0001193125-25-129309 |
20250430 |
Adjustment For Brokers Dealers And Clients Receivable And Payable |
-2899000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Increase Decrease In Liabilities Of Subsidiaries |
279000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Insurance Service Result |
99000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250131 |
Insurance Service Result |
91000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Intangible Assets Other Than Goodwill |
4824000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Interest Expense |
1335000000.0000 |
CAD |
2 |
ifrs/2024 |
Liabilities Measurement= Interest Expense For Liabilities Carried At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Interest Expense |
10557000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Interest Expense |
1780000000.0000 |
CAD |
2 |
ifrs/2024 |
Liabilities Measurement= Interest Expense For Liabilities Carried At Fair Value; |
|
|
0001193125-25-129309 |
20240430 |
Interest Expense On Other Financial Liabilities |
1564000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250131 |
Interest Expense On Subordinated Debt Instruments |
111000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Interest Income On Deposits |
2057000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Interest Income On Loans And Advances To Customers |
9745000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Interest Paid Classified As Operating Activities |
21481000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
Includes dividends paid on securities sold but not yet purchased. |
0001193125-25-129309 |
20241031 |
Issued Capital |
8087000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Share Capital= Preferred Shares And Other Equity Instruments; |
|
|
0001193125-25-129309 |
20240430 |
Issue Of Equity |
1356000000.0000 |
CAD |
1 |
ifrs/2024 |
Classes Of Share Capital= Preferred Shares And Other Equity Instruments; |
|
|
0001193125-25-129309 |
20250430 |
Lending Fees Revenue |
686000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Loans Before Allowance For Loan Losses |
680664000000.0000 |
CAD |
0 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20241031 |
Loans To Business And Government |
384993000000.0000 |
CAD |
0 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20241031 |
Loans To Business And Government |
61000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Categories Of Financial Assets= Financial Assets At Fair Value Through Other Comprehensive Income Category; |
|
|
0001193125-25-129309 |
20240430 |
Maturities Of Securities Other Than Trading Classified As Investing Activities |
6000000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250131 |
Mutual Fund Revenue |
363000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Mutual Fund Revenue |
353000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20241031 |
Non Trading Securities At Fair Value Through Profit Or Loss |
12214000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Categories Of Financial Assets= Related To Securities Held By Insurance Subsidiaries; |
|
|
0001193125-25-129309 |
20241031 |
Non Trading Securities At Fair Value Through Profit Or Loss |
1578000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Canadian Government Provincia; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Non Trading Securities At Fair Value Through Profit Or Loss |
21000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= N H A M B S U S Agency M B S And C M O; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Non Trading Securities At Fair Value Through Profit Or Loss |
956000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Canadian Federal Government; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Non Trading Securities At Fair Value Through Profit Or Loss |
36000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Corporate Debt; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Non Trading Securities At Fair Value Through Profit Or Loss |
5257000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Corporate Equity; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Non Trading Securities At Fair Value Through Profit Or Loss |
0.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= United States Federal Government Securities; Levels Of Fair Value Hierarchy= Level1 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Other Comprehensive Income Net Of Taxes Translation Of Net Foreign Operations |
-387000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250131 |
Other Comprehensive Income Net Of Tax Financial Assets Measured At Fair Value Through Other Comprehensive Income |
114000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Other Comprehensive Income Net Of Tax Financial Assets Measured At Fair Value Through Other Comprehensive Income |
-152000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Other Liabilities |
2985000000.0000 |
CAD |
0 |
ifrs/2024 |
Fair Value Measurement= Not Carried At Fair Value; Measurement= At Carrying Value; |
|
|
0001193125-25-129309 |
20250430 |
Other Liabilities |
2778000000.0000 |
CAD |
0 |
ifrs/2024 |
Fair Value Measurement= Not Carried At Fair Value; Measurement= At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Other Miscellaneous Assets |
176476000000.0000 |
CAD |
0 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Other Revenues Losses |
59000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Other Revenues Losses |
-61000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Other Revenues Losses |
42000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Payments Of Lease Liabilities Classified As Financing Activities |
78000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Proceeds From Issue Of Ordinary Shares |
10000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Proceeds From Sale Purchase Or Issue Of Treasury Shares |
9000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Proceeds From Sale Purchase Or Issue Of Treasury Shares |
15000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Proceeds From Sales Of Securities Other Than Trading Classified As Investing Activities |
12078000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Proceeds From Sales Of Securities Other Than Trading Classified As Investing Activities |
13111000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Professional Fees Expense |
270000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Profit Loss |
-328000000.0000 |
CAD |
1 |
ifrs/2024 |
Segments= Corporate Services; |
|
|
0001193125-25-129309 |
20250131 |
Profit Loss |
2138000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Profit Loss |
4094000000.0000 |
CAD |
2 |
ifrs/2024 |
Components Of Equity= Retained Earnings; |
|
|
0001193125-25-129309 |
20250430 |
Profit Loss Attributable To Noncontrolling Interests |
2000000.0000 |
CAD |
1 |
ifrs/2024 |
Components Of Equity= Noncontrolling Interests; |
|
|
0001193125-25-129309 |
20250430 |
Profit Loss Attributable To Owners Of Parent |
730000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= Wealth Management; |
|
|
0001193125-25-129309 |
20240430 |
Profit Loss Before Tax |
667000000.0000 |
CAD |
1 |
ifrs/2024 |
Segments= United States Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20240430 |
Profit Loss Before Tax |
2478000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= Canadian Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20250430 |
Profit Loss Before Tax |
-216000000.0000 |
CAD |
1 |
ifrs/2024 |
Segments= Corporate Services; |
|
|
0001193125-25-129309 |
20250430 |
Profit Loss Before Tax |
-608000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= Corporate Services; |
|
|
0001193125-25-129309 |
20250430 |
Profit Loss Before Tax |
1412000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= United States Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20250430 |
Receivable From Brokers Dealers And Clients |
48401000000.0000 |
CAD |
0 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Reclassification Adjustments On Cash Flow Hedges Net Of Tax |
-768000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Reclassification Adjustments On Financial Assets Measured At Fair Value Through Other Comprehensive Income Net Of Tax |
15000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
Net of income tax provision of $6 million, $2 million, $15 million for the three months ended and $8 million and $17 million for the six months ended, respectively. |
0001193125-25-129309 |
20250430 |
Residential Mortgage Loans |
193814000000.0000 |
CAD |
0 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Revenue |
5597000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= Canadian Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20240430 |
Revenue |
4843000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= United States Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20241031 |
Reverse Repurchase Agreements And Cash Collateral On Securities Borrowed |
110907000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20241031 |
Securities At Amortized Cost Net Of Allowances |
2465000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Canadian Federal Government; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Amortized Cost Net Of Allowances |
9049000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Corporate Debt; Measurement= At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Amortized Cost Net Of Allowances |
681000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Other Governments; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Amortized Cost Net Of Allowances |
55421000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Us Federal Government; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Amortized Cost Net Of Allowances |
182000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= U S State Municipal And Agencies Debt; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Amortized Cost Net Of Allowances |
92999000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Measurement= At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
5939000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Canadian Provincial And Municipal Governments; Classes Of Financial Assets= Financial Assets At Amortised Cost; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
5996000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Canadian Provincial And Municipal Governments; Classes Of Financial Assets= Financial Assets At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
-52000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Corporate Debt; Classes Of Financial Assets= Gross Unrealized Losses; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
20000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Other Governments; Classes Of Financial Assets= Gross Unrealized Gains; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
-81000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= U S State Municipal And Agencies Debt; Classes Of Financial Assets= Gross Unrealized Losses; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
5656000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Other Government Securities; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
4467000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Corporate Debt; Classes Of Financial Assets= Financial Assets At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
34000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Corporate Debt; Classes Of Financial Assets= Gross Unrealized Gains; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
189000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Corporate Equity; Classes Of Financial Assets= Financial Assets At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
4609000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Other Governments; Classes Of Financial Assets= Financial Assets At Amortised Cost; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
105938000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Assets= Financial Assets At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
44610000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Canadian Federal Government; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
0.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Corporate Equity; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
4643000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Other Government Securities; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Securities Gains Losses Other Than Trading |
66000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Securitization And Structured Entities Liabilities |
30680000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Categories Of Financial Liabilities= Financial Liabilities At Fair Value Through Profit Or Loss Category; |
|
|
0001193125-25-129309 |
20240430 |
Share Issue Related Cost |
6000000.0000 |
CAD |
2 |
ifrs/2024 |
Components Of Equity= Retained Earnings; |
|
|
0001193125-25-129309 |
20241031 |
Shortterm Deposits Not Classified As Cash Equivalents |
3640000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20241031 |
Trading Securities At Fair Value Through Profit Or Loss |
8764000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Canadian Federal Government; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Trading Securities At Fair Value Through Profit Or Loss |
7585000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Canadian Government Provincia; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Trading Securities At Fair Value Through Profit Or Loss |
10172000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Corporate Debt; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Trading Securities At Fair Value Through Profit Or Loss |
10172000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Corporate Debt; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Trading Securities At Fair Value Through Profit Or Loss |
420000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Corporate Equity; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Trading Securities At Fair Value Through Profit Or Loss |
5493000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Loans Held For Trading; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Trading Securities At Fair Value Through Profit Or Loss |
40995000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= N H A M B S U S Agency M B S And C M O; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Trading Securities At Fair Value Through Profit Or Loss |
565000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Us States Municipalities And Agencies; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Trading Securities At Fair Value Through Profit Or Loss |
9126000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Canadian Federal Government; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Trading Securities At Fair Value Through Profit Or Loss |
0.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Canadian Federal Government; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Trading Securities At Fair Value Through Profit Or Loss |
7359000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Canadian Government Provincia; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Trading Securities At Fair Value Through Profit Or Loss |
10986000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Corporate Debt; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Trading Securities At Fair Value Through Profit Or Loss |
0.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Loans Held For Trading; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Trading Securities At Fair Value Through Profit Or Loss |
54000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Other Government Securities; Levels Of Fair Value Hierarchy= Level1 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Trading Securities At Fair Value Through Profit Or Loss |
173889000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20240430 |
Underwriting And Advisory Fees Income |
715000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Adjustment For Increase Decrease In Accrued Interest Receivable And Payable |
-839000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Adjustments For Decrease Increase In Derivative Financial Assets |
5730000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Adjustments For Decrease Increase In Loans And Advances To Customers |
-7825000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Adjustments For Decrease Increase In Loans And Advances To Customers |
-2001000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Adjustments For Decrease Increase In Reverse Repurchase Agreements And Cash Collateral On Securities Borrowed |
-9271000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Adjustments For Deferred Tax Expense |
65000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Adjustments For Depreciation Of Other Assets |
3000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Adjustments For Increase Decrease In Insurance Related Liabilities |
-141000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Adjustments For Increase Decrease In Insurance Related Liabilities |
-203000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Adjustments For Net Gain Loss On Securities Other Than Trading |
-124000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Adjustments For Provisions |
1054000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250131 |
Association Clearing And Annual Regulator Fee |
76000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20241031 |
Bank Acceptance Liabilities |
359000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Cash Flows From Used In Decrease Increase In Shortterm Deposits And Investments |
-20000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Cash Flows From Used In Operating Activities |
19970000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250131 |
Comprehensive Income |
4962000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250131 |
Comprehensive Income Attributable To Noncontrolling Interests |
4000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Current Tax Assets |
1620000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20241031 |
Deposits1 |
125735000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Liabilities= Deposits More Than One Hundred Thousand Dollar; Geographical Areas= C A; Maturity= Later Than One Year; |
|
|
0001193125-25-129309 |
20241031 |
Deposits1 |
63442000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Liabilities= Deposits More Than One Hundred Thousand Dollar; Geographical Areas= C A; Maturity= Not Later Than Three Months; |
|
|
0001193125-25-129309 |
20241031 |
Deposits1 |
928689000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Fair Value Measurement= Not Carried At Fair Value; Measurement= At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Deposits1 |
618141000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Geographical Areas= C A; |
|
|
0001193125-25-129309 |
20241031 |
Deposits1 |
314066000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Geographical Areas= U S; |
|
|
0001193125-25-129309 |
20250430 |
Deposits1 |
608947000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Geographical Areas= C A; |
|
|
0001193125-25-129309 |
20250430 |
Deposits1 |
302399000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Geographical Areas= U S; |
|
|
0001193125-25-129309 |
20241031 |
Derivative Financial Assets |
169000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Commodity Contracts; Levels Of Fair Value Hierarchy= Level1 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Derivative Financial Assets |
47253000000.0000 |
CAD |
0 |
ifrs/2024 |
Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Derivative Financial Assets |
0.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Credit Default Swaps; Levels Of Fair Value Hierarchy= Level1 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Derivative Financial Assets |
1000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Credit Default Swaps; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Derivative Financial Assets |
29547000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Foreign Exchange Contracts; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Derivative Financial Assets |
50000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Interest Rate Contracts; Levels Of Fair Value Hierarchy= Level1 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Derivative Financial Assets |
9217000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Interest Rate Contracts; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Derivative Financial Liabilities |
10000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Credit Default Swaps; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Derivative Financial Liabilities |
75000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Equity Contracts; Levels Of Fair Value Hierarchy= Level1 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Derivative Financial Liabilities |
16210000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Equity Contracts; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Derivative Financial Liabilities |
29150000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Foreign Exchange Contracts; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250131 |
Diluted Earnings Loss Per Share |
2.8300 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Dividends Paid Ordinary Shares |
1102000000.0000 |
CAD |
1 |
ifrs/2024 |
Components Of Equity= Retained Earnings; |
|
|
0001193125-25-129309 |
20250430 |
Dividends Received Classified As Operating Activities |
637000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Dividends Recognised As Distributions To Owners Per Share |
3.1800 |
CAD |
2 |
ifrs/2024 |
Classes Of Share Capital= Ordinary Shares; |
|
|
0001193125-25-129309 |
20240430 |
Effect Of Exchange Rate Changes On Cash And Cash Equivalents |
1252000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20231031 |
Equity |
-464000000.0000 |
CAD |
0 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Income Loss On Fair Value Through Other Comprehensive Income Securities Net Of Taxes; |
|
|
0001193125-25-129309 |
20240430 |
Equity |
-4209000000.0000 |
CAD |
0 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Incomeloss On Cash Flow Hedges Net Of Taxes; |
|
|
0001193125-25-129309 |
20241031 |
Equity |
6037000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Share Capital= Other Equity Instruments; |
|
|
0001193125-25-129309 |
20241031 |
Equity |
1356000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Share Capital= Other Equity Instruments; Debt Instrument1= Seven Point Seven Percentage Limited Recourse Capital Notes Series Four; |
|
|
0001193125-25-129309 |
20241031 |
Equity |
1023000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Share Capital= Other Equity Instruments; Debt Instrument1= Seven Point Three Percentage Limited Recourse Capital Notes Series Five; |
|
|
0001193125-25-129309 |
20241031 |
Equity |
874000000.0000 |
CAD |
0 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Income On Pension And Other Employee Future Benefit Plans Net Of Taxes; |
|
|
0001193125-25-129309 |
20250131 |
Equity |
23923000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Share Capital= Ordinary Shares; |
|
|
0001193125-25-129309 |
20250430 |
Equity |
500000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Share Capital= Class B Series Fifty Preferred Shares; |
|
|
0001193125-25-129309 |
20250430 |
Equity |
650000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Share Capital= Class B Series Fifty Two Preferred Shares; |
|
|
0001193125-25-129309 |
20250430 |
Equity |
47158000000.0000 |
CAD |
0 |
ifrs/2024 |
Components Of Equity= Retained Earnings; |
|
|
0001193125-25-129309 |
20241031 |
Equity And Liabilities |
1409647000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Gains Losses On Cash Flow Hedges Net Of Tax |
-1443000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250131 |
Gains Losses On Cash Flow Hedges Net Of Tax |
375000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Gains Losses On Exchange Differences On Translation Net Of Tax |
-3205000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Gains Losses On Exchange Differences On Translation Net Of Tax |
-3205000000.0000 |
CAD |
1 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Income On Translation Of Net Foreign Operations Net Of Taxes; |
|
|
0001193125-25-129309 |
20240430 |
Gains Losses On Exchange Differences On Translation Recognised In Profit Or Loss |
129000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Income Taxes Paid Refund Classified As Operating Activities |
1306000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Income Tax Expense Continuing Operations |
333000000.0000 |
CAD |
1 |
ifrs/2024 |
Segments= Canadian Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20240430 |
Income Tax Expense Continuing Operations |
923000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Income Tax Expense Continuing Operations |
262000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= United States Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20250430 |
Income Tax Expense Continuing Operations |
240000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= Wealth Management; |
|
|
0001193125-25-129309 |
20240430 |
Income Tax Relating To Financial Assets Measured At Fair Value Through Other Comprehensive Income |
-14000000.0000 |
CAD |
1 |
ifrs/2024 |
Classes Of Assets= Debt Securities; |
|
|
0001193125-25-129309 |
20240430 |
Income Tax Relating To Reclassification To Earnings On Fair Value Through Other Comprehensive Income Securities |
17000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250131 |
Income Tax Relating To Reclassification To Earnings On Fair Value Through Other Comprehensive Income Securities |
2000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Income Tax Relating To Financial Assets Measured At Fair Value Through Other Comprehensive Income |
-113000000.0000 |
CAD |
2 |
ifrs/2024 |
Classes Of Assets= Debt Securities; |
|
|
0001193125-25-129309 |
20250131 |
Income Tax Relating To Financial Assets Measured At Fair Value Through Other Comprehensive Income |
-45000000.0000 |
CAD |
1 |
ifrs/2024 |
Classes Of Assets= Debt Securities; |
|
|
0001193125-25-129309 |
20250131 |
Income Tax Relating To Hedges Of Net Investments In Foreign Operations Of Other Comprehensive Income |
-208000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-6000000.0000 |
CAD |
1 |
0001193125-25-129309 |
Impairment Of Financial Assets= Impaired Loans; Segments= Wealth Management; |
|
|
0001193125-25-129309 |
20240430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
7000000.0000 |
CAD |
1 |
0001193125-25-129309 |
Impairment Of Financial Assets= Performing Loans; Segments= United States Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20240430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
7000000.0000 |
CAD |
1 |
0001193125-25-129309 |
Segments= Wealth Management; |
|
|
0001193125-25-129309 |
20240430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-471000000.0000 |
CAD |
2 |
0001193125-25-129309 |
Impairment Of Financial Assets= Impaired Loans; Segments= United States Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20240430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-6000000.0000 |
CAD |
2 |
0001193125-25-129309 |
Segments= Wealth Management; |
|
|
0001193125-25-129309 |
20250131 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-1011000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-334000000.0000 |
CAD |
1 |
0001193125-25-129309 |
Segments= United States Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20250430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-1624000000.0000 |
CAD |
2 |
0001193125-25-129309 |
Impairment Of Financial Assets= Impaired Loans; |
|
|
0001193125-25-129309 |
20250430 |
Increase Decrease Through Common Shares Repurchased For Cancellation |
-752000000.0000 |
CAD |
1 |
0001193125-25-129309 |
Components Of Equity= Retained Earnings; |
|
|
0001193125-25-129309 |
20250430 |
Increase Decrease Through Dividends And Distributions On Other Equity In Retained Earnings |
207000000.0000 |
CAD |
2 |
0001193125-25-129309 |
Components Of Equity= Retained Earnings; |
|
|
0001193125-25-129309 |
20240430 |
Increase Decrease Through Exercise Of Options |
11000000.0000 |
CAD |
2 |
ifrs/2024 |
Components Of Equity= Share Premium; |
|
|
0001193125-25-129309 |
20250430 |
Increase Decrease Through Repurchased For Cancellation |
-269000000.0000 |
CAD |
2 |
0001193125-25-129309 |
Classes Of Share Capital= Ordinary Shares; |
|
|
0001193125-25-129309 |
20240430 |
Interest Expense |
806000000.0000 |
CAD |
1 |
ifrs/2024 |
Liabilities Measurement= Interest Expense For Liabilities Carried At Fair Value; |
|
|
0001193125-25-129309 |
20240430 |
Interest Expense |
21447000000.0000 |
CAD |
2 |
ifrs/2024 |
Liabilities Measurement= Interest Expense For Liabilities Carried At Amortized Cost; |
|
|
0001193125-25-129309 |
20250430 |
Interest Expense |
21782000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Interest Expense On Other Financial Liabilities |
800000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Interest Expense On Subordinated Debt Instruments |
226000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Interest Received Classified As Operating Activities |
30920000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Issued Capital |
23730000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Share Capital= Ordinary Shares; |
|
|
0001193125-25-129309 |
20240430 |
Lending Fees Revenue |
773000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20241031 |
Loans To Business And Government |
369776000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Fair Value Measurement= Not Carried At Fair Value; Measurement= At Carrying Value; |
|
|
0001193125-25-129309 |
20250430 |
Loans To Business And Government |
364826000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Fair Value Measurement= Not Carried At Fair Value; Measurement= At Carrying Value; |
|
|
0001193125-25-129309 |
20250430 |
Maturities Of Securities Other Than Trading Classified As Investing Activities |
25382000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Mutual Fund Revenue |
638000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Non Interest Income1 |
7450000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20241031 |
Non Trading Securities At Fair Value Through Profit Or Loss |
921000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Corporate Equity; Levels Of Fair Value Hierarchy= Level1 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Non Trading Securities At Fair Value Through Profit Or Loss |
25000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Other Government Securities; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Non Trading Securities At Fair Value Through Profit Or Loss |
25000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Other Government Securities; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Other Assets |
42387000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250131 |
Other Comprehensive Income Net Of Tax Cash Flow Hedges |
716000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250131 |
Other Comprehensive Income Net Of Tax Gains Losses From Investments In Equity Instruments |
-11000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Other Comprehensive Income Net Of Tax Gains Losses On Remeasurements Of Defined Benefit Plans |
-6000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20241031 |
Payable To Brokers Dealers And Clients |
34407000000.0000 |
CAD |
0 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Profit Loss |
1862000000.0000 |
CAD |
1 |
ifrs/2024 |
Components Of Equity= Retained Earnings; |
|
|
0001193125-25-129309 |
20240430 |
Profit Loss |
3158000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Profit Loss |
1962000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Profit Loss Attributable To Noncontrolling Interests |
4000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Profit Loss Attributable To Noncontrolling Interests |
4000000.0000 |
CAD |
1 |
ifrs/2024 |
Segments= United States Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20240430 |
Profit Loss Attributable To Owners Of Parent |
-328000000.0000 |
CAD |
1 |
ifrs/2024 |
Segments= Corporate Services; |
|
|
0001193125-25-129309 |
20240430 |
Profit Loss Attributable To Owners Of Parent |
320000000.0000 |
CAD |
1 |
ifrs/2024 |
Segments= Wealth Management; |
|
|
0001193125-25-129309 |
20250430 |
Profit Loss Attributable To Owners Of Parent |
782000000.0000 |
CAD |
1 |
ifrs/2024 |
Segments= Canadian Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20250430 |
Profit Loss Attributable To Owners Of Parent |
541000000.0000 |
CAD |
1 |
ifrs/2024 |
Segments= United States Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20250430 |
Profit Loss Attributable To Owners Of Parent |
-451000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= Corporate Services; |
|
|
0001193125-25-129309 |
20240430 |
Profit Loss Before Tax |
4081000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Profit Loss Before Tax |
578000000.0000 |
CAD |
1 |
ifrs/2024 |
Segments= Bmo Capital Markets; |
|
|
0001193125-25-129309 |
20250430 |
Profit Loss Before Tax |
5434000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Profit Loss Before Tax |
970000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= Wealth Management; |
|
|
0001193125-25-129309 |
20241031 |
Property Plant And Equipment |
6249000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Purchase Of Property Plant And Equipment Intangible Assets Other Than Goodwill Investment Property And Other Noncurrent Assets |
439000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Purchase Of Securities Other Than Trading Classified As Investing Activities |
40218000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Reclassification Adjustments On Cash Flow Hedges Net Of Tax |
-379000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250131 |
Reclassification Adjustments On Cash Flow Hedges Net Of Tax |
-341000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Reclassification Adjustments On Cash Flow Hedges Net Of Tax |
-184000000.0000 |
CAD |
1 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Incomeloss On Cash Flow Hedges Net Of Taxes; |
|
|
0001193125-25-129309 |
20240430 |
Reclassification Adjustments On Financial Assets Measured At Fair Value Through Other Comprehensive Income Net Of Tax |
45000000.0000 |
CAD |
2 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Income Loss On Fair Value Through Other Comprehensive Income Securities Net Of Taxes; |
|
|
0001193125-25-129309 |
20250430 |
Reclassification Adjustments On Financial Assets Measured At Fair Value Through Other Comprehensive Income Net Of Tax |
21000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Revenue |
2528000000.0000 |
CAD |
1 |
ifrs/2024 |
Segments= United States Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20250430 |
Revenue |
-264000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= Corporate Services; |
|
|
0001193125-25-129309 |
20250430 |
Revenue |
3114000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= Wealth Management; |
|
|
0001193125-25-129309 |
20250430 |
Revenue From Interest |
15654000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Sale Or Purchase Of Treasury Shares |
14000000.0000 |
CAD |
1 |
0001193125-25-129309 |
Classes Of Share Capital= Ordinary Shares; |
|
|
0001193125-25-129309 |
20250430 |
Securities |
400025000000.0000 |
CAD |
0 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20241031 |
Securities At Amortized Cost Net Of Allowances |
2403000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Canadian Federal Government; Measurement= At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Amortized Cost Net Of Allowances |
9178000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Corporate Debt; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Amortized Cost Net Of Allowances |
42773000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= N H A M B S U S Agency M B S And C M O; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Amortized Cost Net Of Allowances |
115188000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Fair Value Measurement= Not Carried At Fair Value; Measurement= At Carrying Value; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Amortized Cost Net Of Allowances |
40105000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= N H A M B S U S Agency M B S And C M O; |
|
These amounts are either supported by insured mortgages or issued by U.S. agencies and government-sponsored enterprises. NHA refers to the National Housing Act. The carrying value of securities that are part of fair value hedging relationships are adjusted for related gains (losses) on hedge contracts. |
0001193125-25-129309 |
20250430 |
Securities At Amortized Cost Net Of Allowances |
36629000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= N H A M B S U S Agency M B S And C M O; Measurement= At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Amortized Cost Net Of Allowances |
92999000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Fair Value Measurement= Not Carried At Fair Value; Measurement= At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
93702000000.0000 |
CAD |
0 |
0001193125-25-129309 |
|
|
Amounts are net of ACL of $5 million ($4 million as at October 31, 2024). |
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
31000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Corporate Debt; Classes Of Financial Assets= Gross Unrealized Gains; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
-168000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Us Federal Government; Classes Of Financial Assets= Gross Unrealized Losses; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
177000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Corporate Equity; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
5068000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Us States Municipalities And Agencies; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
622000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Canadian Federal Government; Classes Of Financial Assets= Gross Unrealized Gains; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
5708000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Canadian Provincial And Municipal Governments; Classes Of Financial Assets= Financial Assets At Amortised Cost; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
0.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Corporate Equity; Levels Of Fair Value Hierarchy= Level1 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
0.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= N H A M B S U S Agency M B S And C M O; Levels Of Fair Value Hierarchy= Level1 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
359000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= United States Federal Government Securities; Levels Of Fair Value Hierarchy= Level1 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
0.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= United States Federal Government Securities; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
