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TD The Toronto-Dominion Bank

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  • 59.218
  • -0.162-0.27%
Trading Apr 29 10:44 ET
104.71BMarket Cap12.79P/E (TTM)

The Toronto-Dominion Bank Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Jan 31, 2024
(FY)Oct 31, 2023
(Q4)Oct 31, 2023
(Q3)Jul 31, 2023
(Q2)Apr 30, 2023
(Q1)Jan 31, 2023
(FY)Oct 31, 2022
(Q4)Oct 31, 2022
(Q3)Jul 31, 2022
(Q2)Apr 30, 2022
Assets
Cash cash equivalents and federal funds sold
-12.56%280.46B
1.11%309.4B
1.11%309.4B
-2.59%290.56B
0.96%308.27B
-5.12%320.73B
-8.15%306.02B
-8.15%306.02B
-11.10%298.27B
-12.64%305.33B
-Cash and cash equivalents
-45.88%81.38B
-27.96%105.07B
-27.96%105.07B
-35.01%89.04B
-17.51%110.2B
-12.69%150.37B
-12.08%145.85B
-12.08%145.85B
-20.97%137B
-31.18%133.59B
-Money market investments
16.85%199.08B
27.57%204.33B
27.57%204.33B
24.95%201.52B
15.34%198.08B
2.74%170.37B
-4.25%160.17B
-4.25%160.17B
-0.54%161.28B
10.53%171.74B
Receivables
22.38%55.82B
35.47%54.63B
35.47%54.63B
-0.67%44.76B
10.85%49.79B
12.70%45.61B
-11.49%40.33B
-11.49%40.33B
22.52%45.06B
31.23%44.92B
-Accounts receivable
15.70%17.85B
33.46%19.4B
33.46%19.4B
32.49%17.83B
12.05%17.74B
31.02%15.43B
28.17%14.53B
28.17%14.53B
11.59%13.46B
39.71%15.84B
-Other receivables
25.80%37.97B
36.60%35.23B
36.60%35.23B
-14.79%26.93B
10.20%32.05B
5.18%30.19B
-24.63%25.79B
-24.63%25.79B
27.86%31.6B
27.03%29.08B
Prepaid assets
2.31%1.69B
39.30%1.84B
39.30%1.84B
39.44%1.88B
26.55%1.82B
39.54%1.65B
1.77%1.32B
1.77%1.32B
15.79%1.35B
25.57%1.44B
Net loan
8.32%926.86B
-6.27%916.7B
-6.27%916.7B
10.07%888.96B
11.34%870.4B
12.60%855.66B
11.88%978.03B
11.88%978.03B
9.70%807.61B
7.67%781.73B
-Gross loan
8.35%934.13B
-6.16%923.84B
-6.16%923.84B
10.09%895.75B
11.33%877.04B
12.53%862.16B
11.80%984.47B
11.80%984.47B
9.50%813.65B
7.47%787.81B
-Allowance for loans and lease losses
11.91%7.27B
10.95%7.14B
10.95%7.14B
12.32%6.78B
9.35%6.64B
4.06%6.49B
0.66%6.43B
0.66%6.43B
-11.32%6.04B
-13.18%6.08B
Securities and investments
-6.29%526.75B
22.86%522.37B
22.86%522.37B
-4.36%524.93B
4.75%555.45B
7.56%562.11B
18.76%425.17B
18.76%425.17B
14.58%548.87B
19.58%530.25B
-Trading securities
2.13%143.25B
--113.1B
--113.1B
3.90%142.07B
7.29%142.43B
-0.31%140.26B
----
----
1.58%136.74B
19.05%132.76B
-Available for sale securities
-12.10%309.43B
-9.16%376.1B
-9.16%376.1B
-8.38%314.1B
3.36%340.99B
14.30%352.02B
25.76%414.04B
25.76%414.04B
31.02%342.82B
45.36%329.92B
-Short term investments
6.09%74.07B
198.11%33.17B
198.11%33.17B
-0.79%68.76B
6.58%72.02B
-5.50%69.82B
-61.33%11.13B
-61.33%11.13B
-16.24%69.31B
-35.62%67.57B
Long term equity investment
14.24%9.55B
10.13%8.91B
10.13%8.91B
-7.85%8.76B
