Quarterly Financial Performance slide image

Quarterly Financial Performance

Back to Table of Contents 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) 16
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