17566000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= United States Federal Government Securities; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
359000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Levels Of Fair Value Hierarchy= Level1 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Subordinated Liabilities |
9740000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Trading Income Expense |
1621000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Trading Securities At Fair Value Through Profit Or Loss |
362000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Canadian Federal Government; Levels Of Fair Value Hierarchy= Level1 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Trading Securities At Fair Value Through Profit Or Loss |
0.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Canadian Government Provincia; Levels Of Fair Value Hierarchy= Level1 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Trading Securities At Fair Value Through Profit Or Loss |
7359000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Canadian Government Provincia; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Trading Securities At Fair Value Through Profit Or Loss |
50784000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Corporate Equity; Levels Of Fair Value Hierarchy= Level1 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Trading Securities At Fair Value Through Profit Or Loss |
4622000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Loans Held For Trading; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Trading Securities At Fair Value Through Profit Or Loss |
0.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= N H A M B S U S Agency M B S And C M O; Levels Of Fair Value Hierarchy= Level1 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Trading Securities At Fair Value Through Profit Or Loss |
5021000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Other Government Securities; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Trading Securities At Fair Value Through Profit Or Loss |
22731000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= United States Federal Government Securities; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Trading Securities At Fair Value Through Profit Or Loss |
0.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= United States Federal Government Securities; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Underwriting And Advisory Fees Income |
415000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Deferred Tax Assets |
2641000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Accumulated Other Comprehensive Income |
6753000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Adjustment For Brokers Dealers And Clients Receivable And Payable |
1595000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Adjustments For Decrease Increase In Reverse Repurchase Agreements And Cash Collateral On Securities Borrowed |
-2576000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Adjustments For Decrease Increase In Securitization And Structured Entities Liabilities |
12303000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Adjustments For Deferred Tax Expense |
-376000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Adjustments For Deferred Tax Expense |
-264000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Adjustments For Increase Decrease In Repurchase Agreements And Cash Collateral On Securities Lent |
10392000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Adjustments For Net Increase Decrease In Other Items And Accruals Net |
1818000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Adjustments For Net Increase Decrease In Other Items And Accruals Net |
-2698000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Adjustments For Undistributed Profits Of Investments Accounted For Using Equity Method |
105000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Assets |
1440269000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Cash Flows From Used In Decrease Increase In Shortterm Deposits And Investments |
-35000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Cash Flows From Used In Decrease Increase In Shortterm Deposits And Investments |
-238000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Cash Flows From Used In Investing Activities |
2725000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Communication Expense |
201000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Comprehensive Income |
1705000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Comprehensive Income |
472000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Comprehensive Income |
5434000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Comprehensive Income Attributable To Noncontrolling Interests |
2000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20241031 |
Consumer Loans |
91513000000.0000 |
CAD |
0 |
ifrs/2024 |
Fair Value Measurement= Not Carried At Fair Value; Measurement= At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Consumer Loans |
92146000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Consumer Loans |
91300000000.0000 |
CAD |
0 |
ifrs/2024 |
Fair Value Measurement= Not Carried At Fair Value; Measurement= At Fair Value; |
|
|
0001193125-25-129309 |
20240430 |
Credit Card Fee Income |
212000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Credit Card Loans |
12628000000.0000 |
CAD |
0 |
ifrs/2024 |
Fair Value Measurement= Not Carried At Fair Value; Measurement= At Carrying Value; |
|
|
0001193125-25-129309 |
20250430 |
Deposit And Payment Service Charges Revenue |
456000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20241031 |
Deposits1 |
33704000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Liabilities= Deposits More Than One Hundred Thousand Dollar; Geographical Areas= C A; Maturity= Later Than Three Months And Not Later Than Six Months; |
|
|
0001193125-25-129309 |
20241031 |
Deposits1 |
50233000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Geographical Areas= Other Countries; |
|
|
0001193125-25-129309 |
20241031 |
Deposits1 |
575019000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Source Of Deposit= Business And Government Deposits; |
|
|
0001193125-25-129309 |
20250430 |
Deposits1 |
47389000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Liabilities= Deposits More Than One Hundred Thousand Dollar; Geographical Areas= C A; Maturity= Later Than Six Months And Not Later Than One Year; |
|
|
0001193125-25-129309 |
20241031 |
Derivative Financial Assets |
10000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Credit Default Swaps; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Derivative Financial Assets |
4000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Foreign Exchange Contracts; Levels Of Fair Value Hierarchy= Level1 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Derivative Financial Assets |
21272000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Foreign Exchange Contracts; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Derivative Financial Assets |
9887000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Interest Rate Contracts; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Derivative Financial Assets |
49726000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Derivative Financial Assets |
2000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Credit Default Swaps; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Derivative Financial Assets |
673000000.0000 |
CAD |
0 |
ifrs/2024 |
Levels Of Fair Value Hierarchy= Level1 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Derivative Financial Liabilities |
1721000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Commodity Contracts; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Derivative Financial Liabilities |
32000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Interest Rate Contracts; Levels Of Fair Value Hierarchy= Level1 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Derivative Financial Liabilities |
10811000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Interest Rate Contracts; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Derivative Financial Liabilities |
1688000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Commodity Contracts; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Derivative Financial Liabilities |
0.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Commodity Contracts; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Derivative Financial Liabilities |
0.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Interest Rate Contracts; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20240430 |
Diluted Earnings Loss Per Share |
4.0800 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Dividends Paid Classified As Financing Activities |
669000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Dividends Paid To Noncontrolling Interests Classified As Financing Activities |
3000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Dividends Received Classified As Operating Activities |
1191000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20241031 |
Dividends Recognised As Distributions To Owners Per Share |
1.7000 |
CAD |
4 |
ifrs/2024 |
Classes Of Share Capital= Class B Series Forty Four Preferred Shares; |
|
|
0001193125-25-129309 |
20241031 |
Dividends Recognised As Distributions To Owners Per Share |
0.9600 |
CAD |
4 |
ifrs/2024 |
Classes Of Share Capital= Class Bseries Thirty One Preferred Shares; |
|
|
0001193125-25-129309 |
20250430 |
Dividends Recognised As Distributions To Owners Per Share |
35.2900 |
CAD |
2 |
ifrs/2024 |
Classes Of Share Capital= Class B Series Fifty Two Preferred Shares; |
|
|
0001193125-25-129309 |
20240430 |
Effect Of Exchange Rate Changes On Cash And Cash Equivalents |
-235000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Employee Benefits Expense |
5489000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20231031 |
Equity |
28000000.0000 |
CAD |
0 |
ifrs/2024 |
Components Of Equity= Noncontrolling Interests; |
|
|
0001193125-25-129309 |
20231031 |
Equity |
44006000000.0000 |
CAD |
0 |
ifrs/2024 |
Components Of Equity= Retained Earnings; |
|
|
0001193125-25-129309 |
20240131 |
Equity |
210000000.0000 |
CAD |
0 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Income Loss On Own Credit Risk On Financial Liabilities Designated At Fair Value Net Of Taxes; |
|
|
0001193125-25-129309 |
20240430 |
Equity |
895000000.0000 |
CAD |
0 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Income On Pension And Other Employee Future Benefit Plans Net Of Taxes; |
|
|
0001193125-25-129309 |
20241031 |
Equity |
84286000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20241031 |
Equity |
658000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Share Capital= Other Equity Instruments; Debt Instrument1= Four Point Eight Percentage Additional Tier1 Capital Notes Nvcc; |
|
|
0001193125-25-129309 |
20250131 |
Equity |
-218000000.0000 |
CAD |
0 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Income Loss On Fair Value Through Other Comprehensive Income Securities Net Of Taxes; |
|
|
0001193125-25-129309 |
20250430 |
Equity |
1250000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Share Capital= Other Equity Instruments; Debt Instrument1= Four Point Three Percentage Limited Recourse Capital Notes Series One; |
|
|
0001193125-25-129309 |
20250430 |
Equity |
199000000.0000 |
CAD |
0 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Incomeloss On Cash Flow Hedges Net Of Taxes; |
|
|
0001193125-25-129309 |
20250430 |
Equity And Liabilities |
1440269000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Gains Losses On Cash Flow Hedges Net Of Tax |
471000000.0000 |
CAD |
2 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Incomeloss On Cash Flow Hedges Net Of Taxes; |
|
|
0001193125-25-129309 |
20250430 |
Gains Losses On Exchange Differences On Translation Net Of Tax |
-593000000.0000 |
CAD |
2 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Income On Translation Of Net Foreign Operations Net Of Taxes; |
|
|
0001193125-25-129309 |
20250131 |
Gains Losses On Exchange Differences On Translation Recognised In Profit Or Loss |
76000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Income Tax Expense Continuing Operations |
124000000.0000 |
CAD |
1 |
ifrs/2024 |
Segments= United States Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20240430 |
Income Tax Expense Continuing Operations |
-428000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= Corporate Services; |
|
|
0001193125-25-129309 |
20250430 |
Income Tax Expense Continuing Operations |
332000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= Bmo Capital Markets; |
|
|
0001193125-25-129309 |
20250430 |
Income Tax Expense Continuing Operations |
286000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= United States Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20250430 |
Income Tax Relating To Cash Flow Hedges Of Other Comprehensive Income |
302000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250131 |
Income Tax Relating To Investments In Equity Instruments Of Other Comprehensive Income |
-8000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-658000000.0000 |
CAD |
1 |
0001193125-25-129309 |
Impairment Of Financial Assets= Impaired Loans; |
|
|
0001193125-25-129309 |
20240430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-8000000.0000 |
CAD |
1 |
0001193125-25-129309 |
Impairment Of Financial Assets= Impaired Loans; Segments= Corporate Services; |
|
|
0001193125-25-129309 |
20240430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-398000000.0000 |
CAD |
1 |
0001193125-25-129309 |
Segments= Canadian Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20240430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-46000000.0000 |
CAD |
2 |
0001193125-25-129309 |
Impairment Of Financial Assets= Impaired Loans; Segments= Corporate Services; |
|
|
0001193125-25-129309 |
20240430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
3000000.0000 |
CAD |
2 |
0001193125-25-129309 |
Impairment Of Financial Assets= Performing Loans; Segments= Wealth Management; |
|
|
0001193125-25-129309 |
20250430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-28000000.0000 |
CAD |
1 |
0001193125-25-129309 |
Impairment Of Financial Assets= Impaired Loans; Segments= Bmo Capital Markets; |
|
|
0001193125-25-129309 |
20250430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-132000000.0000 |
CAD |
1 |
0001193125-25-129309 |
Impairment Of Financial Assets= Performing Loans; Segments= Canadian Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20250430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-6000000.0000 |
CAD |
1 |
0001193125-25-129309 |
Impairment Of Financial Assets= Performing Loans; Segments= Wealth Management; |
|
|
0001193125-25-129309 |
20250430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-2065000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-84000000.0000 |
CAD |
2 |
0001193125-25-129309 |
Impairment Of Financial Assets= Performing Loans; Segments= Bmo Capital Markets; |
|
|
0001193125-25-129309 |
20240430 |
Increase Decrease In Liabilities Of Subsidiaries |
-6768000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Increase Decrease In Liabilities Of Subsidiaries |
-715000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Increase Decrease Through Common Shares Repurchased For Cancellation |
-888000000.0000 |
CAD |
2 |
0001193125-25-129309 |
Components Of Equity= Retained Earnings; |
|
|
0001193125-25-129309 |
20250430 |
Increase Decrease Through Dividends And Distributions On Other Equity In Retained Earnings |
142000000.0000 |
CAD |
1 |
0001193125-25-129309 |
Components Of Equity= Retained Earnings; |
|
|
0001193125-25-129309 |
20241031 |
Insurance Contracts That Are Liabilities |
18770000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Insurance Contracts That Are Liabilities |
19338000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Insurance Investment Result |
16000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20241031 |
Intangible Assets Other Than Goodwill |
4925000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Interest Expense |
9497000000.0000 |
CAD |
1 |
ifrs/2024 |
Liabilities Measurement= Interest Expense For Liabilities Carried At Amortized Cost; |
|
|
0001193125-25-129309 |
20250430 |
Interest Expense |
1060000000.0000 |
CAD |
1 |
ifrs/2024 |
Liabilities Measurement= Interest Expense For Liabilities Carried At Fair Value; |
|
|
0001193125-25-129309 |
20250131 |
Interest Expense On Deposits |
8124000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Interest Expense On Other Financial Liabilities |
802000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Interest Expense On Securities Sold But Not Yet Repurchased And Securities Lent Or Sold Under Repurchase Agreements |
4158000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250131 |
Interest Expense On Securities Sold But Not Yet Repurchased And Securities Lent Or Sold Under Repurchase Agreements |
2189000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Interest Expense On Subordinated Debt Instruments |
111000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Interest Income On Loans And Advances To Customers |
19622000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250131 |
Interest Income On Securities |
4120000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Interest Income On Securities |
3978000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Interest Paid Classified As Operating Activities |
10808000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Interest Paid Classified As Operating Activities |
22100000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Interest Received Classified As Operating Activities |
30476000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Interest Received Classified As Operating Activities |
14807000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Issue Of Equity |
1356000000.0000 |
CAD |
2 |
ifrs/2024 |
Classes Of Share Capital= Preferred Shares And Other Equity Instruments; |
|
|
0001193125-25-129309 |
20250430 |
Loans Net Of Allowance For Credit Losses |
675704000000.0000 |
CAD |
0 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20241031 |
Loans To Business And Government |
370101000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Fair Value Measurement= Not Carried At Fair Value; Measurement= At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Loans To Business And Government |
381483000000.0000 |
CAD |
0 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Mutual Fund Revenue |
716000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20241031 |
Non Trading Securities At Fair Value Through Profit Or Loss |
237000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Canadian Federal Government; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Non Trading Securities At Fair Value Through Profit Or Loss |
8745000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Corporate Debt; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Non Trading Securities At Fair Value Through Profit Or Loss |
8780000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Corporate Debt; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Non Trading Securities At Fair Value Through Profit Or Loss |
910000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Corporate Equity; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Non Trading Securities At Fair Value Through Profit Or Loss |
0.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Other Government Securities; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Non Trading Securities At Fair Value Through Profit Or Loss |
0.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Other Government Securities; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20240430 |