-6.24%9.12B
-25.28%8.36B
-27.21%8.09B
-27.21%8.09B
-15.38%9.5B
-9.08%9.73B
Derivative assets
-23.66%60.57B
-15.88%87.38B
-15.88%87.38B
-6.33%71.08B
-23.87%75.21B
45.55%79.35B
90.85%103.87B
90.85%103.87B
46.66%75.88B
84.25%98.8B
Customer acceptances
-34.64%13.07B
-10.97%17.57B
-10.97%17.57B
-2.59%19.61B
0.22%19.56B
15.25%19.99B
6.97%19.73B
6.97%19.73B
4.34%20.14B
2.33%19.52B
Net PPE
3.50%9.52B
0.36%9.43B
0.36%9.43B
1.02%9.19B
1.40%9.36B
-0.94%9.2B
2.39%9.4B
2.39%9.4B
-1.68%9.1B
-0.28%9.24B
-Gross PPE
----
1.42%13.42B
1.42%13.42B
----
----
----
4.07%13.24B
4.07%13.24B
----
----
-Accumulated depreciation
----
-4.02%-3.99B
-4.02%-3.99B
----
----
----
-8.46%-3.84B
-8.46%-3.84B
----
----
Goodwill and other intangible assets
6.48%20.9B
7.08%21.37B
7.08%21.37B
8.51%20.53B
10.37%20.9B
4.58%19.63B
8.74%19.96B
8.74%19.96B
2.40%18.92B
5.81%18.93B
-Goodwill
4.66%18.1B
5.36%18.6B
5.36%18.6B
6.42%17.8B
8.54%18.18B
4.08%17.29B
8.77%17.66B
8.77%17.66B
2.38%16.73B
4.84%16.75B
-Other intangible assets
19.97%2.8B
20.32%2.77B
20.32%2.77B
24.43%2.73B
24.48%2.72B
8.41%2.33B
8.48%2.3B
8.48%2.3B
2.52%2.19B
13.89%2.18B
Defined pension benefit
-32.04%1.07B
-10.81%1.25B
-10.81%1.25B
-31.80%1.39B
-6.44%1.57B
58.91%1.57B
120.72%1.41B
120.72%1.41B
510.18%2.04B
527.72%1.68B
Other assets
-63.67%708M
9.41%2.2B
9.41%2.2B
8.86%2.13B
3.79%1.94B
-5.71%1.95B
-1.57%2.01B
-1.57%2.01B
-3.32%1.95B
-4.39%1.87B
Total assets
-0.90%1.91T
2.06%1.96T
2.06%1.96T
2.51%1.89T
5.54%1.93T
8.42%1.93T
10.92%1.92T
10.92%1.92T
8.09%1.84T
9.36%1.83T
Liabilities
Total deposits
-1.36%855.61B
-5.94%869.16B
-5.94%869.16B
-9.99%839.58B
-11.50%833B
-7.38%867.42B
-1.36%924.03B
-1.36%924.03B
-1.07%932.77B
-0.83%941.22B
Federal funds purchased and securities sold under agreement to repurchase
23.91%174.13B
30.33%166.85B
30.33%166.85B
28.96%163.71B
10.70%146.96B
-3.37%140.53B
-11.15%128.02B
-11.15%128.02B
-18.55%126.95B
-10.50%132.75B
Payables
48.11%44.97B
35.98%43.86B
35.98%43.86B
-18.92%31.23B
8.20%37.98B
-7.29%30.36B
-13.49%32.26B
-13.49%32.26B
24.76%38.52B
35.33%35.1B
-Accounts payable
48.92%44.85B
36.12%43.7B
36.12%43.7B
-16.89%31.06B
8.89%36.46B
-7.88%30.12B
-13.71%32.11B
-13.71%32.11B
22.44%37.37B
29.81%33.49B
-Total tax payable
-51.22%120M
7.28%162M
7.28%162M
53.91%177M
333.33%234M
324.14%246M
84.15%151M
84.15%151M
-67.61%115M
-61.97%54M
-Dividends payable
----
----
----
----
-17.67%1.29B
----
----
----
--1.04B
--1.56B
Current accrued expenses
19.94%3.45B
21.78%4.99B
21.78%4.99B
27.52%4.36B
17.07%3.94B
0.81%2.87B
-1.23%4.1B
-1.23%4.1B
0.97%3.42B
13.59%3.37B
Current debt and capital lease obligation
-13.13%219.05B
0.89%217.9B
0.89%217.9B
17.95%216.58B
60.87%258.56B
57.03%252.17B
67.31%215.98B
67.31%215.98B
47.59%183.61B
