Summary of Securities Maturity Schedule (Details) - CAD ($) $ in Millions | Oct. 31, 2022 | Oct. 31, 2021 |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | $ 537,560 | $ 478,566 |
Trading securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 114,744 | 120,546 |
Trading securities [member] | Government and government-related securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 51,286 | 42,048 |
Trading securities [member] | Government and government-related securities [member] | Canadian federal government [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 9,662 | 11,196 |
Trading securities [member] | Government and government-related securities [member] | U.S. federal, state, municipal governments, and agencies debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 23,468 | 13,241 |
Trading securities [member] | Government and government-related securities [member] | Other OECD government-guaranteed debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 8,341 | 7,785 |
Trading securities [member] | Government and government-related securities [member] | Canadian government provincial debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 7,706 | 8,326 |
Trading securities [member] | Government and government-related securities [member] | Residential Mortgage Backed Securities 1 [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,886 | 1,346 |
Trading securities [member] | Government and government-related securities [member] | Commercial Mortgage Backed Securities 1 [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 223 | 154 |
Trading securities [member] | Other debt securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 18,997 | 18,365 |
Trading securities [member] | Other debt securities [member] | Canadian issuers [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 6,604 | 5,970 |
Trading securities [member] | Other debt securities [member] | Other Issuers [Member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 12,393 | 12,395 |
Trading securities [member] | Equity security [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 44,456 | 60,124 |
Trading securities [member] | Equity security [member] | Common shares [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 44,423 | 60,074 |
Trading securities [member] | Equity security [member] | Preference shares [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 33 | 50 |
Trading securities [member] | Retained interests [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 5 | 9 |
Non trading financial assets at fair value through profit or loss [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 7,681 | 7,053 |
Non trading financial assets at fair value through profit or loss [member] | Government and government-related securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 287 | 155 |
Non trading financial assets at fair value through profit or loss [member] | Government and government-related securities [member] | U.S. federal, state, municipal governments, and agencies debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 287 | 155 |
Non trading financial assets at fair value through profit or loss [member] | Other debt securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 6,645 | 6,320 |
Non trading financial assets at fair value through profit or loss [member] | Other debt securities [member] | Asset backed securities one [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 5,900 | 5,615 |
Non trading financial assets at fair value through profit or loss [member] | Other debt securities [member] | Canadian issuers [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 710 | 638 |
Non trading financial assets at fair value through profit or loss [member] | Other debt securities [member] | Other Issuers [Member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 35 | 67 |
Non trading financial assets at fair value through profit or loss [member] | Equity security [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 749 | 578 |
Non trading financial assets at fair value through profit or loss [member] | Equity security [member] | Common shares [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 698 | 561 |
Non trading financial assets at fair value through profit or loss [member] | Equity security [member] | Preference shares [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 51 | 17 |
Financial assets designated at fair value through profit or loss (FVO securities) [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 5,039 | 4,564 |
Financial assets designated at fair value through profit or loss (FVO securities) [member] | Government and government-related securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 2,422 | 2,161 |
Financial assets designated at fair value through profit or loss (FVO securities) [member] | Government and government-related securities [member] | Canadian federal government [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 203 | 247 |
Financial assets designated at fair value through profit or loss (FVO securities) [member] | Government and government-related securities [member] | U.S. federal, state, municipal governments, and agencies debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 8 | 22 |
Financial assets designated at fair value through profit or loss (FVO securities) [member] | Government and government-related securities [member] | Other OECD government-guaranteed debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 575 | 367 |
Financial assets designated at fair value through profit or loss (FVO securities) [member] | Government and government-related securities [member] | Canadian government provincial debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,636 | 1,525 |
Financial assets designated at fair value through profit or loss (FVO securities) [member] | Other debt securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 2,617 | 2,403 |
Financial assets designated at fair value through profit or loss (FVO securities) [member] | Other debt securities [member] | Canadian issuers [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 2,335 | 2,318 |
Financial assets designated at fair value through profit or loss (FVO securities) [member] | Other debt securities [member] | Other Issuers [Member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 282 | 85 |
Securities at fair value through other comprehensive income [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 67,322 | 77,464 |
Securities at fair value through other comprehensive income [member] | Government and government-related securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 50,882 | 57,780 |
Securities at fair value through other comprehensive income [member] | Government and government-related securities [member] | Canadian federal government [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 16,368 | 12,519 |
Securities at fair value through other comprehensive income [member] | Government and government-related securities [member] | U.S. federal, state, municipal governments, and agencies debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 11,559 | 19,300 |