Other Comprehensive Income |
-161000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Other Comprehensive Income Net Of Tax Cash Flow Hedges |
-1064000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Other Comprehensive Income Net Of Tax Change In Fair Value Of Financial Liability Attributable To Change In Credit Risk Of Liability |
146000000.0000 |
CAD |
1 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Income Loss On Own Credit Risk On Financial Liabilities Designated At Fair Value Net Of Taxes; |
|
|
0001193125-25-129309 |
20240430 |
Other Comprehensive Income Net Of Tax Gains Losses On Remeasurements Of Defined Benefit Plans |
-48000000.0000 |
CAD |
2 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Income On Pension And Other Employee Future Benefit Plans Net Of Taxes; |
|
|
0001193125-25-129309 |
20250430 |
Other Comprehensive Income Net Of Tax Gains Losses On Remeasurements Of Defined Benefit Plans |
-28000000.0000 |
CAD |
1 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Income On Pension And Other Employee Future Benefit Plans Net Of Taxes; |
|
|
0001193125-25-129309 |
20250430 |
Other Comprehensive Income Net Of Tax Gains Losses On Remeasurements Of Defined Benefit Plans |
-6000000.0000 |
CAD |
2 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Income On Pension And Other Employee Future Benefit Plans Net Of Taxes; |
|
|
0001193125-25-129309 |
20240430 |
Other Comprehensive Income That Will Not Be Reclassified To Profit Or Loss Net Of Tax |
-823000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20241031 |
Other Miscellaneous Assets |
155106000000.0000 |
CAD |
0 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Payments To Acquire Or Redeem Entitys Shares |
300000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Portfolio And Other Management Fee Income |
1130000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250131 |
Premises And Equipment Related Expenses |
1086000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Proceeds From Sale Purchase Or Issue Of Treasury Shares |
8000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Proceeds From Sales Of Securities Other Than Trading Classified As Investing Activities |
17267000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Profit Loss |
543000000.0000 |
CAD |
1 |
ifrs/2024 |
Segments= United States Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20240430 |
Profit Loss |
320000000.0000 |
CAD |
1 |
ifrs/2024 |
Segments= Wealth Management; |
|
|
0001193125-25-129309 |
20240430 |
Profit Loss Attributable To Noncontrolling Interests |
2000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= Corporate Services; |
|
|
0001193125-25-129309 |
20240430 |
Profit Loss Attributable To Noncontrolling Interests |
4000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= United States Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20250430 |
Profit Loss Attributable To Noncontrolling Interests |
5000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= United States Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20240430 |
Profit Loss Before Tax |
422000000.0000 |
CAD |
1 |
ifrs/2024 |
Segments= Wealth Management; |
|
|
0001193125-25-129309 |
20240430 |
Profit Loss Before Tax |
1076000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= Bmo Capital Markets; |
|
|
0001193125-25-129309 |
20240430 |
Profit Loss Before Tax |
-1578000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= Corporate Services; |
|
|
0001193125-25-129309 |
20240430 |
Profit Loss Before Tax |
740000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= Wealth Management; |
|
|
0001193125-25-129309 |
20250430 |
Profit Loss Before Tax |
479000000.0000 |
CAD |
1 |
ifrs/2024 |
Segments= Wealth Management; |
|
|
0001193125-25-129309 |
20240430 |
Reclassification Adjustments On Cash Flow Hedges Net Of Tax |
-768000000.0000 |
CAD |
2 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Incomeloss On Cash Flow Hedges Net Of Taxes; |
|
|
0001193125-25-129309 |
20250430 |
Reclassification Adjustments On Cash Flow Hedges Net Of Tax |
-184000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
Net of income tax (recovery) of $(70) million, $(129) million, $(144) million for the three months ended and $(199) million and $(291) million for the six months ended, respectively. |
0001193125-25-129309 |
20250131 |
Reclassification Adjustments On Financial Assets Measured At Fair Value Through Other Comprehensive Income Net Of Tax |
6000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20241031 |
Repurchase Agreements And Cash Collateral On Securities Lent |
110791000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20241031 |
Residential Mortgage Loans |
191080000000.0000 |
CAD |
0 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Revenue |
1528000000.0000 |
CAD |
1 |
ifrs/2024 |
Segments= Wealth Management; |
|
|
0001193125-25-129309 |
20250430 |
Revenue |
6039000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= Canadian Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Amortized Cost Net Of Allowances |
5756000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Canadian Provincial And Municipal Governments; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Amortized Cost Net Of Allowances |
7858000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Corporate Debt; Measurement= At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
33892000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Canadian Federal Government; Classes Of Financial Assets= Financial Assets At Amortised Cost; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
-25000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Canadian Provincial And Municipal Governments; Classes Of Financial Assets= Gross Unrealized Losses; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
42000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Corporate Equity; Classes Of Financial Assets= Gross Unrealized Gains; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
21570000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= N H A M B S U S Agency M B S And C M O; Classes Of Financial Assets= Financial Assets At Amortised Cost; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
16940000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= United States Federal Government Securities; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
16965000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= United States Federal Government Securities; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
177000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
-269000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= N H A M B S U S Agency M B S And C M O; Classes Of Financial Assets= Gross Unrealized Losses; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
-11000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Other Governments; Classes Of Financial Assets= Gross Unrealized Losses; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
5366000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= U S State Municipal And Agencies Debt; Classes Of Financial Assets= Financial Assets At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
0.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Canadian Federal Government; Levels Of Fair Value Hierarchy= Level1 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
5853000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Canadian Government Provincia; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
189000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Corporate Equity; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
5366000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Us States Municipalities And Agencies; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Securitization And Structured Entities Liabilities |
21850000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Fair Value Measurement= Not Carried At Fair Value; Measurement= At Carrying Value; |
|
|
0001193125-25-129309 |
20250430 |
Securitization And Structured Entities Liabilities |
21162000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Fair Value Measurement= Not Carried At Fair Value; Measurement= At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Shortterm Deposits Not Classified As Cash Equivalents |
3215000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20241031 |
Subordinated Liabilities |
8543000000.0000 |
CAD |
0 |
ifrs/2024 |
Fair Value Measurement= Not Carried At Fair Value; Measurement= At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Trading Securities At Fair Value Through Profit Or Loss |
168926000000.0000 |
CAD |
0 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20241031 |
Trading Securities At Fair Value Through Profit Or Loss |
65983000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Corporate Equity; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Trading Securities At Fair Value Through Profit Or Loss |
2688000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= United States Federal Government Securities; Levels Of Fair Value Hierarchy= Level1 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Trading Securities At Fair Value Through Profit Or Loss |
0.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Corporate Equity; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Trading Securities At Fair Value Through Profit Or Loss |
51320000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Corporate Equity; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Trading Securities At Fair Value Through Profit Or Loss |
55950000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= N H A M B S U S Agency M B S And C M O; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Trading Securities At Fair Value Through Profit Or Loss |
55955000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= N H A M B S U S Agency M B S And C M O; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Trading Securities At Fair Value Through Profit Or Loss |
4967000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Other Government Securities; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250131 |
Underwriting And Advisory Fees Income |
380000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Adjustment For Increase Decrease In Current Income Tax Assets Liabilities |
203000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Adjustment For Increase Decrease In Current Income Tax Assets Liabilities |
-170000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Adjustments For Depreciation Of Other Assets |
17000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Adjustments For Increase Decrease In Deposits From Customers |
9621000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Adjustments For Increase Decrease In Deposits From Customers |
-21405000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Adjustments For Increase Decrease In Trading Securities |
-35759000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Adjustments For Provisions |
2065000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Adjustments For Undistributed Profits Of Investments Accounted For Using Equity Method |
67000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250131 |
Advertising And Business Development |
174000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20241031 |
Bank Acceptance Assets |
359000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Cash Flows From Used In Financing Activities |
-6981000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Communication Expense |
100000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Comprehensive Income Attributable To Noncontrolling Interests |
4000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20241031 |
Consumer Loans |
91889000000.0000 |
CAD |
0 |
ifrs/2024 |
Fair Value Measurement= Not Carried At Fair Value; Measurement= At Carrying Value; |
|
|
0001193125-25-129309 |
20250430 |
Credit Card Loans |
13221000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20241031 |
Deposits1 |
982440000000.0000 |
CAD |
0 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20241031 |
Deposits1 |
32546000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Source Of Deposit= Bank Deposits; |
|
|
0001193125-25-129309 |
20250430 |
Deposits1 |
958267000000.0000 |
CAD |
0 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20241031 |
Derivative Financial Assets |
36000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Interest Rate Contracts; Levels Of Fair Value Hierarchy= Level1 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Derivative Financial Assets |
9000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Commodity Contracts; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Derivative Financial Assets |
8863000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Equity Contracts; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Derivative Financial Assets |
14000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Equity Contracts; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Derivative Financial Assets |
24000000.0000 |
CAD |
0 |
ifrs/2024 |
Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Derivative Financial Liabilities |
1821000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Commodity Contracts; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Derivative Financial Liabilities |
10843000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Interest Rate Contracts; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Derivative Financial Liabilities |
203000000.0000 |
CAD |
0 |
ifrs/2024 |
Levels Of Fair Value Hierarchy= Level1 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Derivative Financial Liabilities |
58303000000.0000 |
CAD |
0 |
ifrs/2024 |
Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Derivative Financial Liabilities |
0.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Foreign Exchange Contracts; Levels Of Fair Value Hierarchy= Level1 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Diluted Earnings Loss Per Share |
2.5000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Dividends Paid To Noncontrolling Interests |
-3000000.0000 |
CAD |
2 |
ifrs/2024 |
Components Of Equity= Noncontrolling Interests; |
|
|
0001193125-25-129309 |
20240430 |
Dividends Paid To Noncontrolling Interests Classified As Financing Activities |
3000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Dividends Received Classified As Operating Activities |
1363000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Dividends Recognised As Distributions To Owners Per Share |
1.5100 |
CAD |
1 |
ifrs/2024 |
Classes Of Share Capital= Ordinary Shares; |
|
|
0001193125-25-129309 |
20241031 |
Dividends Recognised As Distributions To Owners Per Share |
70.5700 |
CAD |
4 |
ifrs/2024 |
Classes Of Share Capital= Class B Series Fifty Two Preferred Shares; |
|
|
0001193125-25-129309 |
20250430 |
Employee Benefits Expense |
2850000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20231031 |
Equity |
22941000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Share Capital= Ordinary Shares; |
|
|
0001193125-25-129309 |
20240131 |
Equity |
23412000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Share Capital= Ordinary Shares; |
|
|
0001193125-25-129309 |
20240131 |
Equity |
-190000000.0000 |
CAD |
0 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Income Loss On Fair Value Through Other Comprehensive Income Securities Net Of Taxes; |
|
|
0001193125-25-129309 |
20240131 |
Equity |
852000000.0000 |
CAD |
0 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Income On Pension And Other Employee Future Benefit Plans Net Of Taxes; |
|
|
0001193125-25-129309 |
20240131 |
Equity |
29000000.0000 |
CAD |
0 |
ifrs/2024 |
Components Of Equity= Noncontrolling Interests; |
|
|
0001193125-25-129309 |
20240131 |
Equity |
351000000.0000 |
CAD |
0 |
ifrs/2024 |
Components Of Equity= Share Premium; |
|
|
0001193125-25-129309 |
20240430 |
Equity |
79570000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Equity |
-146000000.0000 |
CAD |
0 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Income Loss On Own Credit Risk On Financial Liabilities Designated At Fair Value Net Of Taxes; |
|
|
0001193125-25-129309 |
20240430 |
Equity |
31000000.0000 |
CAD |
0 |
ifrs/2024 |
Components Of Equity= Noncontrolling Interests; |
|
|
0001193125-25-129309 |
20241031 |
Equity |
500000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Share Capital= Class B Series Fifty Preferred Shares; |
|
|
0001193125-25-129309 |
20241031 |
Equity |
-321000000.0000 |
CAD |
0 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Income Loss On Fair Value Through Other Comprehensive Income Securities Net Of Taxes; |
|
|
0001193125-25-129309 |
20250131 |
Equity |
41000000.0000 |
CAD |
0 |
ifrs/2024 |
Components Of Equity= Noncontrolling Interests; |
|
|
0001193125-25-129309 |
20250430 |
Equity |
23730000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Share Capital= Ordinary Shares; |
|
|
0001193125-25-129309 |
20250430 |
Equity |
7787000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Share Capital= Preferred Shares And Other Equity Instruments; |
|
|
0001193125-25-129309 |
20250430 |
Equity |
-370000000.0000 |
CAD |
0 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Income Loss On Fair Value Through Other Comprehensive Income Securities Net Of Taxes; |
|
|
0001193125-25-129309 |
20250430 |
Equity |
85795000000.0000 |
CAD |
0 |
ifrs/2024 |
Components Of Equity= Equity Attributable To Owners Of Parent; |
|
|
0001193125-25-129309 |
20250430 |
Equity |
367000000.0000 |
CAD |
0 |
ifrs/2024 |
Components Of Equity= Share Premium; |
|
|
0001193125-25-129309 |
20250131 |
Fee And Commission Income |
288000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Gains Losses On Cash Flow Hedges Net Of Tax |
-1443000000.0000 |
CAD |
1 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Incomeloss On Cash Flow Hedges Net Of Taxes; |
|
|
0001193125-25-129309 |
20250430 |
Gains Losses On Exchange Differences On Translation Net Of Tax |
-593000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Gains Losses On Exchange Differences On Translation Recognised In Profit Or Loss |
62000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Gains Losses On Hedges Of Net Investments In Foreign Operations Net Of Tax |
-266000000.0000 |
CAD |
1 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Income On Translation Of Net Foreign Operations Net Of Taxes; |
|
|
0001193125-25-129309 |
20240430 |
Income Tax Expense Continuing Operations |
-122000000.0000 |
CAD |
1 |
ifrs/2024 |
Segments= Corporate Services; |
|
|
0001193125-25-129309 |
20240430 |
Income Tax Expense Continuing Operations |
102000000.0000 |
CAD |
1 |
ifrs/2024 |
Segments= Wealth Management; |
|
|
0001193125-25-129309 |
20250430 |
Income Tax Expense Continuing Operations |
295000000.0000 |
CAD |
1 |
ifrs/2024 |
Segments= Canadian Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20250430 |
Income Tax Expense Continuing Operations |
-58000000.0000 |
CAD |
1 |
ifrs/2024 |
Segments= Corporate Services; |
|
|
0001193125-25-129309 |
20250430 |
Income Tax Expense Continuing Operations |
142000000.0000 |
CAD |
1 |
ifrs/2024 |
Segments= United States Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20250430 |
Income Tax Expense Continuing Operations |
118000000.0000 |
CAD |
1 |
ifrs/2024 |
Segments= Wealth Management; |
|
|
0001193125-25-129309 |
20240430 |
Income Tax Relating To Cash Flow Hedges Of Other Comprehensive Income |
182000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250131 |
Income Tax Relating To Cash Flow Hedges Of Other Comprehensive Income |
