Securities (Summary of Securities Maturity Schedule) (Details) - CAD ($) $ in Millions | Oct. 31, 2024 | Oct. 31, 2023 |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | $ 512,297 | $ 513,541 |
Trading securities [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 137,786 | 126,418 |
Trading securities [member] | Government and government-related securities [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 46,575 | 51,493 |
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 | 10,242 | 9,145 |
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 | 6,398 | 7,445 |
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 | 18,861 | 24,394 |
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 | 9,722 | 8,811 |
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 | 1,040 | 1,484 |
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 | 312 | 214 |
Trading securities [member] | Other debt securities [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 22,482 | 20,685 |
Trading securities [member] | Other debt securities [member] | Canadian issuers [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 6,623 | 6,072 |
Trading securities [member] | Other debt securities [member] | Other Issuers [Member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 15,859 | 14,613 |
Trading securities [member] | Equity securities [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 68,728 | 54,237 |
Trading securities [member] | Equity securities [member] | Common shares [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 68,670 | 54,204 |
Trading securities [member] | Equity securities [member] | Preference shares [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 58 | 33 |
Trading securities [member] | Retained interests [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 1 | 3 |
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 | 2,812 | 3,845 |
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 | 271 | 288 |
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 | 271 | 288 |
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 | 1,376 | 2,683 |
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 | 414 | 1,885 |
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 | 912 | 750 |
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 | 50 | 48 |
Non Trading Financial Assets At Fair Value Through Profit Or Loss [Member] | Equity securities [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 1,165 | 874 |
Non Trading Financial Assets At Fair Value Through Profit Or Loss [Member] | Equity securities [member] | Common shares [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 1,105 | 816 |
Non Trading Financial Assets At Fair Value Through Profit Or Loss [Member] | Equity securities [member] | Preference shares [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 60 | 58 |
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 | 6,417 | 5,818 |
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 | 3,056 | 2,720 |
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 | 294 | 484 |
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 | 2,443 | 1,817 |
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 | 9 | 8 |
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 | 310 | 411 |
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 | 3,361 | 3,098 |
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 | 2,395 | 2,577 |
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 | 966 | 521 |
Securities at fair value through other comprehensive income [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 93,667 | 69,444 |
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 | 78,422 | 52,927 |
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 | 18,139 | 18,210 |
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 | 21,270 | 19,940 |
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 | 35,197 | 11,002 |
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 | 1,679 | 1,498 |
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 | 2,137 | 2,277 |
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 | 10,830 | 13,004 |
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 | 1,384 | 4,114 |
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 | 9,446 | 8,890 |
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 | 4,415 | 3,513 |
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 | 3,914 | 3,170 |
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 | 501 | 343 |
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 | 271,615 | 308,016 |
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 | 205,098 | 230,304 |
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 | 22,991 | 25,344 |
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 | 18,614 | 17,474 |
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 | 124,099 | 146,217 |
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 | 39,394 | 41,269 |
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 | 66,517 | 77,712 |
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 | 29,708 | 39,888 |
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 | 15,362 | 16,791 |
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 | 4,722 | 4,552 |
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 | 16,725 | $ 16,481 |
Within 1 year [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 75,321 | |
Within 1 year [member] | Trading securities [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 22,751 | |
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 | 18,304 | |
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 | 4,765 | |
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 | 872 | |
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 | 4,308 | |
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 | 7,790 | |
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 | 459 | |
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 | 110 | |
Within 1 year [member] | Trading securities [member] | Other debt securities [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 4,447 | |
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 | 900 | |
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 | 3,547 | |
Within 1 year [member] | Trading securities [member] | Equity securities [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 0 | |
Within 1 year [member] | Trading securities [member] | Equity securities [member] | Common shares [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 0 | |
Within 1 year [member] | Trading securities [member] | Equity securities [member] | Preference shares [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 0 | |
Within 1 year [member] | Trading securities [member] | Retained interests [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 0 | |
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 | 22 | |
Within 1 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 | 0 | |
Within 1 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 | 0 | |
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 | 22 | |
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 | 2 | |
Within 1 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 | |
Within 1 year [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 | 0 | |
Within 1 year [member] | Non Trading Financial Assets At Fair Value Through Profit Or Loss [Member] | Equity securities [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 0 | |
Within 1 year [member] | Non Trading Financial Assets At Fair Value Through Profit Or Loss [Member] | Equity securities [member] | Common shares [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 0 | |
Within 1 year [member] | Non Trading Financial Assets At Fair Value Through Profit Or Loss [Member] | Equity securities [member] | Preference shares [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 0 | |
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 | 2,009 | |
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 | 950 | |
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 | 251 | |
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 | 511 | |
Within 1 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 | 0 | |
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 | 188 | |
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 | 1,059 | |
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 | 988 | |
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 | 71 | |
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 | 29,490 | |
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 | 28,099 | |
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 | 4,587 | |
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 | 2,807 | |
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 | 19,837 | |
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 | 863 | |
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 | 5 | |