Securities at fair value through other comprehensive income [member] | Government and government-related securities [member] | Other OECD government-guaranteed debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,682 | 6,564 |
Securities at fair value through other comprehensive income [member] | Government and government-related securities [member] | Canadian government provincial debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 20,240 | 18,143 |
Securities at fair value through other comprehensive income [member] | Government and government-related securities [member] | Mortgage- backed securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,033 | 1,254 |
Securities at fair value through other comprehensive income [member] | Other debt securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 13,121 | 15,085 |
Securities at fair value through other comprehensive income [member] | Other debt securities [member] | Asset backed securities one [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 4,440 | 6,981 |
Securities at fair value through other comprehensive income [member] | Other debt securities [member] | Corporate and other debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 8,681 | 8,104 |
Securities at fair value through other comprehensive income [member] | Equity securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 3,319 | 4,599 |
Securities at fair value through other comprehensive income [member] | Equity securities [member] | Common shares [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 2,221 | 4,117 |
Securities at fair value through other comprehensive income [member] | Equity securities [member] | Preference shares [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,098 | 482 |
Debt securities carried at amortized cost net of allowance for credit losses [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 342,774 | 268,939 |
Debt securities carried at amortized cost net of allowance for credit losses [member] | Government and government-related securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 256,362 | 208,559 |
Debt securities carried at amortized cost net of allowance for credit losses [member] | Government and government-related securities [member] | Canadian federal government [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 19,753 | 22,593 |
Debt securities carried at amortized cost net of allowance for credit losses [member] | Government and government-related securities [member] | U.S. federal, state, municipal governments, and agencies debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 172,383 | 135,303 |
Debt securities carried at amortized cost net of allowance for credit losses [member] | Government and government-related securities [member] | Other OECD government-guaranteed debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 47,572 | 39,733 |
Debt securities carried at amortized cost net of allowance for credit losses [member] | Government and government-related securities [member] | Canadian government provincial debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 16,654 | 10,930 |
Debt securities carried at amortized cost net of allowance for credit losses [member] | Other debt securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 86,412 | 60,380 |
Debt securities carried at amortized cost net of allowance for credit losses [member] | Other debt securities [member] | Asset backed securities one [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 49,893 | 33,172 |
Debt securities carried at amortized cost net of allowance for credit losses [member] | Other debt securities [member] | Non Agency Collateralized Mortgage Obligation Portfolio [Member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 17,242 | 16,214 |
Debt securities carried at amortized cost net of allowance for credit losses [member] | Other debt securities [member] | Canadian issuers [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 4,296 | 2,133 |
Debt securities carried at amortized cost net of allowance for credit losses [member] | Other debt securities [member] | Other Issuers [Member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 14,981 | $ 8,861 |
Within 1 year [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 64,493 | |
Within 1 year [member] | Trading securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 21,756 | |
Within 1 year [member] | Trading securities [member] | Government and government-related securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 17,307 | |
Within 1 year [member] | Trading securities [member] | Government and government-related securities [member] | Canadian federal government [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 4,849 | |
Within 1 year [member] | Trading securities [member] | Government and government-related securities [member] | U.S. federal, state, municipal governments, and agencies debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 5,077 | |
Within 1 year [member] | Trading securities [member] | Government and government-related securities [member] | Other OECD government-guaranteed debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 5,545 | |
Within 1 year [member] | Trading securities [member] | Government and government-related securities [member] | Canadian government provincial debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,366 | |
Within 1 year [member] | Trading securities [member] | Government and government-related securities [member] | Residential Mortgage Backed Securities 1 [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 430 | |
Within 1 year [member] | Trading securities [member] | Government and government-related securities [member] | Commercial Mortgage Backed Securities 1 [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 40 | |
Within 1 year [member] | Trading securities [member] | Other debt securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 4,449 | |
Within 1 year [member] | Trading securities [member] | Other debt securities [member] | Canadian issuers [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,023 | |
Within 1 year [member] | Trading securities [member] | Other debt securities [member] | Other Issuers [Member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 3,426 | |
Within 1 year [member] | Non trading financial assets at fair value through profit or loss [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1 | |
Within 1 year [member] | Non trading financial assets at fair value through profit or loss [member] | Other debt securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1 | |
Within 1 year [member] | Non trading financial assets at fair value through profit or loss [member] | Other debt securities [member] | Asset backed securities one [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1 | |
Within 1 year [member] | Financial assets designated at fair value through profit or loss (FVO securities) [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,875 | |
Within 1 year [member] | Financial assets designated at fair value through profit or loss (FVO securities) [member] | Government and government-related securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,447 | |