148000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Income Tax Relating To Changes In Fair Value Of Financial Liability Attributable To Change In Credit Risk Of Liability Of Other Comprehensive Income |
56000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Income Tax Relating To Hedges Of Net Investments In Foreign Operations Of Other Comprehensive Income |
23000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Income Tax Relating To Reclassification To Earnings On Cash Flow Hedges Of Other Comprehensive Income |
144000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Income Tax Relating To Reclassification To Earnings On Cash Flow Hedges Of Other Comprehensive Income |
291000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Income Tax Relating To Reclassification To Earnings On Cash Flow Hedges Of Other Comprehensive Income |
199000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Income Tax Relating To Reclassification To Earnings On Fair Value Through Other Comprehensive Income Securities |
6000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
9000000.0000 |
CAD |
1 |
0001193125-25-129309 |
Impairment Of Financial Assets= Performing Loans; Segments= Bmo Capital Markets; |
|
|
0001193125-25-129309 |
20240430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-160000000.0000 |
CAD |
2 |
0001193125-25-129309 |
Impairment Of Financial Assets= Performing Loans; Segments= Canadian Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20240430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-693000000.0000 |
CAD |
2 |
0001193125-25-129309 |
Segments= Canadian Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20250430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-87000000.0000 |
CAD |
1 |
0001193125-25-129309 |
Impairment Of Financial Assets= Performing Loans; Segments= United States Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20250430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-5000000.0000 |
CAD |
2 |
0001193125-25-129309 |
Impairment Of Financial Assets= Performing Loans; Segments= Wealth Management; |
|
|
0001193125-25-129309 |
20241031 |
Accumulated Other Comprehensive Income |
5419000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20241031 |
Additional Paidin Capital |
354000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Additional Paidin Capital |
367000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Adjustment For Brokers Dealers And Clients Receivable And Payable |
4368000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Adjustment For Increase Decrease In Accrued Interest Receivable And Payable |
166000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Adjustments For Amortization Of Intangible Assets |
584000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Adjustments For Decrease Increase In Loans And Advances To Customers |
-3307000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Adjustments For Decrease Increase In Reverse Repurchase Agreements And Cash Collateral On Securities Borrowed |
-440000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Adjustments For Decrease Increase In Securities Sold But Not Yet Purchased |
10577000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Adjustments For Decrease Increase In Securitization And Structured Entities Liabilities |
9687000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Adjustments For Depreciation Of Premises And Equipment |
245000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Adjustments For Increase Decrease In Trading Securities |
2722000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Adjustments For Increase Decrease In Trading Securities |
-5370000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Adjustments For Net Gain Loss On Securities Other Than Trading |
-94000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Adjustments For Net Increase Decrease In Other Items And Accruals Net |
6473000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Adjustments For Undistributed Profits Of Investments Accounted For Using Equity Method |
-2000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250131 |
Amortisation Intangible Assets Other Than Goodwill |
288000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20241031 |
Assets |
1409647000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Association Clearing And Annual Regulator Fee |
72000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Bank Acceptance Assets |
438000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250131 |
Basic Earnings Loss Per Share |
2.8400 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Cash And Cash Equivalents |
65362000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Cash Flows From Used In Investing Activities |
1799000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Comprehensive Income Attributable To Owners Of Parent |
1701000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Comprehensive Income Attributable To Owners Of Parent |
470000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Comprehensive Income Attributable To Owners Of Parent |
5428000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250131 |
Credit Card Fee Income |
219000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Credit Card Fee Income |
201000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20241031 |
Credit Card Loans |
13030000000.0000 |
CAD |
0 |
ifrs/2024 |
Fair Value Measurement= Not Carried At Fair Value; Measurement= At Carrying Value; |
|
|
0001193125-25-129309 |
20250430 |
Deposits1 |
34449000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Liabilities= Deposits More Than One Hundred Thousand Dollar; Geographical Areas= C A; Maturity= Later Than Three Months And Not Later Than Six Months; |
|
|
0001193125-25-129309 |
20250430 |
Deposits1 |
907269000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Fair Value Measurement= Not Carried At Fair Value; Measurement= At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Derivative Financial Assets |
2000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Commodity Contracts; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Derivative Financial Assets |
1827000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Commodity Contracts; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Derivative Financial Assets |
539000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Equity Contracts; Levels Of Fair Value Hierarchy= Level1 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Derivative Financial Assets |
13718000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Equity Contracts; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Derivative Financial Assets |
9851000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Interest Rate Contracts; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Derivative Financial Assets |
9206000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Equity Contracts; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Derivative Financial Assets |
29526000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Foreign Exchange Contracts; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Derivative Financial Assets |
0.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Foreign Exchange Contracts; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Derivative Financial Liabilities |
19955000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Foreign Exchange Contracts; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Derivative Financial Liabilities |
102000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Equity Contracts; Levels Of Fair Value Hierarchy= Level1 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Derivative Financial Liabilities |
1000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Equity Contracts; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Dividends Paid Ordinary Shares |
1151000000.0000 |
CAD |
1 |
ifrs/2024 |
Components Of Equity= Retained Earnings; |
|
|
0001193125-25-129309 |
20240430 |
Dividends Paid To Noncontrolling Interests |
-3000000.0000 |
CAD |
2 |
ifrs/2024 |
Components Of Equity= Noncontrolling Interests; |
|
|
0001193125-25-129309 |
20250430 |
Dividends Paid To Noncontrolling Interests Classified As Financing Activities |
3000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Dividends Recognised As Distributions To Owners Per Share |
36.8700 |
CAD |
2 |
ifrs/2024 |
Classes Of Share Capital= Class B Series Fifty Preferred Shares; |
|
|
0001193125-25-129309 |
20250430 |
Dividends Recognised As Distributions To Owners Per Share |
0.0000 |
CAD |
2 |
ifrs/2024 |
Classes Of Share Capital= Class Bseries Thirty One Preferred Shares; |
|
|
0001193125-25-129309 |
20250430 |
Effect Of Exchange Rate Changes On Cash And Cash Equivalents |
-2596000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Effect Of Exchange Rate Changes On Cash And Cash Equivalents |
-670000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Equity |
2207000000.0000 |
CAD |
0 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Income; |
|
|
0001193125-25-129309 |
20241031 |
Equity |
300000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Share Capital= Class Bseries Thirty One Preferred Shares; |
|
|
0001193125-25-129309 |
20241031 |
Equity |
23921000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Share Capital= Ordinary Shares; |
|
|
0001193125-25-129309 |
20241031 |
Equity |
2050000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Share Capital= Preference Shares; |
|
|
0001193125-25-129309 |
20241031 |
Equity |
8087000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Share Capital= Preferred Shares And Other Equity Instruments; |
|
|
0001193125-25-129309 |
20241031 |
Equity |
6381000000.0000 |
CAD |
0 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Income On Translation Of Net Foreign Operations Net Of Taxes; |
|
|
0001193125-25-129309 |
20241031 |
Equity |
36000000.0000 |
CAD |
0 |
ifrs/2024 |
Components Of Equity= Noncontrolling Interests; |
|
|
0001193125-25-129309 |
20250131 |
Equity |
-803000000.0000 |
CAD |
0 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Incomeloss On Cash Flow Hedges Net Of Taxes; |
|
|
0001193125-25-129309 |
20250430 |
Equity |
400000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Share Capital= Class B Series Forty Four Preferred Shares; |
|
|
0001193125-25-129309 |
20250430 |
Equity |
658000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Share Capital= Other Equity Instruments; Debt Instrument1= Four Point Eight Percentage Additional Tier1 Capital Notes Nvcc; |
|
|
0001193125-25-129309 |
20250430 |
Equity |
1023000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Share Capital= Other Equity Instruments; Debt Instrument1= Seven Point Three Percentage Limited Recourse Capital Notes Series Five; |
|
|
0001193125-25-129309 |
20250430 |
Equity |
1750000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Share Capital= Preference Shares; |
|
|
0001193125-25-129309 |
20250430 |
Fee And Commission Income |
563000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Gains Losses On Cash Flow Hedges Net Of Tax |
471000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250131 |
Gains Losses On Financial Assets Measured At Fair Value Through Other Comprehensive Income Net Of Tax |
120000000.0000 |
CAD |
1 |
ifrs/2024 |
Classes Of Assets= Debt Securities; |
|
|
0001193125-25-129309 |
20250430 |
Gains Losses On Financial Assets Measured At Fair Value Through Other Comprehensive Income Net Of Tax |
-137000000.0000 |
CAD |
1 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Income Loss On Fair Value Through Other Comprehensive Income Securities Net Of Taxes; |
|
|
0001193125-25-129309 |
20250430 |
Gains Losses On Hedges Of Net Investments In Foreign Operations Net Of Tax |
206000000.0000 |
CAD |
2 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Income On Translation Of Net Foreign Operations Net Of Taxes; |
|
|
0001193125-25-129309 |
20250430 |
Portfolio And Other Management Fee Income |
556000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Increase Decrease Through Dividends And Distributions On Other Equity In Retained Earnings |
183000000.0000 |
CAD |
2 |
0001193125-25-129309 |
Components Of Equity= Retained Earnings; |
|
|
0001193125-25-129309 |
20241031 |
Goodwill |
16774000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Income Tax Expense Continuing Operations |
180000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= Wealth Management; |
|
|
0001193125-25-129309 |
20250430 |
Income Tax Expense Continuing Operations |
644000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Income Tax Expense Continuing Operations |
-158000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= Corporate Services; |
|
|
0001193125-25-129309 |
20250131 |
Income Tax Relating To Changes In Fair Value Of Financial Liability Attributable To Change In Credit Risk Of Liability Of Other Comprehensive Income |
-34000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Income Tax Relating To Investments In Equity Instruments Of Other Comprehensive Income |
-17000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250131 |
Income Tax Relating To Reclassification To Earnings On Cash Flow Hedges Of Other Comprehensive Income |
129000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Income Tax Relating To Reclassification To Earnings On Fair Value Through Other Comprehensive Income Securities |
15000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Income Tax Relating To Remeasurements Of Defined Benefit Plans Of Other Comprehensive Income |
|
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250131 |
Income Tax Relating To Remeasurements Of Defined Benefit Plans Of Other Comprehensive Income |
-4000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Income Tax Relating To Remeasurements Of Defined Benefit Plans Of Other Comprehensive Income |
0.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-288000000.0000 |
CAD |
1 |
0001193125-25-129309 |
Impairment Of Financial Assets= Impaired Loans; Segments= United States Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20240430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-47000000.0000 |
CAD |
1 |
0001193125-25-129309 |
Impairment Of Financial Assets= Performing Loans; |
|
|
0001193125-25-129309 |
20240430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-32000000.0000 |
CAD |
2 |
0001193125-25-129309 |
Segments= Corporate Services; |
|
|
0001193125-25-129309 |
20250430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-476000000.0000 |
CAD |
1 |
0001193125-25-129309 |
Impairment Of Financial Assets= Impaired Loans; Segments= Canadian Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20250430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-12000000.0000 |
CAD |
1 |
0001193125-25-129309 |
Impairment Of Financial Assets= Impaired Loans; Segments= Corporate Services; |
|
|
0001193125-25-129309 |
20250430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-2000000.0000 |
CAD |
1 |
0001193125-25-129309 |
Impairment Of Financial Assets= Impaired Loans; Segments= Wealth Management; |
|
|
0001193125-25-129309 |
20250430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-183000000.0000 |
CAD |
2 |
0001193125-25-129309 |
Impairment Of Financial Assets= Performing Loans; Segments= Canadian Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20250430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-189000000.0000 |
CAD |
2 |
0001193125-25-129309 |
Impairment Of Financial Assets= Performing Loans; Segments= United States Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20250430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-748000000.0000 |
CAD |
2 |
0001193125-25-129309 |
Segments= United States Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20240430 |
Increase Decrease Through Sharebased Payment Transactions |
9000000.0000 |
CAD |
1 |
ifrs/2024 |
Classes Of Share Capital= Ordinary Shares; |
|
|
0001193125-25-129309 |
20250430 |
Increase Decrease Through Transfers And Other Changes Equity |
-2000000.0000 |
CAD |
1 |
ifrs/2024 |
Components Of Equity= Noncontrolling Interests; |
|
|
0001193125-25-129309 |
20240430 |
Insurance Service Result |
198000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Insurance Service Result |
214000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Interest Expense On Deposits |
8454000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250131 |
Interest Expense On Other Financial Liabilities |
801000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Interest Expense On Securities Sold But Not Yet Repurchased And Securities Lent Or Sold Under Repurchase Agreements |
4563000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Interest Income On Deposits |
727000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250131 |
Interest Income On Loans And Advances To Customers |
10121000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Interest Income On Securities |
7155000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Interest Income On Securities Borrowed Or Purchased Under Resale Agreement |
3229000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Lending Fees Revenue |
388000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20241031 |
Loans Net Of Allowance For Credit Losses |
678016000000.0000 |
CAD |
0 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Loans To Business And Government |
14000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Categories Of Financial Assets= Financial Assets At Fair Value Through Other Comprehensive Income Category; |
|
|
0001193125-25-129309 |
20240430 |
Maturities Of Securities Other Than Trading Classified As Investing Activities |
13089000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20241031 |
Noncontrolling Interests |
36000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Noncontrolling Interests |
38000000.0000 |
CAD |
0 |
ifrs/2024 |
Significant Investments In Subsidiaries= Bank Of The West; |
|
|
0001193125-25-129309 |
20240430 |
Non Interest Expense Other |
411000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Non Interest Expense Other |
256000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Non Interest Expense Other |
592000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20241031 |
Non Trading Securities At Fair Value Through Profit Or Loss |
1087000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Levels Of Fair Value Hierarchy= Level1 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Non Trading Securities At Fair Value Through Profit Or Loss |
13043000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Non Trading Securities At Fair Value Through Profit Or Loss |
4934000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Non Trading Securities At Fair Value Through Profit Or Loss |
19929000000.0000 |
CAD |
0 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Non Trading Securities At Fair Value Through Profit Or Loss |
0.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= N H A M B S U S Agency M B S And C M O; Levels Of Fair Value Hierarchy= Level1 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Non Trading Securities At Fair Value Through Profit Or Loss |
0.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= United States Federal Government Securities; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Non Trading Securities At Fair Value Through Profit Or Loss |
13716000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20240430 |
Other Comprehensive Income |
345000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Other Comprehensive Income Net Of Tax Cash Flow Hedges |
1239000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Other Comprehensive Income Net Of Tax Change In Fair Value Of Financial Liability Attributable To Change In Credit Risk Of Liability |