32.52%160.72B
-Current debt
-13.13%219.05B
0.89%217.9B
0.89%217.9B
17.95%216.58B
60.87%258.56B
57.03%252.17B
67.31%215.98B
67.31%215.98B
47.59%183.61B
32.52%160.72B
Trading liabilities
-4.19%222.99B
13.68%236.79B
13.68%236.79B
20.26%228.34B
38.39%249.86B
27.48%232.75B
33.20%208.29B
33.20%208.29B
47.10%189.87B
71.41%180.55B
Long term provisions
15.54%3.41B
159.17%3.42B
159.17%3.42B
143.78%3.06B
131.57%2.99B
116.89%2.95B
1.23%1.32B
1.23%1.32B
-7.52%1.25B
-9.29%1.29B
Long term debt and capital lease obligation
6.90%180.82B
16.36%183.91B
16.36%183.91B
18.51%175.83B
14.51%167.01B
31.75%169.14B
23.79%158.06B
23.79%158.06B
17.14%148.36B
14.26%145.85B
-Long term debt
7.11%175.68B
17.10%178.86B
17.10%178.86B
19.38%170.86B
15.24%161.85B
33.48%164.02B
24.99%152.74B
24.99%152.74B
18.20%143.12B
15.06%140.44B
-Long term capital lease obligation
0.33%5.14B
-4.95%5.05B
-4.95%5.05B
-5.17%4.97B
-4.49%5.17B
-6.86%5.12B
-2.92%5.31B
-2.92%5.31B
-5.90%5.24B
-3.22%5.41B
Non current deferred liabilities
-27.65%191M
-13.56%204M
-13.56%204M
-9.09%190M
16.59%260M
17.86%264M
-3.28%236M
-3.28%236M
-19.62%209M
-15.85%223M
Employee benefits
0.92%1.32B
-3.27%1.24B
-3.27%1.24B
-14.43%1.31B
-13.11%1.32B
-17.14%1.31B
-19.22%1.29B
-19.22%1.29B
-19.99%1.53B
-16.55%1.52B
Derivative product liabilities
-25.08%54.07B
-21.39%71.64B
-21.39%71.64B
-13.46%63.14B
-27.51%63.71B
39.09%72.18B
59.54%91.13B
59.54%91.13B
38.40%72.96B
51.47%87.88B
Other liabilities
-13.58%38.44B
8.44%44.94B
8.44%44.94B
21.46%47.08B
26.45%44.76B
37.15%44.48B
24.82%41.44B
24.82%41.44B
14.55%38.76B
9.03%35.4B
Total liabilities
-0.99%1.8T
2.15%1.84T
2.15%1.84T
2.08%1.77T
4.89%1.81T
8.34%1.82T
10.88%1.81T
10.88%1.81T
8.42%1.74T
9.61%1.73T
Shareholders'equity
Share capital
-0.48%36.17B
1.88%36.29B
1.88%36.29B
19.27%37.09B
25.03%37.11B
25.90%36.35B
23.81%35.62B
23.81%35.62B
4.89%31.09B
6.98%29.68B
-common stock
0.89%25.32B
4.40%25.43B
4.40%25.43B
8.80%25.83B
11.78%25.85B
8.30%25.09B
5.62%24.36B
5.62%24.36B
3.48%23.74B
1.48%23.13B
-Preferred stock
-3.55%10.85B
-3.55%10.85B
-3.55%10.85B
53.10%11.25B
71.80%11.25B
97.42%11.25B
97.42%11.25B
97.42%11.25B
9.70%7.35B
32.32%6.55B
Paid-in capital
-7.03%172M
-13.41%155M
-13.41%155M
15.38%195M
4.55%161M
25.00%185M
3.47%179M
3.47%179M
35.20%169M
22.22%154M
Retained earnings
-1.57%72.35B
-0.89%73.04B
-0.89%73.04B
8.06%74.66B
11.64%74.85B
12.01%73.5B
15.25%73.7B
15.25%73.7B
12.95%69.09B
13.57%67.05B
Less: Treasury stock
-24.11%85M
31.63%129M
31.63%129M
-90.83%11M
-57.42%109M
-42.27%112M
-39.51%98M
-39.51%98M
-38.14%120M
100.00%256M
Gains losses not affecting retained earnings
99.17%3.83B
38.33%2.75B
38.33%2.75B
-68.84%735M
47.19%4.11B
-74.47%1.92B
-71.99%1.99B
-71.99%1.99B
-74.26%2.36B
-63.95%2.79B