Within 1 year [member] | Financial assets designated at fair value through profit or loss (FVO securities) [member] | Government and government-related securities [member] | Canadian federal government [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 203 | |
Within 1 year [member] | Financial assets designated at fair value through profit or loss (FVO securities) [member] | Government and government-related securities [member] | Other OECD government-guaranteed debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 516 | |
Within 1 year [member] | Financial assets designated at fair value through profit or loss (FVO securities) [member] | Government and government-related securities [member] | Canadian government provincial debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 728 | |
Within 1 year [member] | Financial assets designated at fair value through profit or loss (FVO securities) [member] | Other debt securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 428 | |
Within 1 year [member] | Financial assets designated at fair value through profit or loss (FVO securities) [member] | Other debt securities [member] | Canadian issuers [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 386 | |
Within 1 year [member] | Financial assets designated at fair value through profit or loss (FVO securities) [member] | Other debt securities [member] | Other Issuers [Member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 42 | |
Within 1 year [member] | Securities at fair value through other comprehensive income [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 8,757 | |
Within 1 year [member] | Securities at fair value through other comprehensive income [member] | Government and government-related securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 5,999 | |
Within 1 year [member] | Securities at fair value through other comprehensive income [member] | Government and government-related securities [member] | Canadian federal government [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,349 | |
Within 1 year [member] | Securities at fair value through other comprehensive income [member] | Government and government-related securities [member] | U.S. federal, state, municipal governments, and agencies debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 3,079 | |
Within 1 year [member] | Securities at fair value through other comprehensive income [member] | Government and government-related securities [member] | Other OECD government-guaranteed debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 268 | |
Within 1 year [member] | Securities at fair value through other comprehensive income [member] | Government and government-related securities [member] | Canadian government provincial debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,279 | |
Within 1 year [member] | Securities at fair value through other comprehensive income [member] | Government and government-related securities [member] | Mortgage- backed securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 24 | |
Within 1 year [member] | Securities at fair value through other comprehensive income [member] | Other debt securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 2,758 | |
Within 1 year [member] | Securities at fair value through other comprehensive income [member] | Other debt securities [member] | Asset backed securities one [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,682 | |
Within 1 year [member] | Securities at fair value through other comprehensive income [member] | Other debt securities [member] | Corporate and other debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,076 | |
Within 1 year [member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 32,104 | |
Within 1 year [member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Government and government-related securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 30,006 | |
Within 1 year [member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Government and government-related securities [member] | Canadian federal government [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 3,189 | |
Within 1 year [member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Government and government-related securities [member] | U.S. federal, state, municipal governments, and agencies debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 16,155 | |
Within 1 year [member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Government and government-related securities [member] | Other OECD government-guaranteed debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 10,423 | |
Within 1 year [member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Government and government-related securities [member] | Canadian government provincial debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 239 | |
Within 1 year [member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Other debt securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 2,098 | |
Within 1 year [member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Other debt securities [member] | Asset backed securities one [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 180 | |
Within 1 year [member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Other debt securities [member] | Canadian issuers [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 45 | |
Within 1 year [member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Other debt securities [member] | Other Issuers [Member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,873 | |
One To Three Year [Member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 97,936 | |
One To Three Year [Member] | Trading securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 18,571 | |
One To Three Year [Member] | Trading securities [member] | Government and government-related securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 12,045 | |
One To Three Year [Member] | Trading securities [member] | Government and government-related securities [member] | Canadian federal government [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,530 | |
One To Three Year [Member] | Trading securities [member] | Government and government-related securities [member] | U.S. federal, state, municipal governments, and agencies debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 7,152 | |
One To Three Year [Member] | Trading securities [member] | Government and government-related securities [member] | Other OECD government-guaranteed debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 970 | |
One To Three Year [Member] | Trading securities [member] | Government and government-related securities [member] | Canadian government provincial debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,610 | |
One To Three Year [Member] | Trading securities [member] | Government and government-related securities [member] | Residential Mortgage Backed Securities 1 [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 699 | |
