Quarterly Financial Performance
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Consolidated Statement of Changes in Equity
($ millions)
Common Shares
Balance at beginning of period
Share issuance, net of repurchase/redemptions
Balance at end of period
Retained Earnings
2023
Q3
22
Q2
Q1
Q4
2022
33
22
Q2
Q1
2021
Year-To-Date
Full Year
64
Q4
Q3
2023
2022
2022
2021
19,160
467
18,732
428
18,707
18,728
18,799
18,421
18,507
18,493
25
19,627
19,160
18,732
(21)
18,707
(71)
378
(86)
14
18,377
116
18,707
18,507
18,507
920
221
200
18,239
268
18,728
18,799
18,421
18,507
18,493
19,627
18,728
18,707
18,507
Balance at beginning of period
54,967
54,165
53,761
53,151
52,209
51,848.
51,354
50,044
48,713
53,761
51,354
51,354
46,345
Net income attributable to common shareholders of the Bank
Dividends paid to common shareholders of the Bank
2,086
2,029
1,631
1,949
2,504
2,595
2,608
2,411
2,426
5,746
7,707
9,656
9,391
(1,270)
(1,227)
(1,228)
(1,227)
(1,229)
(1,195)
(1,207)
(1,095)
(1,093)
(3,725)
(3,631)
(4,858)
(4,371)
Shares repurchased/redeemed
Other
Balance at end of period
(102)
(331)
(1,038)
(896)
(2,265)
(2,367)
1
(10)
(2)
(1)
(11)
(6)
(2)
1
(14)
(24)
(11)
55,783
54,967
54,165
53,761
53,151
52,209
51,848
51,354
50,044
55,783
53,151
53,761
51,354
Accumulated Other Comprehensive Income (Loss)
Balance at beginning of period
(4,906)
(6,640)
(7,166)
(6,684)
(6,034)
(4,324)
(5,333)
(3,986)
(3,979)
(7,166)
(5,333)
(5,333)
(2,125)
Other comprehensive income, net of income tax
(2,434)
1,734
526
(482)
(650)
(1,710)
1,009
(1,347)
(7)
(174)
(1,351)
(1,833)
(3,208)
Foreign currency translation
(812)
632
524
2,218
(753)
(264)
1,030
(803)
(166)
344
13
2,231
(3,381)
Debt instruments at fair value through other comprehensive income
Equity instruments at fair value through other comprehensive income
Cash flow hedges
101
201
333
(532)
(26)
(495)
(159)
(239)
(124)
635
(680)
(1,212)
(600)
(158)
(39)
82
(104)
(122)
22
129
94
73
(115)
29
(75)
454
(415)
(98)
537
(1,933)
(49)
(2,350)
(240)
(680)
225
24
(2,639)
(4,572)
(853)
Other
(1,150)
1,038
(950)
(131)
Balance at end of period
(7,340)
(4,906)
(6,640)
(7,166)
300
(6,684)
1,377
(6,034)
249
(4,324)
281
(15)
(1,062)
1,926
1,795
1,172
(5,333)
(3,986)
(7,340)
(6,684)
(7,166)
(5,333)
Other Reserves
Balance at beginning of period
Share-based payments
Shares issued
Other
Balance at end of period
Total Common Equity at End of Period
(144)
(145)
(152)
(152)
(141)
227
222
169
348
(152)
222
222
360
1
2
པ
9
1
1
2
6
(1)
(2)
(1)
(4)
(13)
55
(12)
(366)
12
(88)
(144)
(145)
(152)
(152)
(141)
227
222
– བྱ་སླུ
1
1
12
9
10
7
(2)
(6)
(3)
(17)
(18)
(25)
54
(174)
55
(366)
(366)
(120)
169
(88)
(152)
(152)
222
67,982
69,077
66,112
65,150
65,043
64,833
66,172
64,750
64,720
67,982
65,043
65,150
64,750
Composition of Accumulated Other Comprehensive Income (Loss)
Foreign currency translation
(2,134)
(1,322)
(1,954)
(2,478)
(4,696)
(3,943)
(3,679)
(4,709)
(3,906)
Debt instruments at fair value through other comprehensive income
Equity instruments at fair value through other comprehensive income
Cash flow hedges
(847)
(948)
(1,149)
(1,482)
(950)
(924)
(429)
(270)
(31)
101
259
298
216
320
442
420
291
197
(4,762)
Other
302
Total
(7,340)
(4,347)
1,452
(4,906)
(4,249)
414
(6,640)
(4,786)
1,364
(7,166)
(2,853)
1,495
(6,684)
(2,804)
(454)
(214)
466
1,195
(182)
(431)
(712)
(6,034)
(4,324)
(5,333)
(3,986)
Scotiabank
Supplementary Financial Information (SFI)
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