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 | 1,391 | |
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 | 0 | |
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 | 1,391 | |
Within 1 year [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 | 0 | |
Within 1 year [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 | 0 | |
Within 1 year [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 | 0 | |
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 | 21,049 | |
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 | 18,144 | |
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 | 1,858 | |
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 | 1,587 | |
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 | 3,565 | |
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 | 11,134 | |
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 | 2,905 | |
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 | 49 | |
Within 1 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 | 0 | |
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 | 309 | |
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 | 2,547 | |
One To Three Year [Member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 97,784 | |
One To Three Year [Member] | Trading securities [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 15,987 | |
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 | 5,856 | |
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 | 1,228 | |
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 | 1,023 | |
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 | 2,215 | |
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 | 861 | |
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 | 480 | |
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 | 49 | |
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 | 10,131 | |
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 | 2,722 | |
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 | 7,409 | |
One To Three Year [Member] | Trading securities [member] | Equity securities [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 0 | |
One To Three Year [Member] | Trading securities [member] | Equity securities [member] | Common shares [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 0 | |
One To Three Year [Member] | Trading securities [member] | Equity securities [member] | Preference shares [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 0 | |
One To Three Year [Member] | Trading securities [member] | Retained interests [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 0 | |
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 | 95 | |
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 | 0 | |
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 | 0 | |
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 | 95 | |
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 | 13 | |
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 | 82 | |
One To Three Year [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 | 0 | |
One To Three Year [Member] | Non Trading Financial Assets At Fair Value Through Profit Or Loss [Member] | Equity securities [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 0 | |
One To Three Year [Member] | Non Trading Financial Assets At Fair Value Through Profit Or Loss [Member] | Equity securities [member] | Common shares [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 0 | |
One To Three Year [Member] | Non Trading Financial Assets At Fair Value Through Profit Or Loss [Member] | Equity securities [member] | Preference shares [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 0 | |
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 | 2,266 | |
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 | 567 | |
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 federal government [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 30 | |
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 | 424 | |
One To Three 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 | 9 | |
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 | 104 | |
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 | 1,699 | |
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 | 882 | |
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 | 817 | |
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 | 11,439 | |
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 | 8,839 | |
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 | 1,070 | |
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 | 2,376 | |
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 | 3,333 | |
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 | 521 | |
One To Three 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 | 1,539 | |
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 | 2,600 | |
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 | 0 | |
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 | 2,600 | |
One To Three Year [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 | 0 | |
One To Three Year [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 | 0 | |
One To Three Year [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 | 0 | |
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 | 67,997 | |
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 | 52,346 | |
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 | 12,431 | |
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 | 2,496 | |
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 | 19,028 | |
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 | 18,391 | |
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 | 15,651 | |
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 | 6,653 | |
One To Three 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 | 0 | |
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 | 2,899 | |
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 | 6,099 | |
Three To Five Year [Member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 79,770 | |
Three To Five Year [Member] | Trading securities [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 8,476 | |
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 | 4,650 | |
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 | 1,876 | |
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 | 669 | |
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 | 1,580 | |
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 | 354 | |
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 | 97 | |
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 | 74 | |
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 | 3,825 | |
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 | 1,037 | |
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 | 2,788 | |
Three To Five Year [Member] | Trading securities [member] | Equity securities [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 0 | |
Three To Five Year [Member] | Trading securities [member] | Equity securities [member] | Common shares [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 0 | |
Three To Five Year [Member] | Trading securities [member] | Equity securities [member] | Preference shares [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 0 | |
Three To Five Year [Member] | Trading securities [member] | Retained interests [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 1 | |
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 | 534 | |
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 | 0 | |
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 | 0 | |
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 | 534 | |
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 | 373 | |
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 | 161 | |
Three To Five Year [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 | 0 | |
Three To Five Year [Member] | Non Trading Financial Assets At Fair Value Through Profit Or Loss [Member] | Equity securities [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 0 | |
Three To Five Year [Member] | Non Trading Financial Assets At Fair Value Through Profit Or Loss [Member] | Equity securities [member] | Common shares [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 0 | |
Three To Five Year [Member] | Non Trading Financial Assets At Fair Value Through Profit Or Loss [Member] | Equity securities [member] | Preference shares [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 0 | |
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 | 743 | |
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 | 275 | |
Three To Five 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 | 10 | |
Three To Five 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 | 247 | |
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 | 0 | |