Total stockholders'equity
0.53%112.44B
0.65%112.11B
0.65%112.11B
9.82%112.66B
16.80%116.11B
9.68%111.84B
11.59%111.38B
11.59%111.38B
2.69%102.59B
5.18%99.41B
Total equity
0.53%112.44B
0.65%112.11B
0.65%112.11B
9.82%112.66B
16.80%116.11B
9.68%111.84B
11.59%111.38B
11.59%111.38B
2.69%102.59B
5.18%99.41B
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
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, 2024(FY)Oct 31, 2023(Q4)Oct 31, 2023(Q3)Jul 31, 2023(Q2)Apr 30, 2023(Q1)Jan 31, 2023(FY)Oct 31, 2022(Q4)Oct 31, 2022(Q3)Jul 31, 2022(Q2)Apr 30, 2022
Assets
Cash cash equivalents and federal funds sold -12.56%280.46B1.11%309.4B1.11%309.4B-2.59%290.56B0.96%308.27B-5.12%320.73B-8.15%306.02B-8.15%306.02B-11.10%298.27B-12.64%305.33B
-Cash and cash equivalents -45.88%81.38B-27.96%105.07B-27.96%105.07B-35.01%89.04B-17.51%110.2B-12.69%150.37B-12.08%145.85B-12.08%145.85B-20.97%137B-31.18%133.59B
-Money market investments 16.85%199.08B27.57%204.33B27.57%204.33B24.95%201.52B15.34%198.08B2.74%170.37B-4.25%160.17B-4.25%160.17B-0.54%161.28B10.53%171.74B
Receivables 22.38%55.82B35.47%54.63B35.47%54.63B-0.67%44.76B10.85%49.79B12.70%45.61B-11.49%40.33B-11.49%40.33B22.52%45.06B31.23%44.92B
-Accounts receivable 15.70%17.85B33.46%19.4B33.46%19.4B32.49%17.83B12.05%17.74B31.02%15.43B28.17%14.53B28.17%14.53B11.59%13.46B39.71%15.84B
-Other receivables 25.80%37.97B36.60%35.23B36.60%35.23B-14.79%26.93B10.20%32.05B5.18%30.19B-24.63%25.79B-24.63%25.79B27.86%31.6B27.03%29.08B
Prepaid assets 2.31%1.69B39.30%1.84B39.30%1.84B39.44%1.88B26.55%1.82B39.54%1.65B1.77%1.32B1.77%1.32B15.79%1.35B25.57%1.44B
Net loan 8.32%926.86B-6.27%916.7B-6.27%916.7B10.07%888.96B11.34%870.4B12.60%855.66B11.88%978.03B11.88%978.03B9.70%807.61B7.67%781.73B
-Gross loan 8.35%934.13B-6.16%923.84B-6.16%923.84B10.09%895.75B11.33%877.04B12.53%862.16B11.80%984.47B11.80%984.47B9.50%813.65B7.47%787.81B
-Allowance for loans and lease losses 11.91%7.27B10.95%7.14B10.95%7.14B12.32%6.78B9.35%6.64B4.06%6.49B0.66%6.43B0.66%6.43B-11.32%6.04B-13.18%6.08B
Securities and investments -6.29%526.75B22.86%522.37B22.86%522.37B-4.36%524.93B4.75%555.45B7.56%562.11B18.76%425.17B18.76%425.17B14.58%548.87B19.58%530.25B
-Trading securities 2.13%143.25B--113.1B--113.1B3.90%142.07B7.29%142.43B-0.31%140.26B--------1.58%136.74B19.05%132.76B
-Available for sale securities -12.10%309.43B-9.16%376.1B-9.16%376.1B-8.38%314.1B3.36%340.99B14.30%352.02B25.76%414.04B25.76%414.04B31.02%342.82B45.36%329.92B
-Short term investments 6.09%74.07B198.11%33.17B198.11%33.17B-0.79%68.76B6.58%72.02B-5.50%69.82B-61.33%11.13B-61.33%11.13B-16.24%69.31B-35.62%67.57B
Long term equity investment 14.24%9.55B10.13%8.91B10.13%8.91B-7.85%8.76B-6.24%9.12B-25.28%8.36B-27.21%8.09B-27.21%8.09B-15.38%9.5B-9.08%9.73B