One To Three Year [Member] | Trading securities [member] | Government and government-related securities [member] | Commercial Mortgage Backed Securities 1 [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 84 | |
One To Three Year [Member] | Trading securities [member] | Other debt securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 6,524 | |
One To Three Year [Member] | Trading securities [member] | Other debt securities [member] | Canadian issuers [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,858 | |
One To Three Year [Member] | Trading securities [member] | Other debt securities [member] | Other Issuers [Member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 4,666 | |
One To Three Year [Member] | Trading securities [member] | Retained interests [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 2 | |
One To Three Year [Member] | Non trading financial assets at fair value through profit or loss [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 3,523 | |
One To Three Year [Member] | Non trading financial assets at fair value through profit or loss [member] | Government and government-related securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 2 | |
One To Three Year [Member] | Non trading financial assets at fair value through profit or loss [member] | Government and government-related securities [member] | U.S. federal, state, municipal governments, and agencies debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 2 | |
One To Three Year [Member] | Non trading financial assets at fair value through profit or loss [member] | Other debt securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 3,521 | |
One To Three Year [Member] | Non trading financial assets at fair value through profit or loss [member] | Other debt securities [member] | Asset backed securities one [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 3,501 | |
One To Three Year [Member] | Non trading financial assets at fair value through profit or loss [member] | Other debt securities [member] | Canadian issuers [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 20 | |
One To Three Year [Member] | Financial assets designated at fair value through profit or loss (FVO securities) [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,120 | |
One To Three Year [Member] | Financial assets designated at fair value through profit or loss (FVO securities) [member] | Government and government-related securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 105 | |
One To Three Year [Member] | Financial assets designated at fair value through profit or loss (FVO securities) [member] | Government and government-related securities [member] | Other OECD government-guaranteed debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 4 | |
One To Three Year [Member] | Financial assets designated at fair value through profit or loss (FVO securities) [member] | Government and government-related securities [member] | Canadian government provincial debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 101 | |
One To Three Year [Member] | Financial assets designated at fair value through profit or loss (FVO securities) [member] | Other debt securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,015 | |
One To Three Year [Member] | Financial assets designated at fair value through profit or loss (FVO securities) [member] | Other debt securities [member] | Canadian issuers [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 795 | |
One To Three Year [Member] | Financial assets designated at fair value through profit or loss (FVO securities) [member] | Other debt securities [member] | Other Issuers [Member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 220 | |
One To Three Year [Member] | Securities at fair value through other comprehensive income [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 15,853 | |
One To Three Year [Member] | Securities at fair value through other comprehensive income [member] | Government and government-related securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 12,829 | |
One To Three Year [Member] | Securities at fair value through other comprehensive income [member] | Government and government-related securities [member] | Canadian federal government [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 5,728 | |
One To Three Year [Member] | Securities at fair value through other comprehensive income [member] | Government and government-related securities [member] | U.S. federal, state, municipal governments, and agencies debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 2,042 | |
One To Three Year [Member] | Securities at fair value through other comprehensive income [member] | Government and government-related securities [member] | Other OECD government-guaranteed debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 982 | |
One To Three Year [Member] | Securities at fair value through other comprehensive income [member] | Government and government-related securities [member] | Canadian government provincial debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 4,077 | |
One To Three Year [Member] | Securities at fair value through other comprehensive income [member] | Other debt securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 3,024 | |
One To Three Year [Member] | Securities at fair value through other comprehensive income [member] | Other debt securities [member] | Asset backed securities one [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 91 | |
One To Three Year [Member] | Securities at fair value through other comprehensive income [member] | Other debt securities [member] | Corporate and other debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 2,933 | |
One To Three Year [Member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 58,869 | |
One To Three Year [Member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Government and government-related securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 48,025 | |
One To Three Year [Member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Government and government-related securities [member] | Canadian federal government [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 2,503 | |
One To Three Year [Member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Government and government-related securities [member] | U.S. federal, state, municipal governments, and agencies debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 27,687 | |
One To Three Year [Member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Government and government-related securities [member] | Other OECD government-guaranteed debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 15,582 | |
One To Three Year [Member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Government and government-related securities [member] | Canadian government provincial debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 2,253 | |
One To Three Year [Member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Other debt securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 10,844 | |