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 | 18 | |
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 | 468 | |
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 | 395 | |
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 | 73 | |
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 | 14,056 | |
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 | 12,339 | |
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 | 3,447 | |
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 | 6,346 | |
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 | 1,780 | |
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 | 173 | |
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 | 593 | |
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 | 1,717 | |
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 | 38 | |
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 | 1,679 | |
Three To Five Year [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 | 0 | |
Three To Five Year [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 | 0 | |
Three To Five Year [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 | 0 | |
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 | 55,961 | |
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 | 45,704 | |
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 | 5,222 | |
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 | 5,192 | |
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 | 28,157 | |
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 | 7,133 | |
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 | 10,257 | |
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 | 3,821 | |
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 | 0 | |
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 | 392 | |
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 | 6,044 | |
Five To Ten Years [Member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 91,376 | |
Five To Ten Years [Member] | Trading securities [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 8,684 | |
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 | 6,062 | |
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 | 1,238 | |
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 | 1,558 | |
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 | 2,686 | |
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 | 497 | |
Five To Ten Years [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 | 4 | |
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 | 79 | |
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 | 2,622 | |
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 | 1,194 | |
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 | 1,428 | |
Five To Ten Years [Member] | Trading securities [member] | Equity securities [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 0 | |
Five To Ten Years [Member] | Trading securities [member] | Equity securities [member] | Common shares [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 0 | |
Five To Ten Years [Member] | Trading securities [member] | Equity securities [member] | Preference shares [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 0 | |
Five To Ten Years [Member] | Trading securities [member] | Retained interests [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 0 | |
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 | 42 | |
Five To 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 | 0 | |
Five To 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 | 0 | |
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 | 42 | |
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 | 11 | |
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 | 31 | |
Five To Ten Years [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 | 0 | |
Five To Ten Years [Member] | Non Trading Financial Assets At Fair Value Through Profit Or Loss [Member] | Equity securities [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 0 | |
Five To Ten Years [Member] | Non Trading Financial Assets At Fair Value Through Profit Or Loss [Member] | Equity securities [member] | Common shares [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 0 | |
Five To Ten Years [Member] | Non Trading Financial Assets At Fair Value Through Profit Or Loss [Member] | Equity securities [member] | Preference shares [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 0 | |
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 | 1,265 | |
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 | 1,202 | |
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 federal government [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 0 | |
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 | 1,202 | |
Five To Ten Years [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 | 0 | |
Five To Ten Years [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 | 0 | |
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 | 63 | |
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 | 58 | |
Five To Ten Years [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 | 5 | |
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 | 28,752 | |
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 | 26,561 | |
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 | 8,651 | |
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 | 9,609 | |
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 | 8,179 | |
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 | 122 | |
Five To Ten Years [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 | 0 | |
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 | 2,191 | |
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 | 94 | |
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 | 2,097 | |
Five To Ten Years [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 | 0 | |
Five To Ten Years [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 | 0 | |
Five To Ten Years [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 | 0 | |
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 | 52,633 | |
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 | 42,533 | |
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 | 2,095 | |
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 | 9,339 | |
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 | 28,363 | |
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 | 2,736 | |
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 | 10,100 | |
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 | 6,734 | |
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 | 209 | |
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 | 1,122 | |
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 | 2,035 | |
Later than ten years [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 93,051 | |
Later than ten years [member] | Trading securities [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 13,159 | |
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 | 11,703 | |
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 | 1,135 | |
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 | 2,276 | |
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 | 8,072 | |
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 | 220 | |
Later than ten years [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 | 0 | |
Later than 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 | 0 | |
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 | 1,456 | |
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 | 770 | |
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 | 686 | |
Later than ten years [member] | Trading securities [member] | Equity securities [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 0 | |
Later than ten years [member] | Trading securities [member] | Equity securities [member] | Common shares [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 0 | |
Later than ten years [member] | Trading securities [member] | Equity securities [member] | Preference shares [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 0 | |
Later than ten years [member] | Trading securities [member] | Retained interests [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 0 | |
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 | 286 | |
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 | 271 | |
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 | 271 | |
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 | 15 | |
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 | 15 | |
Later than 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 | 0 | |
Later than ten years [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 | 0 | |
Later than ten years [member] | Non Trading Financial Assets At Fair Value Through Profit Or Loss [Member] | Equity securities [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 0 | |
