19/11/2024  08:01:10 Chg. -0.14 Volume Bid14:06:45 Ask14:06:45 Market Capitalization Dividend Y. P/E Ratio
60.16EUR -0.23% 0
Turnover: 0.00
59.93Bid Size: 167 60.52Ask Size: 165 56.28 bill.EUR - -

Assets

2018
-
in mill. CAD
2019
-
in mill. CAD
2020
-
in mill. CAD
2021
IFRS
in mill. CAD
2022
IFRS
in mill. CAD
Property and Equipment
  1,795   1,813   2,997   3,286   3,377
Intangible Assets
  1,945   1,969   1,961   2,029   2,592
Long-Term Investments
  21,431   23,895   32,730   35,912   35,197
Fixed Assets
  -   -   -   -   -
Inventories
  -   -   -   -   -
Accounts Receivable
  -   -   -   -   -
Cash and Cash Equivalents
  4,380   3,840   43,531   34,573   31,535
Current Assets
  -   -   -   -   -
Total Assets
  597,099   651,604   769,551   837,683   943,597

 

Liabilities

2018
-
in mill. CAD
2019
-
in mill. CAD
2020
-
in mill. CAD
2021
IFRS
in mill. CAD
2022
IFRS
in mill. CAD
Accounts Payable
  -   -   -   -   -
Long-term debt
  -   -   -   -   -
Liabilities to Banks
  -   -   -   -   -
Provisions
  -   -   -   -   -
Liabilities
  562,156   613,210   728,397   786,314   893,215
Share Capital
  2,250   2,825   3,575   -   -
Total Equity
  34,943   38,394   41,154   45,648   50,181
Minority Interests
  -   -   -   182   201
Total liabilities equity
  597,099   651,604   769,551   837,683   943,597

 

Income Statement

2018
-
in mill. CAD
2019
-
in mill. CAD
2020
-
in mill. CAD
2021
IFRS
in mill. CAD
2022
IFRS
in mill. CAD
Revenues
  -   -   -   20,015   21,833
Depreciation (total)
  -   -   -   -   -
Operating Result
  6,706   6,469   4,890   8,322   7,973
Interest Income
  10,065   10,551   11,044   11,459   12,641
Income Before Taxes
  6,706   6,469   4,890   -   -
Income Taxes
  1,422   1,348   1,098   1,876   1,730
Minority Interests Profit
  -17   -25   -2   17   23
Net Income
  5,267   5,096   3,790   6,429   6,220

 

Per Share

2018
-
in CAD
2019
-
in CAD
2020
-
in CAD
2021
IFRS
in CAD
2022
IFRS
in CAD
Earnings per Share
  5.8450   5.6100   4.1150   6.9850   6.7000
Dividend per Share
  2.6600   2.8000   2.9100   2.9200   3.2700

 

Cash Flow

2018
-
in mill. CAD
2019
-
in mill. CAD
2020
-
in mill. CAD
2021
IFRS
in mill. CAD
2022
IFRS
in mill. CAD
Cash Flow from Operating Activities
  9,867   18,635   60,295   -3,332   22,715
Cash Flow from Investing Activities
  -7,987   -17,889   -19,408   -1,945   -1,610
Cash Flow from Financing
  -993   -1,290   -1,221   -3,506   -24,391
Decrease / Increase in Cash
  940   -540   39,691   -   -
Employees
  44,000   45,000   44,000   45,282   50,427