14/11/2024  21:46:32 Chg. -0.0700 Volume Bid- Ask- Market Capitalization Dividend Y. P/E Ratio
94.6200USD -0.07% 21,771
Turnover: 195,161.8800
-Bid Size: - -Ask Size: - 32.05 bill.USD - -

Assets

2012
-
in mill. CAD
2013
-
in mill. CAD
2014
-
in mill. CAD
2015
-
in mill. CAD
2016
-
in mill. CAD
Property and Equipment
  0.0000   0.0000   380   1,817   1,338
Intangible Assets
  778   898   998   1,059   1,140
Long-Term Investments
  0.0000   0.0000   7,092   10,842   10,416
Fixed Assets
  -   -   -   -   -
Inventories
  -   -   -   -   -
Accounts Receivable
  -   -   -   -   -
Cash and Cash Equivalents
  3,249   3,596   8,086   7,567   8,183
Current Assets
  -   -   -   -   -
Total Assets
  177,903   188,204   205,429   216,090   232,206

 

Liabilities

2012
-
in mill. CAD
2013
-
in mill. CAD
2014
-
in mill. CAD
2015
-
in mill. CAD
2016
-
in mill. CAD
Accounts Payable
  -   -   -   -   -
Long-term debt
  -   -   -   -   -
Liabilities to Banks
  -   -   -   -   -
Provisions
  -   -   -   -   -
Liabilities
  170,683   180,061   195,722   205,536   220,914
Share Capital
  2,816   2,837   3,516   3,637   4,295
Total Equity
  7,220   8,143   9,707   10,554   11,292
Minority Interests
  -   -   -   -   -
Total liabilities equity
  177,903   188,204   205,429   216,090   232,206

 

Income Statement

2012
-
in mill. CAD
2013
-
in mill. CAD
2014
-
in mill. CAD
2015
-
in mill. CAD
2016
-
in mill. CAD
Revenues
  -   -   -   -   -
Depreciation (total)
  -   -   -   -   -
Operating Result
  1,960   1,817   1,833   1,853   1,481
Interest Income
  2,338   2,449   2,544   2,643   2,956
Income Before Taxes
  1,960   1,817   1,833   1,853   1,481
Income Taxes
  326   263   295   234   225
Minority Interests Profit
  -73   -75   -69   -70   -75
Net Income
  1,561   1,479   1,469   1,549   1,181

 

Per Share

2012
-
in CAD
2013
-
in CAD
2014
-
in CAD
2015
-
in CAD
2016
-
in CAD
Earnings per Share
  4.7000   4.4400   4.3600   4.5600   3.3100
Dividend per Share
  1.5400   1.7000   1.8800   2.0400   2.1800

 

Cash Flow

2012
-
in mill. CAD
2013
-
in mill. CAD
2014
-
in mill. CAD
2015
-
in mill. CAD
2016
-
in mill. CAD
Cash Flow from Operating Activities
  2,177   690   4,147   6,375   5,438
Cash Flow from Investing Activities
  -1,371   370   455   -5,620   -4,260
Cash Flow from Financing
  -407   -690   -712   -1,026   -533
Decrease / Increase in Cash
  398   347   4,490   -519   616
Employees
  19,920   19,691   19,955   19,764   21,701