One To Three Year [Member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Other debt securities [member] | Asset backed securities one [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 7,174 | |
One To Three Year [Member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Other debt securities [member] | Canadian issuers [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 351 | |
One To Three Year [Member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Other debt securities [member] | Other Issuers [Member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 3,319 | |
Three To Five Year [Member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 98,418 | |
Three To Five Year [Member] | Trading securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 10,455 | |
Three To Five Year [Member] | Trading securities [member] | Government and government-related securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 6,268 | |
Three To Five Year [Member] | Trading securities [member] | Government and government-related securities [member] | Canadian federal government [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,366 | |
Three To Five Year [Member] | Trading securities [member] | Government and government-related securities [member] | U.S. federal, state, municipal governments, and agencies debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 2,326 | |
Three To Five Year [Member] | Trading securities [member] | Government and government-related securities [member] | Other OECD government-guaranteed debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 722 | |
Three To Five Year [Member] | Trading securities [member] | Government and government-related securities [member] | Canadian government provincial debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,040 | |
Three To Five Year [Member] | Trading securities [member] | Government and government-related securities [member] | Residential Mortgage Backed Securities 1 [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 757 | |
Three To Five Year [Member] | Trading securities [member] | Government and government-related securities [member] | Commercial Mortgage Backed Securities 1 [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 57 | |
Three To Five Year [Member] | Trading securities [member] | Other debt securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 4,187 | |
Three To Five Year [Member] | Trading securities [member] | Other debt securities [member] | Canadian issuers [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,376 | |
Three To Five Year [Member] | Trading securities [member] | Other debt securities [member] | Other Issuers [Member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 2,811 | |
Three To Five Year [Member] | Non trading financial assets at fair value through profit or loss [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,066 | |
Three To Five Year [Member] | Non trading financial assets at fair value through profit or loss [member] | Government and government-related securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 17 | |
Three To Five Year [Member] | Non trading financial assets at fair value through profit or loss [member] | Government and government-related securities [member] | U.S. federal, state, municipal governments, and agencies debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 17 | |
Three To Five Year [Member] | Non trading financial assets at fair value through profit or loss [member] | Other debt securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,049 | |
Three To Five Year [Member] | Non trading financial assets at fair value through profit or loss [member] | Other debt securities [member] | Asset backed securities one [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 825 | |
Three To Five Year [Member] | Non trading financial assets at fair value through profit or loss [member] | Other debt securities [member] | Canadian issuers [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 224 | |
Three To Five Year [Member] | Financial assets designated at fair value through profit or loss (FVO securities) [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 835 | |
Three To Five Year [Member] | Financial assets designated at fair value through profit or loss (FVO securities) [member] | Government and government-related securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 63 | |
Three To Five Year [Member] | Financial assets designated at fair value through profit or loss (FVO securities) [member] | Government and government-related securities [member] | U.S. federal, state, municipal governments, and agencies debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 8 | |
Three To Five Year [Member] | Financial assets designated at fair value through profit or loss (FVO securities) [member] | Government and government-related securities [member] | Other OECD government-guaranteed debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 55 | |
Three To Five Year [Member] | Financial assets designated at fair value through profit or loss (FVO securities) [member] | Other debt securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 772 | |
Three To Five Year [Member] | Financial assets designated at fair value through profit or loss (FVO securities) [member] | Other debt securities [member] | Canadian issuers [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 752 | |
Three To Five Year [Member] | Financial assets designated at fair value through profit or loss (FVO securities) [member] | Other debt securities [member] | Other Issuers [Member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 20 | |
Three To Five Year [Member] | Securities at fair value through other comprehensive income [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 10,672 | |
Three To Five Year [Member] | Securities at fair value through other comprehensive income [member] | Government and government-related securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 8,180 | |
Three To Five Year [Member] | Securities at fair value through other comprehensive income [member] | Government and government-related securities [member] | Canadian federal government [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,147 | |
Three To Five Year [Member] | Securities at fair value through other comprehensive income [member] | Government and government-related securities [member] | U.S. federal, state, municipal governments, and agencies debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 3,074 | |
Three To Five Year [Member] | Securities at fair value through other comprehensive income [member] | Government and government-related securities [member] | Other OECD government-guaranteed debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 326 | |
Three To Five Year [Member] | Securities at fair value through other comprehensive income [member] | Government and government-related securities [member] | Canadian government provincial debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 2,624 | |
Three To Five Year [Member] | Securities at fair value through other comprehensive income [member] | Government and government-related securities [member] | Mortgage- backed securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,009 | |
