22B 84.3% 18.74B
Trading liabilities
12.35% 20.53B 23.81% 20.27B 23.81% 20.27B 12.32% 18.65B
Long term provisions
-3.57% 189M 17.61% 207M 17.61% 207M -3.8% 177M
Long term debt and capital lease obligation
11.79% 52.43B 10.06% 50.59B 10.06% 50.59B 5.5% 47.78B
-Long term debt
12.04% 51.87B 10.31% 50.02B 10.31% 50.02B 5.71% 47.2B
-Long term capital lease obligation
-7.24% 564M -8.44% 575M -8.44% 575M -9.25% 579M
Non current deferred liabilities
-31.58% 13M -- 10M -- 10M 2000% 21M
Employee benefits
-11.54% 138M -28.86% 143M -28.86% 143M -29.27% 145M
Derivative product liabilities
13.03% 15.84B 50.06% 19.39B 50.06% 19.39B 17.3% 16.59B
Other liabilities
7.58% 32.6B 6.57% 32.68B 6.57% 32.68B 6.37% 31.16B
Total liabilities
6.28% 347.24B 6.88% 336.94B 6.88% 336.94B 9.29% 335.46B
Shareholders'equity
Share capital
-12.37% 4.86B -3.28% 5.81B -3.28% 5.81B -5.45% 5.19B
-common stock
3.68% 3.21B 3.37% 3.16B 3.37% 3.16B 3.32% 3.14B
-Preferred stock
-32.65% 1.65B -10.17% 2.65B -10.17% 2.65B -16.33% 2.05B
Paid-in capital
2.22% 46M 0% 47M 0% 47M 0% 47M
Retained earnings
24.74% 13.72B 24.74% 13.03B 24.74% 13.03B 23.07% 12.49B
Gains losses not affecting retained earnings
113.77% 23M 72.88% -32M 72.88% -32M 14.69% -151M
Other equity interest
100% 1B -- -- -- -- -- 1B
Total stockholders'equity
16.11% 19.65B 15.1% 18.85B 15.1% 18.85B 19.79% 18.58B
Non controlling interests
-- 3M 0% 3M 0% 3M -- 0
Total equity
16.13% 19.65B 15.09% 18.86B 15.09% 18.86B 19.86% 18.58B
Currency Unit
CADCADCADCAD
Audit Opinions
--Unqualified Opinion----

FY: Financial Year Annual Report, which is equivalent to the 10-K file disclosed by the listed company to the SEC.

Q: Quarterly report, which is equivalent to the 10-Q file disclosed by the listed company to the SEC, where Q1, Q2, Q3, and Q4 are single quarterly reports with a span of 3 months; Q6 and Q9 are cumulative quarterly reports, and Q6 is 6 months , Q9 is 9 months.

The MOM data from the Quarterly report,MOM=(current period - last period)/last period *100%