-783000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Other Comprehensive Income Net Of Tax Financial Assets Measured At Fair Value Through Other Comprehensive Income |
266000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Other Comprehensive Income That Will Not Be Reclassified To Profit Or Loss Net Of Tax |
-313000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Other Comprehensive Income That Will Not Be Reclassified To Profit Or Loss Net Of Tax |
41000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20241031 |
Other Liabilities |
2929000000.0000 |
CAD |
0 |
ifrs/2024 |
Fair Value Measurement= Not Carried At Fair Value; Measurement= At Carrying Value; |
|
|
0001193125-25-129309 |
20241031 |
Other Liabilities |
2669000000.0000 |
CAD |
0 |
ifrs/2024 |
Fair Value Measurement= Not Carried At Fair Value; Measurement= At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Other Liabilities |
35887000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20241031 |
Other Miscellaneous Liabilities |
334544000000.0000 |
CAD |
0 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Payable To Brokers Dealers And Clients |
48732000000.0000 |
CAD |
0 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Premises And Equipment Related Expenses |
1032000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Premises And Equipment Related Expenses |
2008000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Premises And Equipment Related Expenses |
1086000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Premises And Equipment Related Expenses |
2172000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Proceeds From Issue Of Ordinary Shares |
64000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Profit Loss |
852000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= Bmo Capital Markets; |
|
|
0001193125-25-129309 |
20240430 |
Profit Loss |
1793000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= Canadian Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20240430 |
Profit Loss |
1103000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= United States Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20250430 |
Profit Loss |
431000000.0000 |
CAD |
1 |
ifrs/2024 |
Segments= Bmo Capital Markets; |
|
|
0001193125-25-129309 |
20250430 |
Profit Loss |
4100000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Profit Loss |
1676000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= Canadian Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20250430 |
Profit Loss Attributable To Noncontrolling Interests |
5000000.0000 |
CAD |
1 |
ifrs/2024 |
Segments= United States Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20240430 |
Profit Loss Attributable To Owners Of Parent |
539000000.0000 |
CAD |
1 |
ifrs/2024 |
Segments= United States Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20240430 |
Profit Loss Attributable To Owners Of Parent |
-1152000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= Corporate Services; |
|
|
0001193125-25-129309 |
20250430 |
Profit Loss Attributable To Owners Of Parent |
1121000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= United States Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20250430 |
Profit Loss Before Tax |
2606000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Purchase Of Property Plant And Equipment Intangible Assets Other Than Goodwill Investment Property And Other Noncurrent Assets |
719000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Reclassification Adjustments On Cash Flow Hedges Net Of Tax |
-525000000.0000 |
CAD |
2 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Incomeloss On Cash Flow Hedges Net Of Taxes; |
|
|
0001193125-25-129309 |
20250430 |
Reclassification Adjustments On Financial Assets Measured At Fair Value Through Other Comprehensive Income Net Of Tax |
15000000.0000 |
CAD |
1 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Income Loss On Fair Value Through Other Comprehensive Income Securities Net Of Taxes; |
|
|
0001193125-25-129309 |
20250430 |
Reduction Of Issued Capital |
0.0000 |
CAD |
1 |
ifrs/2024 |
Classes Of Share Capital= Preferred Shares And Other Equity Instruments; |
|
|
0001193125-25-129309 |
20240430 |
Revenue |
1661000000.0000 |
CAD |
1 |
ifrs/2024 |
Segments= Bmo Capital Markets; |
|
|
0001193125-25-129309 |
20240430 |
Revenue |
1393000000.0000 |
CAD |
1 |
ifrs/2024 |
Segments= Wealth Management; |
|
|
0001193125-25-129309 |
20250430 |
Revenue |
1779000000.0000 |
CAD |
1 |
ifrs/2024 |
Segments= Bmo Capital Markets; |
|
|
0001193125-25-129309 |
20250430 |
Revenue |
17945000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Reverse Repurchase Agreements And Cash Collateral On Securities Borrowed |
119487000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Sale Or Issue Of Treasury Shares |
7000000.0000 |
CAD |
1 |
ifrs/2024 |
Components Of Equity= Share Premium; |
|
|
0001193125-25-129309 |
20240430 |
Sale Or Purchase Of Treasury Shares |
8000000.0000 |
CAD |
2 |
0001193125-25-129309 |
Classes Of Share Capital= Ordinary Shares; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Amortized Cost Net Of Allowances |
180000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= U S State Municipal And Agencies Debt; Measurement= At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Amortized Cost Net Of Allowances |
1469000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Canadian Federal Government; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Amortized Cost Net Of Allowances |
5754000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Canadian Provincial And Municipal Governments; Measurement= At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Amortized Cost Net Of Allowances |
40603000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Us Federal Government; Measurement= At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Amortized Cost Net Of Allowances |
170000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= U S State Municipal And Agencies Debt; Measurement= At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Amortized Cost Net Of Allowances |
100269000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Fair Value Measurement= Not Carried At Fair Value; Measurement= At Carrying Value; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
17033000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Us Federal Government; Classes Of Financial Assets= Financial Assets At Amortised Cost; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
93728000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Assets= Financial Assets At Amortised Cost; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
5068000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Us States Municipalities And Agencies; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
-18000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Corporate Debt; Classes Of Financial Assets= Gross Unrealized Losses; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
28000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Corporate Equity; Classes Of Financial Assets= Gross Unrealized Gains; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
23244000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= N H A M B S U S Agency M B S And C M O; Classes Of Financial Assets= Financial Assets At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
235000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= N H A M B S U S Agency M B S And C M O; Classes Of Financial Assets= Gross Unrealized Gains; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
45000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Other Governments; Classes Of Financial Assets= Gross Unrealized Gains; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
-48000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Us Federal Government; Classes Of Financial Assets= Gross Unrealized Losses; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
0.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Canadian Federal Government; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
23244000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= N H A M B S U S Agency M B S And C M O; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
189000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Securitization And Structured Entities Liabilities |
40164000000.0000 |
CAD |
0 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20241031 |
Securitization And Structured Entities Liabilities |
18314000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Categories Of Financial Liabilities= Financial Liabilities At Fair Value Through Profit Or Loss Category; |
|
|
0001193125-25-129309 |
20250430 |
Securitization And Structured Entities Liabilities |
51936000000.0000 |
CAD |
0 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Share Issue Related Cost |
6000000.0000 |
CAD |
1 |
ifrs/2024 |
Components Of Equity= Retained Earnings; |
|
|
0001193125-25-129309 |
20250430 |
Share Of Profit Loss Of Associates And Joint Ventures Accounted For Using Equity Method |
-2000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Subordinated Liabilities |
9740000000.0000 |
CAD |
0 |
ifrs/2024 |
Fair Value Measurement= Not Carried At Fair Value; Measurement= At Carrying Value; |
|
|
0001193125-25-129309 |
20241031 |
Trading Securities At Fair Value Through Profit Or Loss |
5493000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Loans Held For Trading; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Trading Securities At Fair Value Through Profit Or Loss |
40995000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= N H A M B S U S Agency M B S And C M O; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Trading Securities At Fair Value Through Profit Or Loss |
565000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Us States Municipalities And Agencies; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Trading Securities At Fair Value Through Profit Or Loss |
0.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Loans Held For Trading; Levels Of Fair Value Hierarchy= Level1 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Trading Securities At Fair Value Through Profit Or Loss |
1096000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Us States Municipalities And Agencies; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Trading Securities At Fair Value Through Profit Or Loss |
56511000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Levels Of Fair Value Hierarchy= Level1 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20240430 |
Adjustments For Increase Decrease In Deposits From Customers |
29208000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Adjustment For Increase Decrease In Accrued Interest Receivable And Payable |
-427000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Adjustment For Increase Decrease In Accrued Interest Receivable And Payable |
415000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Adjustments For Amortization Of Intangible Assets |
555000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Adjustments For Decrease Increase In Loans And Advances To Customers |
-4152000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Adjustments For Depreciation Of Other Assets |
7000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Adjustments For Increase Decrease In Repurchase Agreements And Cash Collateral On Securities Lent |
769000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Adjustments For Increase Decrease In Derivative Financial Liabilities |
-4759000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Adjustments For Increase Decrease In Derivative Financial Liabilities |
-2187000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Adjustments For Increase Decrease In Repurchase Agreements And Cash Collateral On Securities Lent |
9029000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Adjustments For Net Increase Decrease In Other Items And Accruals Net |
-3408000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Adjustments For Undistributed Profits Of Investments Accounted For Using Equity Method |
47000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Advertising And Business Development |
210000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Allowance Account For Credit Losses Of Loans |
4960000000.0000 |
CAD |
0 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20241031 |
Cash And Cash Equivalents |
65098000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Communication Expense |
181000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Consumer Loans |
91286000000.0000 |
CAD |
0 |
ifrs/2024 |
Fair Value Measurement= Not Carried At Fair Value; Measurement= At Carrying Value; |
|
|
0001193125-25-129309 |
20250430 |
Deposit And Payment Service Charges Revenue |
898000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20241031 |
Deposits1 |
320767000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Source Of Deposit= Personal Deposit; |
|
|
0001193125-25-129309 |
20250430 |
Deposits1 |
123455000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Liabilities= Deposits More Than One Hundred Thousand Dollar; Geographical Areas= C A; Maturity= Later Than One Year; |
|
|
0001193125-25-129309 |
20250430 |
Deposits1 |
51934000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Source Of Deposit= Deposits At Fair Value Through Profit And Loss; |
|
|
0001193125-25-129309 |
20250430 |
Derivative Financial Assets |
1000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Credit Default Swaps; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Derivative Financial Assets |
21000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Foreign Exchange Contracts; Levels Of Fair Value Hierarchy= Level1 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Derivative Financial Liabilities |
1000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Credit Default Swaps; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Derivative Financial Liabilities |
58093000000.0000 |
CAD |
0 |
ifrs/2024 |
Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Derivative Financial Liabilities |
7000000.0000 |
CAD |
0 |
ifrs/2024 |
Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Derivative Financial Liabilities |
57727000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Derivative Financial Liabilities |
1804000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Commodity Contracts; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Derivative Financial Liabilities |
0.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Credit Default Swaps; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Derivative Financial Liabilities |
0.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Credit Default Swaps; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Derivative Financial Liabilities |
16313000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Equity Contracts; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Derivative Financial Liabilities |
0.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Foreign Exchange Contracts; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Derivative Financial Liabilities |
10460000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Financial Instruments= Interest Rate Contracts; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Derivative Financial Liabilities |
255000000.0000 |
CAD |
0 |
ifrs/2024 |
Levels Of Fair Value Hierarchy= Level1 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Dividends Paid Classified As Financing Activities |
2507000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Dividends Paid Ordinary Shares |
2310000000.0000 |
CAD |
2 |
ifrs/2024 |
Components Of Equity= Retained Earnings; |
|
|
0001193125-25-129309 |
20240430 |
Dividends Received Classified As Operating Activities |
642000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Dividends Recognised As Distributions To Owners Per Share |
0.8500 |
CAD |
2 |
ifrs/2024 |
Classes Of Share Capital= Class B Series Forty Four Preferred Shares; |
|
|
0001193125-25-129309 |
20250430 |
Dividends Recognised As Distributions To Owners Per Share |
0.3800 |
CAD |
2 |
ifrs/2024 |
Classes Of Share Capital= Class Bseries Thirty Three Preferred Shares; |
|
|
0001193125-25-129309 |
20240430 |
Employee Benefits Expense |
2619000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240131 |
Equity |
4641000000.0000 |
CAD |
0 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Income On Translation Of Net Foreign Operations Net Of Taxes; |
|
|
0001193125-25-129309 |
20240430 |
Equity |
44772000000.0000 |
CAD |
0 |
ifrs/2024 |
Components Of Equity= Retained Earnings; |
|
|
0001193125-25-129309 |
20240430 |
Equity |
350000000.0000 |
CAD |
0 |
ifrs/2024 |
Components Of Equity= Share Premium; |
|
|
0001193125-25-129309 |
20241031 |
Equity |
650000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Share Capital= Class B Series Fifty Two Preferred Shares; |
|
|
0001193125-25-129309 |
20241031 |
Equity |
400000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Share Capital= Class B Series Forty Four Preferred Shares; |
|
|
0001193125-25-129309 |
20241031 |
Equity |
200000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Share Capital= Class Bseries Thirty Three Preferred Shares; |
|
|
0001193125-25-129309 |
20241031 |
Equity |
46469000000.0000 |
CAD |
0 |
ifrs/2024 |
Components Of Equity= Retained Earnings; |
|
|
0001193125-25-129309 |
20250131 |
Equity |
7787000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Share Capital= Preferred Shares And Other Equity Instruments; |
|
|
0001193125-25-129309 |
20250131 |
Equity |
896000000.0000 |
CAD |
0 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Income On Pension And Other Employee Future Benefit Plans Net Of Taxes; |
|
|
0001193125-25-129309 |
20250131 |
Equity |
47243000000.0000 |
CAD |
0 |
ifrs/2024 |
Components Of Equity= Retained Earnings; |
|
|
0001193125-25-129309 |
20250430 |
Equity |
6037000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Share Capital= Other Equity Instruments; |
|
|
0001193125-25-129309 |
20250430 |
Equity |
750000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Share Capital= Other Equity Instruments; Debt Instrument1= Five Point Six Two Five Percentage Limited Recourse Capital Notes Series Two; |
|
|
0001193125-25-129309 |
20250430 |
Equity |
38000000.0000 |
CAD |
0 |
ifrs/2024 |
Components Of Equity= Noncontrolling Interests; |
|
|
0001193125-25-129309 |
20250430 |
Gains Losses On Cash Flow Hedges Net Of Tax |
1193000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Gains Losses On Exchange Differences On Translation Net Of Tax |
-398000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Gains Losses On Financial Assets Measured At Fair Value Through Other Comprehensive Income Net Of Tax |
-17000000.0000 |
CAD |
2 |
ifrs/2024 |
Classes Of Assets= Debt Securities; |
|
|
0001193125-25-129309 |
20240430 |
Gains Losses On Hedges Of Net Investments In Foreign Operations Net Of Tax |
-266000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Gains Losses On Hedges Of Net Investments In Foreign Operations Net Of Tax |
747000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
Net of income tax (provision) recovery of $(287) million, $208 million, $103 million for the three months ended and $(79) million and $(23) million for the six months ended, respectively. |
0001193125-25-129309 |
20240430 |
Gains Losses Recognised In Other Comprehensive Income Fair Value Measurement Entitys Own Equity Instruments |
8000000.0000 |
CAD |
2 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Income Loss On Fair Value Through Other Comprehensive Income Securities Net Of Taxes; |
|
|
0001193125-25-129309 |
20250430 |
Gains Losses Recognised In Other Comprehensive Income Fair Value Measurement Entitys Own Equity Instruments |