Later than ten years [member] | Non Trading Financial Assets At Fair Value Through Profit Or Loss [Member] | Equity securities [member] | Common shares [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 0 | |
Later than ten years [member] | Non Trading Financial Assets At Fair Value Through Profit Or Loss [Member] | Equity securities [member] | Preference shares [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 0 | |
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 | 116 | |
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 | 50 | |
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 federal government [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 3 | |
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 | 47 | |
Later than ten years [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 | 0 | |
Later than ten years [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 | 0 | |
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 | 66 | |
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 | 66 | |
Later than ten years [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 | 0 | |
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 | 5,515 | |
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 | 2,584 | |
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 | 384 | |
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 | 132 | |
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 | 2,068 | |
Later than 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 | 0 | |
Later than ten years [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 | 0 | |
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 | 2,931 | |
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 | 1,252 | |
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 | 1,679 | |
Later than ten years [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 | 0 | |
Later than ten years [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 | 0 | |
Later than ten years [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 | 0 | |
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 | 73,975 | |
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 | 46,371 | |
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 | 1,385 | |
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] | 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 | 44,986 | |
Later than 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 | 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 | 27,604 | |
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 | 12,451 | |
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 | 15,153 | |
Later than 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 | 0 | |
Later than 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 | 0 | |
With No Specific Maturity [Member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 74,995 | |
With No Specific Maturity [Member] | Trading securities [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 68,729 | |
With No Specific Maturity [Member] | Trading securities [member] | Government and government-related securities [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 0 | |
With No Specific Maturity [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 | 0 | |
With No Specific Maturity [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 | 0 | |
With No Specific Maturity [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 | 0 | |
With No Specific Maturity [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 | 0 | |
With No Specific Maturity [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 | 0 | |
With No Specific Maturity [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 | 0 | |
With No Specific Maturity [Member] | Trading securities [member] | Other debt securities [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 1 | |
With No Specific Maturity [Member] | Trading securities [member] | Other debt securities [member] | Canadian issuers [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 0 | |
With No Specific Maturity [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 | |
With No Specific Maturity [Member] | Trading securities [member] | Equity securities [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 68,728 | |
With No Specific Maturity [Member] | Trading securities [member] | Equity securities [member] | Common shares [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 68,670 | |
With No Specific Maturity [Member] | Trading securities [member] | Equity securities [member] | Preference shares [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 58 | |
With No Specific Maturity [Member] | Trading securities [member] | Retained interests [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 0 | |
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 | 1,833 | |
With No Specific Maturity [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 | 0 | |
With No Specific Maturity [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 | 0 | |
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 | 668 | |
With No Specific Maturity [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 | 0 | |
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 | 618 | |
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 | 50 | |
With No Specific Maturity [Member] | Non Trading Financial Assets At Fair Value Through Profit Or Loss [Member] | Equity securities [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 1,165 | |
With No Specific Maturity [Member] | Non Trading Financial Assets At Fair Value Through Profit Or Loss [Member] | Equity securities [member] | Common shares [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 1,105 | |
With No Specific Maturity [Member] | Non Trading Financial Assets At Fair Value Through Profit Or Loss [Member] | Equity securities [member] | Preference shares [member] | | |
Disclosure Of Securities According To Their Remaining Contractual Maturities [Line Items] | | |
Total securities | 60 | |
With No Specific Maturity [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 | 18 | |
With No Specific Maturity [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 | 12 | |
With No Specific Maturity [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 | 0 | |
With No Specific Maturity [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 | 12 | |
With No Specific Maturity [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 | 0 | |
With No Specific Maturity [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 | 0 | |
With No Specific Maturity [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 | 6 | |
With No Specific Maturity [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 | 6 | |
With No Specific Maturity [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 | 0 | |
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 | 4,415 | |
With No Specific Maturity [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 | 0 | |
With No Specific Maturity [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 | 0 | |
With No Specific Maturity [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 | 0 | |
With No Specific Maturity [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 | 0 | |
With No Specific Maturity [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 | 0 | |
With No Specific Maturity [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 | 0 | |
With No Specific Maturity [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 | 0 | |
With No Specific Maturity [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 | 0 | |
With No Specific Maturity [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 | 0 | |
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 | 4,415 | |
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 | 3,914 | |
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 | 501 | |
With No Specific Maturity [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 | 0 | |
With No Specific Maturity [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 | 0 | |
With No Specific Maturity [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 | 0 | |
With No Specific Maturity [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 | |
With No Specific Maturity [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 | 0 | |
With No Specific Maturity [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 | 0 | |
With No Specific Maturity [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 | 0 | |
With No Specific Maturity [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 | 0 | |
With No Specific Maturity [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 | 0 | |
With No Specific Maturity [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 | 0 | |
With No Specific Maturity [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 | $ 0 | |