Bank of Nova Scotia
BNS
Royal Bank of Canada
RY
Bank of Montreal
BMO
4
Canadian Imperial Bank of Commerce
CM
5
The Toronto-Dominion Bank
TD
(Q2)Feb 28, 2025 | (Q1)Nov 30, 2024 | (FY)Aug 31, 2024 | (Q4)Aug 31, 2024 | (Q3)May 31, 2024 | (Q2)Feb 29, 2024 | (Q1)Nov 30, 2023 | (FY)Aug 31, 2023 | (Q4)Aug 31, 2023 | (Q3)May 31, 2023 | |
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Operating Cash Flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | -12.68%250.08M | -11.93%208.66M | 22.41%1.19B | 14.89%326.72M | 18.34%335.13M | 38.45%286.38M | 22.24%236.92M | -23.06%968.21M | -12.94%284.37M | -20.38%283.18M |
Net income from continuing operations | -18.44%76.61M | 9.79%108.4M | -0.24%349.38M | -10.04%81.44M | 125.99%75.29M | -8.44%93.93M | -20.26%98.73M | -23.49%350.24M | -18.73%90.52M | -69.28%33.31M |
Operating gains losses | -84.27%-3.85M | -191.38%-14.02M | 204.73%13.86M | -167.92%-2.24M | 390.44%2.86M | -1,166.84%-2.09M | 655.02%15.34M | 1,180.52%4.55M | 294.74%3.3M | -348.23%-983K |
Depreciation and amortization | 11.77%184.23M | 10.50%177.2M | 8.54%678.43M | 16.87%183.65M | 8.57%169.59M | 6.11%164.83M | 2.54%160.36M | -0.09%625.06M | 1.97%157.14M | -6.78%156.2M |
Asset impairment expenditure | ---- | ---- | -82.69%15.23M | --15.23M | --0 | ---- | ---- | --88M | --0 | --88M |
Remuneration paid in stock | -125.09%-1.1M | 584.97%3.42M | 69.59%14.63M | 5.40%2.75M | 248.61%7.01M | 67.91%4.37M | -64.46%499K | -8.75%8.63M | 57.01%2.61M | -27.02%2.01M |
Deferred tax | 31.44%22.34M | 41.05%27.34M | -21.14%61.81M | -20.00%14.26M | 391.94%11.17M | -31.48%16.99M | -42.11%19.38M | -19.44%78.38M | 2.73%17.83M | -92.27%2.27M |
Other non cashItems | -6.24%68.12M | -4.64%65.84M | 8.94%273.52M | -1.58%67.65M | -1.73%64.18M | 17.42%72.65M | 25.17%69.04M | 32.36%251.07M | 29.95%68.73M | 43.10%65.31M |
Change In working capital | -2,092.07%-24.05M | -37.88%-80.65M | 157.08%58.46M | 241.28%44.26M | 255.96%73.79M | 98.34%-1.1M | 16.37%-58.5M | -225.08%-102.42M | -64.38%12.97M | -59.50%20.73M |
-Change in receivables | -54,379.17%-13.08M | -21,002.82%-14.84M | 193.90%10.19M | -57.40%2.36M | -41.98%7.79M | 99.83%-24K | 100.46%71K | -119.39%-10.85M | -42.35%5.53M | 160.22%13.42M |
-Change in prepaid assets | -154.01%-2.56M | 49.03%-7.37M | 456.29%2.92M | 5.24%2.89M | 4.52%9.74M | 166.82%4.74M | 1.40%-14.46M | 84.70%-819K | 153.62%2.75M | 1,146.39%9.32M |
-Change in payables and accrued expense | -1,652.92%-15.44M | 5.52%-28.19M | 175.31%46.6M | 222.18%37.47M | 361.71%37.98M | 101.85%994K | -6.25%-29.84M | -162.31%-61.88M | -68.16%11.63M | -81.46%8.23M |
-Change in other current assets | 36.62%-3.3M | 30.65%-5.44M | -3.62%-27.15M | 26.05%-6.96M | -7.47%-7.14M | 16.41%-5.2M | -100.20%-7.85M | -233.39%-26.2M | -384.41%-9.42M | -821.50%-6.64M |
-Change in other working capital | 740.72%10.32M | -286.64%-24.8M | 1,071.13%25.9M | 243.87%8.5M | 807.74%25.42M | -125.29%-1.61M | 18.99%-6.42M | -469.90%-2.67M | 193.71%2.47M | -318.89%-3.59M |
Interest paid (cash flow from operating activities) | 9.18%-64.34M | 1.88%-63.82M | -13.14%-275.28M | -11.43%-74.15M | -1.16%-65.25M | -38.73%-70.84M | -6.26%-65.04M | -48.67%-243.32M | -63.89%-66.54M | -30.64%-64.51M |
Tax refund paid | -203.06%-7.87M | -418.36%-15.05M | 94.68%-4.89M | -179.63%-6.12M | 81.73%-3.5M | 132.76%7.64M | 93.86%-2.9M | -134.80%-91.97M | 70.42%-2.19M | -6,486.25%-19.17M |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | -12.68%250.08M | -11.93%208.66M | 22.41%1.19B | 14.89%326.72M | 18.34%335.13M | 38.45%286.38M | 22.24%236.92M | -23.06%968.21M | -12.94%284.37M | -20.38%283.18M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | 41.52%-161.17M | 10.52%-137.23M | 3.80%-921.52M | 22.36%-160.01M | 3.36%-332.54M | -59.31%-275.62M | 34.65%-153.35M | 60.24%-957.88M | 15.49%-206.1M | -74.35%-344.09M |