Three To Five Year [Member] | Securities at fair value through other comprehensive income [member] | Other debt securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 2,492 | |
Three To Five Year [Member] | Securities at fair value through other comprehensive income [member] | Other debt securities [member] | Asset backed securities one [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 264 | |
Three To Five Year [Member] | Securities at fair value through other comprehensive income [member] | Other debt securities [member] | Corporate and other debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 2,228 | |
Three To Five Year [Member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 75,390 | |
Three To Five Year [Member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Government and government-related securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 53,433 | |
Three To Five Year [Member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Government and government-related securities [member] | Canadian federal government [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 11,020 | |
Three To Five Year [Member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Government and government-related securities [member] | U.S. federal, state, municipal governments, and agencies debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 23,329 | |
Three To Five Year [Member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Government and government-related securities [member] | Other OECD government-guaranteed debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 16,711 | |
Three To Five Year [Member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Government and government-related securities [member] | Canadian government provincial debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 2,373 | |
Three To Five Year [Member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Other debt securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 21,957 | |
Three To Five Year [Member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Other debt securities [member] | Asset backed securities one [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 13,938 | |
Three To Five Year [Member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Other debt securities [member] | Non Agency Collateralized Mortgage Obligation Portfolio [Member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 167 | |
Three To Five Year [Member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Other debt securities [member] | Canadian issuers [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 2,689 | |
Three To Five Year [Member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Other debt securities [member] | Other Issuers [Member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 5,163 | |
Five To Ten Years [Member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 120,586 | |
Five To Ten Years [Member] | Trading securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 8,266 | |
Five To Ten Years [Member] | Trading securities [member] | Government and government-related securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 5,489 | |
Five To Ten Years [Member] | Trading securities [member] | Government and government-related securities [member] | Canadian federal government [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 850 | |
Five To Ten Years [Member] | Trading securities [member] | Government and government-related securities [member] | U.S. federal, state, municipal governments, and agencies debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 2,254 | |
Five To Ten Years [Member] | Trading securities [member] | Government and government-related securities [member] | Other OECD government-guaranteed debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 832 | |
Five To Ten Years [Member] | Trading securities [member] | Government and government-related securities [member] | Canadian government provincial debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,511 | |
Five To Ten Years [Member] | Trading securities [member] | Government and government-related securities [member] | Commercial Mortgage Backed Securities 1 [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 42 | |
Five To Ten Years [Member] | Trading securities [member] | Other debt securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 2,774 | |
Five To Ten Years [Member] | Trading securities [member] | Other debt securities [member] | Canadian issuers [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,456 | |
Five To Ten Years [Member] | Trading securities [member] | Other debt securities [member] | Other Issuers [Member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,318 | |
Five To Ten Years [Member] | Trading securities [member] | Retained interests [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 3 | |
Five To Ten Years [Member] | Non trading financial assets at fair value through profit or loss [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,263 | |
Five To Ten Years [Member] | Non trading financial assets at fair value through profit or loss [member] | Other debt securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,263 | |
Five To Ten Years [Member] | Non trading financial assets at fair value through profit or loss [member] | Other debt securities [member] | Asset backed securities one [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,261 | |
Five To Ten Years [Member] | Non trading financial assets at fair value through profit or loss [member] | Other debt securities [member] | Canadian issuers [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 2 | |
Five To Ten Years [Member] | Financial assets designated at fair value through profit or loss (FVO securities) [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,129 | |
Five To Ten Years [Member] | Financial assets designated at fair value through profit or loss (FVO securities) [member] | Government and government-related securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 797 | |
Five To Ten Years [Member] | Financial assets designated at fair value through profit or loss (FVO securities) [member] | Government and government-related securities [member] | Canadian government provincial debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 797 | |
Five To Ten Years [Member] | Financial assets designated at fair value through profit or loss (FVO securities) [member] | Other debt securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 332 | |
Five To Ten Years [Member] | Financial assets designated at fair value through profit or loss (FVO securities) [member] | Other debt securities [member] | Canadian issuers [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 332 | |
Five To Ten Years [Member] | Securities at fair value through other comprehensive income [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 22,038 | |
Five To Ten Years [Member] | Securities at fair value through other comprehensive income [member] | Government and government-related securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 20,478 | |