0.0000 |
CAD |
1 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Income Loss On Fair Value Through Other Comprehensive Income Securities Net Of Taxes; |
|
|
0001193125-25-129309 |
20250430 |
Gains Losses Recognised In Other Comprehensive Income Fair Value Measurement Entitys Own Equity Instruments |
-11000000.0000 |
CAD |
2 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Income Loss On Fair Value Through Other Comprehensive Income Securities Net Of Taxes; |
|
|
0001193125-25-129309 |
20250131 |
Income Tax Expense Continuing Operations |
690000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Income Tax Relating To Changes In Fair Value Of Financial Liability Attributable To Change In Credit Risk Of Liability Of Other Comprehensive Income |
-137000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Income Tax Relating To Remeasurements Of Defined Benefit Plans Of Other Comprehensive Income |
-4000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-61000000.0000 |
CAD |
1 |
0001193125-25-129309 |
Impairment Of Financial Assets= Impaired Loans; Segments= Bmo Capital Markets; |
|
|
0001193125-25-129309 |
20240430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
13000000.0000 |
CAD |
1 |
0001193125-25-129309 |
Impairment Of Financial Assets= Performing Loans; Segments= Wealth Management; |
|
|
0001193125-25-129309 |
20240430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-9000000.0000 |
CAD |
2 |
0001193125-25-129309 |
Impairment Of Financial Assets= Impaired Loans; Segments= Wealth Management; |
|
|
0001193125-25-129309 |
20240430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-201000000.0000 |
CAD |
2 |
0001193125-25-129309 |
Impairment Of Financial Assets= Performing Loans; |
|
|
0001193125-25-129309 |
20240430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-30000000.0000 |
CAD |
2 |
0001193125-25-129309 |
Segments= Bmo Capital Markets; |
|
|
0001193125-25-129309 |
20250430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-247000000.0000 |
CAD |
1 |
0001193125-25-129309 |
Impairment Of Financial Assets= Impaired Loans; Segments= United States Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20250430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-73000000.0000 |
CAD |
1 |
0001193125-25-129309 |
Impairment Of Financial Assets= Performing Loans; Segments= Bmo Capital Markets; |
|
|
0001193125-25-129309 |
20250430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-63000000.0000 |
CAD |
2 |
0001193125-25-129309 |
Impairment Of Financial Assets= Impaired Loans; Segments= Bmo Capital Markets; |
|
|
0001193125-25-129309 |
20250430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-441000000.0000 |
CAD |
2 |
0001193125-25-129309 |
Impairment Of Financial Assets= Performing Loans; |
|
|
0001193125-25-129309 |
20250430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-1150000000.0000 |
CAD |
2 |
0001193125-25-129309 |
Segments= Canadian Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20240430 |
Increase Decrease In Cash And Cash Equivalents |
5210000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Interest Expense |
20002000000.0000 |
CAD |
2 |
ifrs/2024 |
Liabilities Measurement= Interest Expense For Liabilities Carried At Amortized Cost; |
|
|
0001193125-25-129309 |
20250430 |
Interest Expense On Other Financial Liabilities |
1601000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Interest Expense On Securities Sold But Not Yet Repurchased And Securities Lent Or Sold Under Repurchase Agreements |
2374000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Interest Expense On Subordinated Debt Instruments |
115000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Interest Income Expense Net1 |
9236000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Interest Income On Securities |
8098000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250131 |
Lending Fees Revenue |
362000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20241031 |
Loans Before Allowance For Loan Losses |
682372000000.0000 |
CAD |
0 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Maturities Of Securities Other Than Trading Classified As Investing Activities |
8682000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20241031 |
Noncontrolling Interests |
36000000.0000 |
CAD |
0 |
ifrs/2024 |
Significant Investments In Subsidiaries= Bank Of The West; |
|
|
0001193125-25-129309 |
20240430 |
Non Interest Expense1 |
10233000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Non Interest Income1 |
3582000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20241031 |
Non Trading Securities At Fair Value Through Profit Or Loss |
166000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Canadian Federal Government; Levels Of Fair Value Hierarchy= Level1 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Non Trading Securities At Fair Value Through Profit Or Loss |
19064000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Non Trading Securities At Fair Value Through Profit Or Loss |
0.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Canadian Federal Government; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Non Trading Securities At Fair Value Through Profit Or Loss |
956000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Canadian Federal Government; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Non Trading Securities At Fair Value Through Profit Or Loss |
6963000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Corporate Equity; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Non Trading Securities At Fair Value Through Profit Or Loss |
19929000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Other Comprehensive Income Net Of Tax Cash Flow Hedges |
1718000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Other Miscellaneous Liabilities |
386429000000.0000 |
CAD |
0 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250131 |
Other Revenues Losses |
104000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Other Comprehensive Income Net Of Taxes Translation Of Net Foreign Operations |
-337000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Other Comprehensive Income Net Of Tax Financial Assets Measured At Fair Value Through Other Comprehensive Income |
-38000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Other Comprehensive Income Net Of Tax Gains Losses From Investments In Equity Instruments |
8000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
Net of income tax (provision) recovery of $nil million, $4 million, $nil million for the three months ended and $4 million and $(3) million for the six months ended, respectively. |
0001193125-25-129309 |
20240430 |
Other Comprehensive Income Net Of Tax Gains Losses On Remeasurements Of Defined Benefit Plans |
-48000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Other Comprehensive Income That Will Not Be Reclassified To Profit Or Loss Net Of Tax |
118000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Payments Of Lease Liabilities Classified As Financing Activities |
93000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Payments Of Lease Liabilities Classified As Financing Activities |
138000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Payments To Repurchase Of Common Shares For Cancellation |
1136000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Proceeds From Issue Of Ordinary Shares |
31000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Proceeds From Sale Purchase Or Issue Of Treasury Shares |
22000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Proceeds From Sales Of Securities Other Than Trading Classified As Investing Activities |
3984000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250131 |
Professional Fees Expense |
146000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Profit Loss |
872000000.0000 |
CAD |
1 |
ifrs/2024 |
Segments= Canadian Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20240430 |
Profit Loss |
560000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= Wealth Management; |
|
|
0001193125-25-129309 |
20250430 |
Profit Loss |
1018000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= Bmo Capital Markets; |
|
|
0001193125-25-129309 |
20250430 |
Profit Loss |
730000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= Wealth Management; |
|
|
0001193125-25-129309 |
20240430 |
Profit Loss Attributable To Noncontrolling Interests |
6000000.0000 |
CAD |
2 |
ifrs/2024 |
Components Of Equity= Noncontrolling Interests; |
|
|
0001193125-25-129309 |
20250430 |
Profit Loss Attributable To Noncontrolling Interests |
-3000000.0000 |
CAD |
1 |
ifrs/2024 |
Segments= Corporate Services; |
|
|
0001193125-25-129309 |
20250430 |
Profit Loss Attributable To Noncontrolling Interests |
6000000.0000 |
CAD |
2 |
ifrs/2024 |
Components Of Equity= Noncontrolling Interests; |
|
|
0001193125-25-129309 |
20240430 |
Profit Loss Attributable To Owners Of Parent |
852000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= Bmo Capital Markets; |
|
|
0001193125-25-129309 |
20250430 |
Profit Loss Attributable To Owners Of Parent |
1960000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Profit Loss Attributable To Owners Of Parent |
361000000.0000 |
CAD |
1 |
ifrs/2024 |
Segments= Wealth Management; |
|
|
0001193125-25-129309 |
20250430 |
Profit Loss Attributable To Owners Of Parent |
1676000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= Canadian Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20240430 |
Profit Loss Before Tax |
1365000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= United States Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20250430 |
Profit Loss Before Tax |
1077000000.0000 |
CAD |
1 |
ifrs/2024 |
Segments= Canadian Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20250430 |
Profit Loss Before Tax |
688000000.0000 |
CAD |
1 |
ifrs/2024 |
Segments= United States Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20250430 |
Profit Loss Before Tax |
1350000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= Bmo Capital Markets; |
|
|
0001193125-25-129309 |
20240430 |
Purchase Of Property Plant And Equipment Intangible Assets Other Than Goodwill Investment Property And Other Noncurrent Assets |
327000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Reclassification Adjustments On Cash Flow Hedges Net Of Tax |
-525000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Reclassification Adjustments On Financial Assets Measured At Fair Value Through Other Comprehensive Income Net Of Tax |
40000000.0000 |
CAD |
1 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Income Loss On Fair Value Through Other Comprehensive Income Securities Net Of Taxes; |
|
|
0001193125-25-129309 |
20250430 |
Reduction Of Issued Capital |
300000000.0000 |
CAD |
2 |
ifrs/2024 |
Classes Of Share Capital= Preferred Shares And Other Equity Instruments; |
|
|
0001193125-25-129309 |
20241031 |
Retained Earnings |
46469000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Revenue |
15646000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Revenue |
-765000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= Corporate Services; |
|
|
0001193125-25-129309 |
20250131 |
Revenue |
9266000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Revenue |
2974000000.0000 |
CAD |
1 |
ifrs/2024 |
Segments= Canadian Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20250430 |
Revenue |
3852000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= Bmo Capital Markets; |
|
|
0001193125-25-129309 |
20250430 |
Revenue |
5204000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= United States Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20240430 |
Revenue From Interest |
32018000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Sale Or Issue Of Treasury Shares |
11000000.0000 |
CAD |
2 |
ifrs/2024 |
Components Of Equity= Share Premium; |
|
|
0001193125-25-129309 |
20250430 |
Sale Or Issue Of Treasury Shares |
8000000.0000 |
CAD |
2 |
ifrs/2024 |
Components Of Equity= Share Premium; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Amortized Cost Net Of Allowances |
115188000000.0000 |
CAD |
0 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20241031 |
Securities At Amortized Cost Net Of Allowances |
4216000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Canadian Provincial And Municipal Governments; Measurement= At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Amortized Cost Net Of Allowances |
675000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Other Governments; Measurement= At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Amortized Cost Net Of Allowances |
1458000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Canadian Federal Government; Measurement= At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Amortized Cost Net Of Allowances |
8059000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Corporate Debt; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Amortized Cost Net Of Allowances |
168000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= U S State Municipal And Agencies Debt; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
4370000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Corporate Debt; Classes Of Financial Assets= Financial Assets At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
5643000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Other Governments; Classes Of Financial Assets= Financial Assets At Amortised Cost; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
-7000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Other Governments; Classes Of Financial Assets= Gross Unrealized Losses; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
5125000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= U S State Municipal And Agencies Debt; Classes Of Financial Assets= Financial Assets At Amortised Cost; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
24000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= U S State Municipal And Agencies Debt; Classes Of Financial Assets= Gross Unrealized Gains; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
-686000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Assets= Gross Unrealized Losses; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
30965000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Canadian Federal Government; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
34177000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Canadian Federal Government; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
4370000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Corporate Debt; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
90288000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
93702000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
4643000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Other Governments; Classes Of Financial Assets= Financial Assets At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Share Of Profit Loss Of Associates And Joint Ventures Accounted For Using Equity Method |
47000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
5404000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= U S State Municipal And Agencies Debt; Classes Of Financial Assets= Financial Assets At Amortised Cost; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
-74000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= U S State Municipal And Agencies Debt; Classes Of Financial Assets= Gross Unrealized Losses; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
44610000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Canadian Federal Government; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
4467000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Corporate Debt; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
0.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= N H A M B S U S Agency M B S And C M O; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
4643000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Other Government Securities; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20240430 |
Securities Gains Losses Other Than Trading |
81000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250131 |
Securities Gains Losses Other Than Trading |
58000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20241031 |
Securities Sold But Not Yet Purchased |
35030000000.0000 |
CAD |
0 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Securitization And Structured Entities Liabilities |
21256000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Fair Value Measurement= Not Carried At Fair Value; Measurement= At Carrying Value; |
|
|
0001193125-25-129309 |
20240430 |
Trading Income Expense |
599000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20241031 |
Trading Securities At Fair Value Through Profit Or Loss |
3849000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Other Government Securities; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Trading Securities At Fair Value Through Profit Or Loss |
21560000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= United States Federal Government Securities; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Trading Securities At Fair Value Through Profit Or Loss |
24248000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= United States Federal Government Securities; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Trading Securities At Fair Value Through Profit Or Loss |
99311000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Trading Securities At Fair Value Through Profit Or Loss |
5000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= N H A M B S U S Agency M B S And C M O; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Trading Securities At Fair Value Through Profit Or Loss |
28042000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= United States Federal Government Securities; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Trading Securities At Fair Value Through Profit Or Loss |
0.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Us States Municipalities And Agencies; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20240430 |
Underwriting And Advisory Fees Income |
371000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20241031 |
Equity |
4000000.0000 |
CAD |
0 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Income Loss On Own Credit Risk On Financial Liabilities Designated At Fair Value Net Of Taxes; |
|
|
0001193125-25-129309 |
20250430 |
Equity |
1356000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Share Capital= Other Equity Instruments; Debt Instrument1= Seven Point Seven Percentage Limited Recourse Capital Notes Series Four; |
|
|
0001193125-25-129309 |
20250430 |
Equity |
868000000.0000 |
CAD |
0 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Income On Pension And Other Employee Future Benefit Plans Net Of Taxes; |
|
|
0001193125-25-129309 |
20241031 |
Equity Attributable To Owners Of Parent |
84250000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Equity Attributable To Owners Of Parent |
85795000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Fee And Commission Income |
275000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Gains Losses On Exchange Differences On Translation Net Of Tax |
1482000000.0000 |
CAD |
1 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Income On Translation Of Net Foreign Operations Net Of Taxes; |
|
|
0001193125-25-129309 |
20240430 |
Gains Losses On Exchange Differences On Translation Net Of Tax |
-398000000.0000 |
CAD |
2 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Income On Translation Of Net Foreign Operations Net Of Taxes; |
|
|
0001193125-25-129309 |
20250131 |
Gains Losses On Exchange Differences On Translation Net Of Tax |