Derivative assets -23.66%60.57B-15.88%87.38B-15.88%87.38B-6.33%71.08B-23.87%75.21B45.55%79.35B90.85%103.87B90.85%103.87B46.66%75.88B84.25%98.8B
Customer acceptances -34.64%13.07B-10.97%17.57B-10.97%17.57B-2.59%19.61B0.22%19.56B15.25%19.99B6.97%19.73B6.97%19.73B4.34%20.14B2.33%19.52B
Net PPE 3.50%9.52B0.36%9.43B0.36%9.43B1.02%9.19B1.40%9.36B-0.94%9.2B2.39%9.4B2.39%9.4B-1.68%9.1B-0.28%9.24B
-Gross PPE ----1.42%13.42B1.42%13.42B------------4.07%13.24B4.07%13.24B--------
-Accumulated depreciation -----4.02%-3.99B-4.02%-3.99B-------------8.46%-3.84B-8.46%-3.84B--------
Goodwill and other intangible assets 6.48%20.9B7.08%21.37B7.08%21.37B8.51%20.53B10.37%20.9B4.58%19.63B8.74%19.96B8.74%19.96B2.40%18.92B5.81%18.93B
-Goodwill 4.66%18.1B5.36%18.6B5.36%18.6B6.42%17.8B8.54%18.18B4.08%17.29B8.77%17.66B8.77%17.66B2.38%16.73B4.84%16.75B
-Other intangible assets 19.97%2.8B20.32%2.77B20.32%2.77B24.43%2.73B24.48%2.72B8.41%2.33B8.48%2.3B8.48%2.3B2.52%2.19B13.89%2.18B
Defined pension benefit -32.04%1.07B-10.81%1.25B-10.81%1.25B-31.80%1.39B-6.44%1.57B58.91%1.57B120.72%1.41B120.72%1.41B510.18%2.04B527.72%1.68B
Other assets -63.67%708M9.41%2.2B9.41%2.2B8.86%2.13B3.79%1.94B-5.71%1.95B-1.57%2.01B-1.57%2.01B-3.32%1.95B-4.39%1.87B
Total assets -0.90%1.91T2.06%1.96T2.06%1.96T2.51%1.89T5.54%1.93T8.42%1.93T10.92%1.92T10.92%1.92T8.09%1.84T9.36%1.83T
Liabilities
Total deposits -1.36%855.61B-5.94%869.16B-5.94%869.16B-9.99%839.58B-11.50%833B-7.38%867.42B-1.36%924.03B-1.36%924.03B-1.07%932.77B-0.83%941.22B
Federal funds purchased and securities sold under agreement to repurchase 23.91%174.13B30.33%166.85B30.33%166.85B28.96%163.71B10.70%146.96B-3.37%140.53B-11.15%128.02B-11.15%128.02B-18.55%126.95B-10.50%132.75B
Payables 48.11%44.97B35.98%43.86B35.98%43.86B-18.92%31.23B8.20%37.98B-7.29%30.36B-13.49%32.26B-13.49%32.26B24.76%38.52B35.33%35.1B
-Accounts payable 48.92%44.85B36.12%43.7B36.12%43.7B-16.89%31.06B8.89%36.46B-7.88%30.12B-13.71%32.11B-13.71%32.11B22.44%37.37B29.81%33.49B
-Total tax payable -51.22%120M7.28%162M7.28%162M53.91%177M333.33%234M324.14%246M84.15%151M84.15%151M-67.61%115M-61.97%54M
-Dividends payable -----------------17.67%1.29B--------------1.04B--1.56B
Current accrued expenses 19.94%3.45B21.78%4.99B21.78%4.99B27.52%4.36B17.07%3.94B0.81%2.87B-1.23%4.1B-1.23%4.1B0.97%3.42B13.59%3.37B
Current debt and capital lease obligation -13.13%219.05B0.89%217.9B0.89%217.9B17.95%216.58B60.87%258.56B57.03%252.17B67.31%215.98B67.31%215.98B47.59%183.61B32.52%160.72B
-Current debt -13.13%219.05B0.89%217.9B0.89%217.9B17.95%216.58B60.87%258.56B57.03%252.17B67.31%215.98B67.31%215.98B47.59%183.61B32.52%160.72B