Net PPE purchase and sale | 11.24%-159.4M | 12.79%-133.89M | 17.79%-660.62M | 24.53%-155.76M | 9.20%-171.73M | -3.69%-179.59M | 34.62%-153.53M | -8.14%-803.58M | 14.45%-206.4M | 4.16%-189.14M |
Net intangibles purchas and sale | 91.98%-3.05M | ---3.52M | -238.70%-203.22M | ---3.99M | -168.62%-161.17M | ---38.06M | --0 | 74.58%-60M | --0 | ---60M |
Net business purchase and sale | 101.88%1.09M | ---- | 41.24%-58.19M | -286.21%-216K | --0 | ---57.97M | ---- | 93.08%-99.03M | 104.31%116K | ---99.14M |
Net other investing changes | --193K | 3.89%187K | -89.12%515K | -119.89%-36K | -91.22%368K | ---- | -0.55%180K | 7,922.03%4.73M | --181K | --4.19M |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | 41.52%-161.17M | 10.52%-137.23M | 3.80%-921.52M | 22.36%-160.01M | 3.36%-332.54M | -59.31%-275.62M | 34.65%-153.35M | 60.24%-957.88M | 15.49%-206.1M | -74.35%-344.09M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | -184.84%-42.59M | 83.62%-58.94M | -1,565.24%-546.92M | -79.07%-141.9M | -142.75%-30.2M | 83.07%-14.95M | -661.84%-359.87M | -103.38%-32.84M | 12.29%-79.24M | 158.00%70.65M |
Net issuance payments of debt | -102.81%-6.74M | 92.91%-22.74M | -184.58%-184.27M | -136.10%-108.23M | -95.54%4.59M | 1,477.79%240.05M | -320.33%-320.68M | -82.34%217.88M | -98.70%-45.84M | 277.93%102.96M |
Net common stock issuance | --0 | ---- | -2,768.22%-280.02M | -167.63%-70.32M | --0 | -296.27%-280.02M | ---- | 43.80%-9.76M | 34.84%103.97M | 96.27%-1.25M |
Cash dividends paid | -7.20%-8.66M | 34.16%-8.69M | 17.26%-37.36M | 28.70%-8.04M | 27.98%-8.04M | 28.54%-8.08M | -15.76%-13.19M | -14.23%-45.15M | -15.33%-11.28M | -12.75%-11.17M |
Proceeds from stock option exercised by employees | 105.20%409K | ---2.82M | 2.69%-2.86M | ---- | ---- | ---7.86M | --0 | -56.35%-2.94M | ---- | ---- |
Net other financing activities | -167.36%-27.6M | 4.98%-24.7M | 78.02%-42.4M | 138.61%47.55M | -34.42%-26.75M | 290.19%40.97M | 8.06%-25.99M | 5.43%-192.87M | 11.70%-123.16M | 3.59%-19.9M |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | -184.84%-42.59M | 83.62%-58.94M | -1,565.24%-546.92M | -79.07%-141.9M | -142.75%-30.2M | 83.07%-14.95M | -661.84%-359.87M | -103.38%-32.84M | 12.29%-79.24M | 158.00%70.65M |
Net cash flow | ||||||||||
Beginning cash position | 6.81%92.84M | -78.63%77.75M | -4.00%363.85M | -84.92%55.14M | -76.82%82.49M | -78.72%86.92M | -4.00%363.85M | -31.34%379M | -3.58%365.67M | 3.57%355.87M |
Current changes in cash | 1,204.58%46.32M | 104.52%12.49M | -1,158.76%-283.28M | 2,655.82%24.82M | -383.51%-27.61M | 92.30%-4.19M | -1,290.85%-276.3M | 87.51%-22.51M | 87.21%-971K | -73.34%9.74M |
Effect of exchange rate changes | 1,292.50%2.86M | 512.16%2.61M | -138.38%-2.82M | -162.62%-2.21M | 355.36%255K | -112.99%-240K | -110.06%-633K | 2.88%7.36M | -111.42%-840K | 106.19%56K |
End cash Position | 72.17%142.02M | 6.81%92.84M | -78.63%77.75M | -78.63%77.75M | -84.92%55.14M | -76.82%82.49M | -78.72%86.92M | -4.00%363.85M | -4.00%363.85M | -3.58%365.67M |
Free cash from | 29.22%86.69M | -37.91%51.62M | 211.76%317.93M | 115.96%166.15M | -95.30%1.55M | 102.27%67.09M | 301.84%83.13M | -62.88%101.98M | -5.92%76.94M | -79.00%33.06M |
Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
Audit Opinions | -- | -- | Unqualified Opinion | -- | -- | -- | -- | -- | -- | -- |
FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.
Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.