Sign in

ROYAL BANK OF CANADA

Income Statement - ROYAL BANK OF CANADA (RY)

$(Billion, Million)
Oct-25 Oct-24 Oct-23 Oct-22 Oct-21 Oct-20 Oct-19 Oct-18 Dec-17 Oct-17 Sep-17 Mar-17 Dec-16 Oct-16 Sep-16 Mar-16 Dec-15 Oct-15 Sep-15 Mar-15
Total revenue 137.36 134.49 113.45 66.83 57.68 61.15 67.35 57.58 2.89 49.89 29.44 12.59 2.81 45.99 28.82 12.42 2.80 43.05 27.86 13.38
Cost of revenue 75.19 80.23 64.33 18.54 7.39 18.40 23.45 16.38 1.43 10.91 0.00 0.00 1.41 9.47 0.00 0.00 1.54 9.06 0.00 0.00
Gross profit 62.17 54.26 49.12 48.29 50.29 42.75 43.90 41.21 1.46 38.97 0.00 12.59 1.40 36.52 0.00 12.42 1.26 34.00 0.00 13.38
Total operating expenses + 36.52 34.40 30.94 28.18 29.66 28.36 27.99 25.45 0.00 24.30 0.00 0.00 0.00 23.22 0.00 0.00 0.00 21.38 0.00 0.00
Operating income 25.65 19.86 18.18 20.11 20.63 14.39 15.91 15.76 0.69 14.67 2.90 0.67 13.30 1.47 0.61 12.62 2.89
Non-operating income (net) 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 -0.12 0.00 9.04 0.00 -0.13 0.00 8.15 0.00 -0.13 0.00 8.02 0.00
Income before tax 25.65 19.86 18.18 20.11 20.63 14.39 15.91 15.76 0.56 14.67 9.04 2.90 0.54 13.30 8.15 1.47 0.48 12.62 8.02 2.89
Income tax expense 5.28 3.62 3.57 4.30 4.58 2.95 3.04 3.33 0.19 3.20 2.76 0.72 0.21 2.84 2.44 0.20 0.18 2.60 2.35 1.01
Net income 20.36 16.23 14.61 15.79 16.04 11.43 12.86 12.40 0.38 11.43 6.27 2.15 0.33 10.41 5.70 1.17 0.30 9.93 5.63 1.87
Show Quarterly Income Statement

Income Statement - ROYAL BANK OF CANADA (RY)