Five To Ten Years [Member] | Securities at fair value through other comprehensive income [member] | Government and government-related securities [member] | Canadian federal government [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 7,826 | |
Five To Ten Years [Member] | Securities at fair value through other comprehensive income [member] | Government and government-related securities [member] | U.S. federal, state, municipal governments, and agencies debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 629 | |
Five To Ten Years [Member] | Securities at fair value through other comprehensive income [member] | Government and government-related securities [member] | Other OECD government-guaranteed debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 106 | |
Five To Ten Years [Member] | Securities at fair value through other comprehensive income [member] | Government and government-related securities [member] | Canadian government provincial debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 11,917 | |
Five To Ten Years [Member] | Securities at fair value through other comprehensive income [member] | Other debt securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,560 | |
Five To Ten Years [Member] | Securities at fair value through other comprehensive income [member] | Other debt securities [member] | Asset backed securities one [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 146 | |
Five To Ten Years [Member] | Securities at fair value through other comprehensive income [member] | Other debt securities [member] | Corporate and other debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,414 | |
Five To Ten Years [Member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 87,890 | |
Five To Ten Years [Member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Government and government-related securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 72,388 | |
Five To Ten Years [Member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Government and government-related securities [member] | Canadian federal government [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,629 | |
Five To Ten Years [Member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Government and government-related securities [member] | U.S. federal, state, municipal governments, and agencies debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 54,114 | |
Five To Ten Years [Member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Government and government-related securities [member] | Other OECD government-guaranteed debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 4,856 | |
Five To Ten Years [Member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Government and government-related securities [member] | Canadian government provincial debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 11,789 | |
Five To Ten Years [Member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Other debt securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 15,502 | |
Five To Ten Years [Member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Other debt securities [member] | Asset backed securities one [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 9,557 | |
Five To Ten Years [Member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Other debt securities [member] | Non Agency Collateralized Mortgage Obligation Portfolio [Member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 108 | |
Five To Ten Years [Member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Other debt securities [member] | Canadian issuers [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,211 | |
Five To Ten Years [Member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Other debt securities [member] | Other Issuers [Member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 4,626 | |
Later than ten years [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 107,104 | |
Later than ten years [member] | Trading securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 11,240 | |
Later than ten years [member] | Trading securities [member] | Government and government-related securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 10,177 | |
Later than ten years [member] | Trading securities [member] | Government and government-related securities [member] | Canadian federal government [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,067 | |
Later than ten years [member] | Trading securities [member] | Government and government-related securities [member] | U.S. federal, state, municipal governments, and agencies debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 6,659 | |
Later than ten years [member] | Trading securities [member] | Government and government-related securities [member] | Other OECD government-guaranteed debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 272 | |
Later than ten years [member] | Trading securities [member] | Government and government-related securities [member] | Canadian government provincial debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 2,179 | |
Later than ten years [member] | Trading securities [member] | Other debt securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,063 | |
Later than ten years [member] | Trading securities [member] | Other debt securities [member] | Canadian issuers [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 891 | |
Later than ten years [member] | Trading securities [member] | Other debt securities [member] | Other Issuers [Member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 172 | |
Later than ten years [member] | Non trading financial assets at fair value through profit or loss [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 580 | |
Later than ten years [member] | Non trading financial assets at fair value through profit or loss [member] | Government and government-related securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 268 | |
Later than ten years [member] | Non trading financial assets at fair value through profit or loss [member] | Government and government-related securities [member] | U.S. federal, state, municipal governments, and agencies debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 268 | |
Later than ten years [member] | Non trading financial assets at fair value through profit or loss [member] | Other debt securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 312 | |
Later than ten years [member] | Non trading financial assets at fair value through profit or loss [member] | Other debt securities [member] | Asset backed securities one [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 312 | |
Later than ten years [member] | Financial assets designated at fair value through profit or loss (FVO securities) [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 80 | |
Later than ten years [member] | Financial assets designated at fair value through profit or loss (FVO securities) [member] | Government and government-related securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 10 | |