Trading liabilities -4.19%222.99B13.68%236.79B13.68%236.79B20.26%228.34B38.39%249.86B27.48%232.75B33.20%208.29B33.20%208.29B47.10%189.87B71.41%180.55B
Long term provisions 15.54%3.41B159.17%3.42B159.17%3.42B143.78%3.06B131.57%2.99B116.89%2.95B1.23%1.32B1.23%1.32B-7.52%1.25B-9.29%1.29B
Long term debt and capital lease obligation 6.90%180.82B16.36%183.91B16.36%183.91B18.51%175.83B14.51%167.01B31.75%169.14B23.79%158.06B23.79%158.06B17.14%148.36B14.26%145.85B
-Long term debt 7.11%175.68B17.10%178.86B17.10%178.86B19.38%170.86B15.24%161.85B33.48%164.02B24.99%152.74B24.99%152.74B18.20%143.12B15.06%140.44B
-Long term capital lease obligation 0.33%5.14B-4.95%5.05B-4.95%5.05B-5.17%4.97B-4.49%5.17B-6.86%5.12B-2.92%5.31B-2.92%5.31B-5.90%5.24B-3.22%5.41B
Non current deferred liabilities -27.65%191M-13.56%204M-13.56%204M-9.09%190M16.59%260M17.86%264M-3.28%236M-3.28%236M-19.62%209M-15.85%223M
Employee benefits 0.92%1.32B-3.27%1.24B-3.27%1.24B-14.43%1.31B-13.11%1.32B-17.14%1.31B-19.22%1.29B-19.22%1.29B-19.99%1.53B-16.55%1.52B
Derivative product liabilities -25.08%54.07B-21.39%71.64B-21.39%71.64B-13.46%63.14B-27.51%63.71B39.09%72.18B59.54%91.13B59.54%91.13B38.40%72.96B51.47%87.88B
Other liabilities -13.58%38.44B8.44%44.94B8.44%44.94B21.46%47.08B26.45%44.76B37.15%44.48B24.82%41.44B24.82%41.44B14.55%38.76B9.03%35.4B
Total liabilities -0.99%1.8T2.15%1.84T2.15%1.84T2.08%1.77T4.89%1.81T8.34%1.82T10.88%1.81T10.88%1.81T8.42%1.74T9.61%1.73T
Shareholders'equity
Share capital -0.48%36.17B1.88%36.29B1.88%36.29B19.27%37.09B25.03%37.11B25.90%36.35B23.81%35.62B23.81%35.62B4.89%31.09B6.98%29.68B
-common stock 0.89%25.32B4.40%25.43B4.40%25.43B8.80%25.83B11.78%25.85B8.30%25.09B5.62%24.36B5.62%24.36B3.48%23.74B1.48%23.13B
-Preferred stock -3.55%10.85B-3.55%10.85B-3.55%10.85B53.10%11.25B71.80%11.25B97.42%11.25B97.42%11.25B97.42%11.25B9.70%7.35B32.32%6.55B
Paid-in capital -7.03%172M-13.41%155M-13.41%155M15.38%195M4.55%161M25.00%185M3.47%179M3.47%179M35.20%169M22.22%154M
Retained earnings -1.57%72.35B-0.89%73.04B-0.89%73.04B8.06%74.66B11.64%74.85B12.01%73.5B15.25%73.7B15.25%73.7B12.95%69.09B13.57%67.05B
Less: Treasury stock -24.11%85M31.63%129M31.63%129M-90.83%11M-57.42%109M-42.27%112M-39.51%98M-39.51%98M-38.14%120M100.00%256M
Gains losses not affecting retained earnings 99.17%3.83B38.33%2.75B38.33%2.75B-68.84%735M47.19%4.11B-74.47%1.92B-71.99%1.99B-71.99%1.99B-74.26%2.36B-63.95%2.79B
Total stockholders'equity 0.53%112.44B0.65%112.11B0.65%112.11B9.82%112.66B16.80%116.11B9.68%111.84B11.59%111.38B11.59%111.38B2.69%102.59B5.18%99.41B
Total equity 0.53%112.44B0.65%112.11B0.65%112.11B9.82%112.66B16.80%116.11B9.68%111.84B11.59%111.38B11.59%111.38B2.69%102.59B5.18%99.41B
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

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