$(Billion, Million)
Apr-26 Jan-26 Oct-25 Jul-25 Apr-25 Jan-25 Oct-24 Jul-24 Apr-24 Jan-24 Oct-23 Jul-23 Apr-23 Jan-23 Oct-22 Jul-22 Apr-22 Jan-22 Oct-21 Jul-21 Apr-21 Jan-21 Oct-20 Jul-20 Apr-20 Jan-20 Oct-19 Jul-19 Apr-19 Jan-19 Oct-18 Jul-18 Apr-18 Jan-18 Oct-17 Jul-17 Apr-17 Jan-17 Oct-16 Jul-16 Apr-16 Jan-16 Oct-15 Jul-15 Apr-15 Jan-15 Oct-14 Jul-14 Apr-14 Jan-14 Oct-13 Jul-13 Apr-13 Jan-13 Oct-12 Jul-12 Apr-12 Jan-12 Oct-11 Jul-11 Apr-11 Jan-11 Oct-10 Jul-10 Apr-10 Jan-10 Oct-09 Jul-09 Apr-09 Jan-09 Oct-08 Jul-08 Apr-08 Jan-08 Oct-07 Jul-07 Apr-07 Jan-07 Oct-06 Jul-06 Apr-06
Total revenue 33.93 35.44 34.84 34.72 32.57 35.23 33.89 34.45 33.11 33.03 31.21 29.47 26.65 26.46 21.16 16.94 13.68 15.14 14.30 14.65 13.61 15.12 13.53 15.72 14.08 17.83 16.65 17.12 16.84 16.88 14.92 15.04 13.48 13.90 13.39 12.61 12.66 11.32 10.96 11.99 11.46 11.17 9.85 10.77 10.79 11.64 10.26 10.97 10.21 10.40 9.93 9.09 9.59 9.81 9.55 9.84 8.99 9.73 8.46 9.25 9.21 9.67 9.26 8.49 8.80 9.25 9.47 9.74 9.00 10.06 8.63 9.52 9.12 10.30 10.12 10.40 10.37 10.28 9.74 9.29 8.76
Cost of revenue 17.42 18.61 18.65 18.64 18.34 19.56 19.67 20.42 20.05 20.09 18.68 17.16 14.82 13.67 9.00 5.19 2.14 2.21 1.73 1.41 1.95 2.31 2.88 3.49 6.59 5.44 5.96 6.02 5.79 5.82 4.61 4.38 3.72 3.43 3.02 2.87 2.60 2.43 2.38 2.38 2.44 2.27 2.19 2.24 2.28 2.34 2.26 2.31 2.22 2.28 2.37 2.22 2.20 2.34 2.39 2.41 2.42 2.44 2.22 2.68 2.66 2.72 2.49 2.11 2.34 2.41 2.81 2.69 3.21 3.78 4.18 3.94 4.51 4.94 4.76 5.10 4.89 4.74 4.55 4.18 3.76
Gross profit 16.51 16.83 16.19 16.08 14.23 15.67 14.22 14.03 13.06 12.94 12.53 12.31 11.83 12.80 12.16 11.75 11.54 12.93 12.57 13.25 11.66 12.81 10.65 12.23 7.49 12.40 10.69 11.10 11.06 11.06 10.31 10.67 9.77 10.47 10.38 9.74 10.07 8.89 8.58 9.61 9.03 8.90 7.66 8.53 8.51 9.29 8.00 8.66 7.99 8.12 7.55 6.87 7.40 7.47 7.16 7.42 6.57 7.30 6.24 6.57 6.56 6.95 6.77 6.38 6.46 6.84 6.66 7.05 5.79 6.28 4.45 5.58 4.61 5.35 5.35 5.30 5.48 5.54 5.19 5.11 5.00
Total operating expenses + 9.43 9.43 9.36 9.21 8.71 9.24 9.01 8.66 8.13 8.59 8.46 7.71 7.39 7.56 7.30 7.19 6.23 7.55 7.58 7.68 6.48 7.92 6.50 8.15 5.75 7.97 6.79 7.02 7.06 7.12 6.37 6.77 5.89 6.42 6.83 6.15 6.38 5.04 5.27 5.97 5.83 5.74 4.86 5.26 5.19 6.06 5.06 5.57 5.12 5.32 5.00 4.22 4.91 4.71 4.65 4.75 4.49 4.87 4.19 4.50 4.39 4.24 5.24 4.63 4.67 4.76 4.93 5.01 5.53 4.70 2.82 3.87 3.52 3.77 3.77 3.56 3.85 3.61 3.59 3.53 3.52
Operating income 7.10 7.41 6.83 6.87 5.52 6.43 5.22 5.37 4.93 4.35 4.07 4.60 4.45 5.24 4.86 4.56 5.31 5.38 4.99 5.57 5.19 4.89 4.15 4.08 1.74 4.43 3.90 4.08 4.00 3.94 3.94 3.90 3.88 4.05 3.54 3.59 3.69 3.85 3.31 3.64 3.19 3.16 2.81 3.27 3.32 3.23 2.95 3.10 2.87 2.80 2.56 2.65 2.48 2.76 2.51 2.67 2.08 2.43 2.05 2.08 2.16 2.72 1.53 1.76 1.80 2.09 1.73 2.05 0.25 1.58 1.63 1.70 1.08 1.59 1.58 1.74 1.63 1.93 1.60 1.57 1.48
Non-operating income (net) -0.02 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Income before tax 7.08 7.41 6.83 6.87 5.52 6.43 5.22 5.37 4.93 4.35 4.07 4.60 4.45 5.24 4.86 4.56 5.31 5.38 4.99 5.57 5.19 4.89 4.15 4.08 1.74 4.43 3.90 4.08 4.00 3.94 3.94 3.90 3.88 4.05 3.54 3.59 3.69 3.85 3.31 3.64 3.19 3.16 2.81 3.27 3.32 3.23 2.95 3.10 2.87 2.80 2.56 2.65 2.48 2.76 2.51 2.67 2.08 2.43 2.05 2.08 2.16 2.72 1.53 1.76 1.80 2.09 1.73 2.05 0.25 1.58 1.63 1.70 1.08 1.59 1.58 1.74 1.63 1.93 1.60 1.57 1.48
Income tax expense 1.59 1.62 1.39 1.46 1.13 1.30 0.99 0.89 0.98 0.77 -0.06 0.74 0.77 2.10 0.98 0.98 1.06 1.29 1.10 1.28 1.17 1.04 0.90 0.88 0.26 0.92 0.69 0.82 0.77 0.77 0.69 0.79 0.82 1.04 0.70 0.79 0.88 0.83 0.77 0.74 0.62 0.71 0.21 0.79 0.82 0.78 0.61 0.72 0.67 0.71 0.46 0.36 0.57 0.71 0.60 0.43 0.52 0.55 0.43 0.40 0.48 0.72 0.38 0.35 0.44 0.57 0.42 0.45 0.27 0.46 0.43 0.44 0.16 0.34 0.25 0.35 0.35 0.44 0.34 0.38 0.35