2612000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Gains Losses On Financial Assets Measured At Fair Value Through Other Comprehensive Income Net Of Tax |
40000000.0000 |
CAD |
1 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Income Loss On Fair Value Through Other Comprehensive Income Securities Net Of Taxes; |
|
|
0001193125-25-129309 |
20240430 |
Gains Losses On Financial Assets Measured At Fair Value Through Other Comprehensive Income Net Of Tax |
311000000.0000 |
CAD |
2 |
ifrs/2024 |
Classes Of Assets= Debt Securities; |
|
Net of income tax (provision) recovery of $50 million, $(45) million, $(14) million for the three months ended and $5 million and $(113) million for the six months ended, respectively. |
0001193125-25-129309 |
20250430 |
Gains Losses On Financial Assets Measured At Fair Value Through Other Comprehensive Income Net Of Tax |
-137000000.0000 |
CAD |
1 |
ifrs/2024 |
Classes Of Assets= Debt Securities; |
|
|
0001193125-25-129309 |
20240430 |
Income Tax Expense Continuing Operations |
122000000.0000 |
CAD |
1 |
ifrs/2024 |
Segments= Bmo Capital Markets; |
|
|
0001193125-25-129309 |
20250430 |
Income Tax Expense Continuing Operations |
1334000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Income Tax Relating To Financial Assets Measured At Fair Value Through Other Comprehensive Income |
5000000.0000 |
CAD |
2 |
ifrs/2024 |
Classes Of Assets= Debt Securities; |
|
|
0001193125-25-129309 |
20240430 |
Income Tax Relating To Investments In Equity Instruments Of Other Comprehensive Income |
18000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Income Tax Relating To Investments In Equity Instruments Of Other Comprehensive Income |
3000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Income Tax Relating To Reclassification To Earnings On Fair Value Through Other Comprehensive Income Securities |
8000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-52000000.0000 |
CAD |
1 |
0001193125-25-129309 |
Segments= Bmo Capital Markets; |
|
|
0001193125-25-129309 |
20240430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-1131000000.0000 |
CAD |
2 |
0001193125-25-129309 |
Impairment Of Financial Assets= Impaired Loans; |
|
|
0001193125-25-129309 |
20240430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-72000000.0000 |
CAD |
2 |
0001193125-25-129309 |
Impairment Of Financial Assets= Impaired Loans; Segments= Bmo Capital Markets; |
|
|
0001193125-25-129309 |
20240430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-100000000.0000 |
CAD |
2 |
0001193125-25-129309 |
Impairment Of Financial Assets= Performing Loans; Segments= United States Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20240430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-571000000.0000 |
CAD |
2 |
0001193125-25-129309 |
Segments= United States Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20250430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-289000000.0000 |
CAD |
1 |
0001193125-25-129309 |
Impairment Of Financial Assets= Performing Loans; |
|
|
0001193125-25-129309 |
20250430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
9000000.0000 |
CAD |
1 |
0001193125-25-129309 |
Impairment Of Financial Assets= Performing Loans; Segments= Corporate Services; |
|
|
0001193125-25-129309 |
20250430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-32000000.0000 |
CAD |
2 |
0001193125-25-129309 |
Impairment Of Financial Assets= Impaired Loans; Segments= Corporate Services; |
|
|
0001193125-25-129309 |
20250430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-3000000.0000 |
CAD |
2 |
0001193125-25-129309 |
Impairment Of Financial Assets= Impaired Loans; Segments= Wealth Management; |
|
|
0001193125-25-129309 |
20250430 |
Other Revenues Losses |
-62000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-12000000.0000 |
CAD |
2 |
0001193125-25-129309 |
Segments= Corporate Services; |
|
|
0001193125-25-129309 |
20250430 |
Increase Decrease In Allowance Account For Credit Losses Of Loans |
-8000000.0000 |
CAD |
2 |
0001193125-25-129309 |
Segments= Wealth Management; |
|
|
0001193125-25-129309 |
20240430 |
Increase Decrease In Cash And Cash Equivalents |
1935000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Increase Decrease In Cash And Cash Equivalents |
264000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Increase Decrease Through Dividends And Distributions On Other Equity In Retained Earnings |
143000000.0000 |
CAD |
1 |
0001193125-25-129309 |
Components Of Equity= Retained Earnings; |
|
|
0001193125-25-129309 |
20250430 |
Increase Decrease Through Exercise Of Options |
-3000000.0000 |
CAD |
1 |
ifrs/2024 |
Components Of Equity= Share Premium; |
|
|
0001193125-25-129309 |
20250430 |
Increase Decrease Through Repurchased For Cancellation |
-229000000.0000 |
CAD |
1 |
0001193125-25-129309 |
Classes Of Share Capital= Ordinary Shares; |
|
|
0001193125-25-129309 |
20250430 |
Increase Decrease Through Sharebased Payment Transactions |
71000000.0000 |
CAD |
2 |
ifrs/2024 |
Classes Of Share Capital= Ordinary Shares; |
|
|
0001193125-25-129309 |
20240430 |
Insurance Investment Result |
25000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Insurance Investment Result |
-4000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Insurance Investment Result |
56000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Interest Expense |
11649000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Interest Expense |
22782000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Interest Expense On Deposits |
16838000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Interest Income Expense Net1 |
4515000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Interest Income Expense Net1 |
10495000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Interest Income On Securities |
3716000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Interest Income On Securities Borrowed Or Purchased Under Resale Agreement |
1672000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20241031 |
Issued Capital |
23921000000.0000 |
CAD |
0 |
ifrs/2024 |
Classes Of Share Capital= Ordinary Shares; |
|
|
0001193125-25-129309 |
20250430 |
Lending Fees Revenue |
324000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20241031 |
Liabilities |
1325361000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Liabilities |
1354436000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Mutual Fund Revenue |
323000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Noncontrolling Interests |
38000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Non Interest Expense1 |
5019000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Non Interest Expense Other |
1176000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250131 |
Non Interest Expense Other |
336000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20241031 |
Non Trading Securities At Fair Value Through Profit Or Loss |
4899000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Corporate Equity; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Non Trading Securities At Fair Value Through Profit Or Loss |
6730000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Corporate Equity; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Non Trading Securities At Fair Value Through Profit Or Loss |
1527000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= United States Federal Government Securities; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Non Trading Securities At Fair Value Through Profit Or Loss |
12788000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Categories Of Financial Assets= Related To Securities Held By Insurance Subsidiaries; |
|
|
0001193125-25-129309 |
20250430 |
Non Trading Securities At Fair Value Through Profit Or Loss |
0.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Canadian Government Provincia; Levels Of Fair Value Hierarchy= Level1 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Non Trading Securities At Fair Value Through Profit Or Loss |
1588000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Canadian Government Provincia; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Non Trading Securities At Fair Value Through Profit Or Loss |
8918000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Corporate Debt; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Non Trading Securities At Fair Value Through Profit Or Loss |
786000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Corporate Equity; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Non Trading Securities At Fair Value Through Profit Or Loss |
22000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= N H A M B S U S Agency M B S And C M O; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Non Trading Securities At Fair Value Through Profit Or Loss |
1482000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= United States Federal Government Securities; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Non Trading Securities At Fair Value Through Profit Or Loss |
920000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Levels Of Fair Value Hierarchy= Level1 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Other Comprehensive Income |
-1490000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Other Comprehensive Income Net Of Tax Change In Fair Value Of Financial Liability Attributable To Change In Credit Risk Of Liability |
-356000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Other Comprehensive Income Net Of Tax Change In Fair Value Of Financial Liability Attributable To Change In Credit Risk Of Liability |
58000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250131 |
Other Comprehensive Income Net Of Taxes Translation Of Net Foreign Operations |
2071000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20240430 |
Other Comprehensive Income Net Of Tax Gains Losses On Remeasurements Of Defined Benefit Plans |
43000000.0000 |
CAD |
1 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Income On Pension And Other Employee Future Benefit Plans Net Of Taxes; |
|
|
0001193125-25-129309 |
20250131 |
Other Comprehensive Income That Will Not Be Reclassified To Profit Or Loss Net Of Tax |
-77000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20241031 |
Other Liabilities |
36720000000.0000 |
CAD |
0 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Proceeds From Issue Of Preference Shares |
1350000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Proceeds From Issue Of Subordinated Liabilities |
1250000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Professional Fees Expense |
141000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Profit Loss |
-1150000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= Corporate Services; |
|
|
0001193125-25-129309 |
20250430 |
Profit Loss |
-158000000.0000 |
CAD |
1 |
ifrs/2024 |
Segments= Corporate Services; |
|
|
0001193125-25-129309 |
20250430 |
Profit Loss |
546000000.0000 |
CAD |
1 |
ifrs/2024 |
Segments= United States Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20250430 |
Profit Loss |
361000000.0000 |
CAD |
1 |
ifrs/2024 |
Segments= Wealth Management; |
|
|
0001193125-25-129309 |
20240430 |
Profit Loss Attributable To Noncontrolling Interests |
4000000.0000 |
CAD |
1 |
ifrs/2024 |
Components Of Equity= Noncontrolling Interests; |
|
|
0001193125-25-129309 |
20240430 |
Profit Loss Attributable To Noncontrolling Interests |
6000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Profit Loss Attributable To Owners Of Parent |
1862000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Revenue From Interest |
16164000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20250430 |
Revenue From Interest |
32277000000.0000 |
CAD |
2 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20240430 |
Profit Loss Attributable To Owners Of Parent |
1099000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= United States Personal And Commercial Banking; |
|
|
0001193125-25-129309 |
20240430 |
Profit Loss Attributable To Owners Of Parent |
560000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= Wealth Management; |
|
|
0001193125-25-129309 |
20250430 |
Profit Loss Attributable To Owners Of Parent |
1018000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= Bmo Capital Markets; |
|
|
0001193125-25-129309 |
20240430 |
Profit Loss Before Tax |
-450000000.0000 |
CAD |
1 |
ifrs/2024 |
Segments= Corporate Services; |
|
|
0001193125-25-129309 |
20240430 |
Purchase Of Securities Other Than Trading Classified As Investing Activities |
15917000000.0000 |
CAD |
1 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20241031 |
Receivable From Brokers Dealers And Clients |
31916000000.0000 |
CAD |
0 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Reclassification Adjustments On Financial Assets Measured At Fair Value Through Other Comprehensive Income Net Of Tax |
21000000.0000 |
CAD |
2 |
ifrs/2024 |
Components Of Equity= Accumulated Other Comprehensive Income Loss On Fair Value Through Other Comprehensive Income Securities Net Of Taxes; |
|
|
0001193125-25-129309 |
20240430 |
Revenue |
-288000000.0000 |
CAD |
1 |
ifrs/2024 |
Segments= Corporate Services; |
|
|
0001193125-25-129309 |
20240430 |
Revenue |
3250000000.0000 |
CAD |
2 |
ifrs/2024 |
Segments= Bmo Capital Markets; |
|
|
0001193125-25-129309 |
20240430 |
Sale Or Purchase Of Treasury Shares |
9000000.0000 |
CAD |
1 |
0001193125-25-129309 |
Classes Of Share Capital= Ordinary Shares; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Amortized Cost Net Of Allowances |
528000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Other Governments; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
303000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Canadian Federal Government; Classes Of Financial Assets= Gross Unrealized Gains; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
-18000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Canadian Federal Government; Classes Of Financial Assets= Gross Unrealized Losses; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
82000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Canadian Provincial And Municipal Governments; Classes Of Financial Assets= Gross Unrealized Gains; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
4391000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Corporate Debt; Classes Of Financial Assets= Financial Assets At Amortised Cost; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
177000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Corporate Equity; Classes Of Financial Assets= Financial Assets At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
100000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Us Federal Government; Classes Of Financial Assets= Gross Unrealized Gains; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
93702000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Assets= Financial Assets At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
660000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Assets= Gross Unrealized Gains; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
177000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Corporate Equity; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
21293000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= N H A M B S U S Agency M B S And C M O; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
-6000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Canadian Federal Government; Classes Of Financial Assets= Gross Unrealized Losses; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
-12000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Canadian Provincial And Municipal Governments; Classes Of Financial Assets= Gross Unrealized Losses; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
161000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Corporate Equity; Classes Of Financial Assets= Financial Assets At Amortised Cost; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
17324000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Us Federal Government; Classes Of Financial Assets= Financial Assets At Amortised Cost; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
290000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Assets= Us Federal Government; Classes Of Financial Assets= Gross Unrealized Gains; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
0.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Canadian Government Provincia; Levels Of Fair Value Hierarchy= Level1 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
5853000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Canadian Government Provincia; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
4467000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Corporate Debt; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
23244000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= N H A M B S U S Agency M B S And C M O; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
0.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Other Government Securities; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
0.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Us States Municipalities And Agencies; Levels Of Fair Value Hierarchy= Level1 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Securities At Fair Value Through Other Comprehensive Income Net Of Allowances |
0.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Us States Municipalities And Agencies; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20240430 |
Securities Gains Losses Other Than Trading |
94000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250430 |
Securities Gains Losses Other Than Trading |
124000000.0000 |
CAD |
2 |
0001193125-25-129309 |
|
|
|
0001193125-25-129309 |
20250131 |
Share Of Profit Loss Of Associates And Joint Ventures Accounted For Using Equity Method |
49000000.0000 |
CAD |
1 |
ifrs/2024 |
|
|
|
0001193125-25-129309 |
20241031 |
Subordinated Liabilities |
8377000000.0000 |
CAD |
0 |
ifrs/2024 |
Fair Value Measurement= Not Carried At Fair Value; Measurement= At Carrying Value; |
|
|
0001193125-25-129309 |
20241031 |
Trading Securities At Fair Value Through Profit Or Loss |
1272000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Canadian Federal Government; Levels Of Fair Value Hierarchy= Level1 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Trading Securities At Fair Value Through Profit Or Loss |
4000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Corporate Equity; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Trading Securities At Fair Value Through Profit Or Loss |
92000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Other Government Securities; Levels Of Fair Value Hierarchy= Level1 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Trading Securities At Fair Value Through Profit Or Loss |
69611000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Levels Of Fair Value Hierarchy= Level1 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Trading Securities At Fair Value Through Profit Or Loss |
4000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20241031 |
Trading Securities At Fair Value Through Profit Or Loss |
168926000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Trading Securities At Fair Value Through Profit Or Loss |
0.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Canadian Government Provincia; Levels Of Fair Value Hierarchy= Level3 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|
0001193125-25-129309 |
20250430 |
Trading Securities At Fair Value Through Profit Or Loss |
536000000.0000 |
CAD |
0 |
0001193125-25-129309 |
Classes Of Financial Instruments= Corporate Equity; Levels Of Fair Value Hierarchy= Level2 Of Fair Value Hierarchy; Measurement= Financial Assets Or Liabilities Measured At Fair Value; |
|
|