Later than ten years [member] | Financial assets designated at fair value through profit or loss (FVO securities) [member] | Government and government-related securities [member] | Canadian government provincial debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 10 | |
Later than ten years [member] | Financial assets designated at fair value through profit or loss (FVO securities) [member] | Other debt securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 70 | |
Later than ten years [member] | Financial assets designated at fair value through profit or loss (FVO securities) [member] | Other debt securities [member] | Canadian issuers [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 70 | |
Later than ten years [member] | Securities at fair value through other comprehensive income [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 6,683 | |
Later than ten years [member] | Securities at fair value through other comprehensive income [member] | Government and government-related securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 3,396 | |
Later than ten years [member] | Securities at fair value through other comprehensive income [member] | Government and government-related securities [member] | Canadian federal government [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 318 | |
Later than ten years [member] | Securities at fair value through other comprehensive income [member] | Government and government-related securities [member] | U.S. federal, state, municipal governments, and agencies debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 2,735 | |
Later than ten years [member] | Securities at fair value through other comprehensive income [member] | Government and government-related securities [member] | Canadian government provincial debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 343 | |
Later than ten years [member] | Securities at fair value through other comprehensive income [member] | Other debt securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 3,287 | |
Later than ten years [member] | Securities at fair value through other comprehensive income [member] | Other debt securities [member] | Asset backed securities one [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 2,257 | |
Later than ten years [member] | Securities at fair value through other comprehensive income [member] | Other debt securities [member] | Corporate and other debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,030 | |
Later than ten years [member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 88,521 | |
Later than ten years [member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Government and government-related securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 52,510 | |
Later than ten years [member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Government and government-related securities [member] | Canadian federal government [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,412 | |
Later than ten years [member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Government and government-related securities [member] | U.S. federal, state, municipal governments, and agencies debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 51,098 | |
Later than ten years [member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Government and government-related securities [member] | Canadian government provincial debt [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 0 | |
Later than ten years [member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Other debt securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 36,011 | |
Later than ten years [member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Other debt securities [member] | Asset backed securities one [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 19,044 | |
Later than ten years [member] | Debt securities carried at amortized cost net of allowance for credit losses [member] | Other debt securities [member] | Non Agency Collateralized Mortgage Obligation Portfolio [Member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 16,967 | |
With No Specific Maturity [Member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 49,023 | |
With No Specific Maturity [Member] | Trading securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 44,456 | |
With No Specific Maturity [Member] | Trading securities [member] | Equity security [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 44,456 | |
With No Specific Maturity [Member] | Trading securities [member] | Equity security [member] | Common shares [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 44,423 | |
With No Specific Maturity [Member] | Trading securities [member] | Equity security [member] | Preference shares [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 33 | |
With No Specific Maturity [Member] | Non trading financial assets at fair value through profit or loss [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 1,248 | |
With No Specific Maturity [Member] | Non trading financial assets at fair value through profit or loss [member] | Other debt securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 499 | |
With No Specific Maturity [Member] | Non trading financial assets at fair value through profit or loss [member] | Other debt securities [member] | Canadian issuers [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 464 | |
With No Specific Maturity [Member] | Non trading financial assets at fair value through profit or loss [member] | Other debt securities [member] | Other Issuers [Member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 35 | |
With No Specific Maturity [Member] | Non trading financial assets at fair value through profit or loss [member] | Equity security [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 749 | |
With No Specific Maturity [Member] | Non trading financial assets at fair value through profit or loss [member] | Equity security [member] | Common shares [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 698 | |
With No Specific Maturity [Member] | Non trading financial assets at fair value through profit or loss [member] | Equity security [member] | Preference shares [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 51 | |
With No Specific Maturity [Member] | Securities at fair value through other comprehensive income [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 3,319 | |
With No Specific Maturity [Member] | Securities at fair value through other comprehensive income [member] | Equity securities [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 3,319 | |
With No Specific Maturity [Member] | Securities at fair value through other comprehensive income [member] | Equity securities [member] | Common shares [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | 2,221 | |
With No Specific Maturity [Member] | Securities at fair value through other comprehensive income [member] | Equity securities [member] | Preference shares [member] | | |
Disclosure of securities according to their remaining contractual maturities [line Items] | | |
Total securities | $ 1,098 | |