Financial Overview and Sector Exposure slide image

Financial Overview and Sector Exposure

STRONG CAPITAL POSITION CET1 Ratio (1) 0.58% 12.43% (0.14%) (0.05%) (0.06%) (0.03%) 12.73% Q4 21 Net Income (Net of Div.) RWA (Ex. FX) Common ECL shares Transitional Repurchase Add-Back Other Q1 22 Risk-Weighted Assets (1) ($MM) $104,358 $406 $1,676 ($272) $106,168 Q4 21 Credit Risk Operational Risk Market Risk Q1 22 ☐ Strong CET1 ratio of 12.7% (2) ■ Robust net income generation RWA growth primarily driven by loan growth ■ NCIB: 500k common shares repurchased in Q1 (1) Represents a capital management measure. See slide 2. (2) Ratio takes into account the transitional relief measures granted by OSFI in the context of COVID-19 (12.7% excluding ECL transitional relief measures). For additional details regarding relief measures introduced by the regulatory authorities, see page 17 of the Bank's 2021 Annual Report to Shareholders. 9 |
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