Net income 5.51 5.78 5.43 5.42 4.39 5.13 4.22 4.48 3.95 3.58 4.13 3.86 3.68 3.13 3.88 3.58 4.25 4.09 3.89 4.29 4.01 3.85 3.25 3.20 1.48 3.50 3.20 3.26 3.23 3.17 3.25 3.10 3.05 3.00 2.83 2.78 2.80 3.02 2.53 2.89 2.56 2.43 2.57 2.45 2.47 2.43 2.32 2.35 2.18 2.07 2.08 2.26 1.89 2.02 1.89 2.22 1.51 1.83 1.60 1.27 1.61 1.92 1.12 1.28 1.33 1.50 1.29 1.56 -0.05 1.11 1.12 1.26 0.93 1.24 1.32 1.39 1.28 1.49 1.26 1.18 1.12
about 2 months ago
Oct-25 Oct-24 Oct-23 Oct-22 Oct-21 Oct-20 Oct-19 Oct-18 Dec-17 Oct-17 Sep-17 Mar-17 Dec-16 Oct-16 Sep-16 Mar-16 Dec-15 Oct-15 Sep-15 Mar-15
Total cash and short-term investments + 165.28 167.13 212.00 240.60 231.03 297.64 167.13 161.29 0.01 151.79 82.77 127.62 0.01 127.58 76.71 114.84 0.00 91.95 69.08 85.47
Accounts receivable, net 41.21 32.89 29.79 26.24 22.53 18.63 19.73 15.01 0.45 10.59 5.59 10.96 0.43 10.08 7.62 12.14 0.61 9.55 6.73 12.40
Inventories -875.63 -867.39 -786.40 -768.58 -667.73 -624.99 0.05 -450.41 0.05 -422.28 0.04 0.00
Other current assets -32.89 875.63 867.39 786.40 768.58 667.73 624.99 0.25 450.41 0.39 422.28 0.30 712.63
Total current assets 206.49 200.01 241.80 266.84 253.56 316.27 186.86 156.29 0.75 181.08 0.87 137.66 0.96 130.88
Total non-current assets + 2,118.52 1,971.57 1,764.73 1,650.38 1,452.77 299.80 268.11 242.21 237.22 1,042.60 230.70
Total assets 2,325.01 2,171.58 2,006.53 1,917.22 1,706.32 1,624.55 1,428.94 1,334.73 10.63 1,212.85 668.43 384.57 10.04 1,180.26 642.20 365.59 9.59 1,074.21 570.34 348.41
Total current liabilities + 1,554.49 1,464.92 1,329.87 1,287.07 1,229.84 90.11 107.74 96.52 1.09 83.04 1.01 774.93 0.94 90.24
Total non-current liabilities + 631.37 579.47 561.51 521.98 377.72 12.86 12.46 96.52 83.04 333.72 90.24
Total liabilities 2,185.86 2,044.39 1,891.38 1,809.04 1,607.56 1,537.78 1,345.31 1,254.78 6.93 1,138.43 620.34 359.53 6.45 1,108.65 597.72 341.56 6.34 1,010.26 533.05 325.83
Total stockholders' equity + 139.09 127.09 115.05 108.06 98.67 86.77 83.63 79.96 3.70 74.43 48.09 25.04 3.59 71.02 44.48 24.02 3.26 63.94 37.29 22.58
Common shares outstanding 1,410 1,414 1,393 1,406 1,427 1,429 1,441 1,450 1,474 1,494 1,450
Show Quarterly Balance Sheet
Apr-26 Jan-26 Oct-25 Jul-25 Apr-25 Jan-25 Oct-24 Jul-24 Apr-24 Jan-24 Oct-23 Jul-23 Apr-23 Jan-23 Oct-22 Jul-22 Apr-22 Jan-22 Oct-21 Jul-21 Apr-21 Jan-21 Oct-20 Jul-20 Apr-20 Jan-20 Oct-19 Jul-19 Apr-19 Jan-19 Oct-18 Jul-18 Apr-18 Jan-18 Oct-17 Jul-17 Apr-17 Jan-17 Oct-16 Jul-16 Apr-16 Jan-16 Oct-15 Jul-15 Apr-15 Jan-15 Oct-14 Jul-14 Apr-14 Jan-14 Oct-13 Jul-13 Apr-13 Jan-13 Oct-12 Jul-12 Apr-12 Jan-12 Oct-11 Jul-11 Apr-11 Jan-11 Oct-10 Jul-10 Apr-10 Jan-10 Oct-09 Jul-09 Apr-09 Jan-09 Oct-08 Jul-08 Apr-08 Jan-08 Oct-07 Jul-07 Apr-07 Jan-07 Oct-06 Jul-06 Apr-06
Total cash and short-term investments + 335.25 412.10 165.28 440.33 410.65 403.81 167.13 354.59 327.80 374.04 212.00 391.22 357.73 357.45 240.60 350.34 342.21 347.37 231.03 330.90 306.13 344.85 297.64 350.81 328.22 142.92 167.13 202.22 205.85 227.55 161.29 171.92 159.42 164.66 151.79 145.83 143.43 130.38 127.58 118.06 116.49 113.96 91.95 93.85 75.68 73.49 73.59 68.04 64.17 62.75 63.28 58.28 58.03 60.71 63.70 246.86 254.40 242.92 57.78 262.84 273.59 269.26 60.29 241.56 221.15 163.01 63.49 152.53 146.89 186.13 102.96 214.60 220.38 245.50 67.97 256.34 255.13 248.29 221.52 216.90 197.43
Accounts receivable, net 41.21 32.89 29.79 26.24 22.53 22.53 18.63 0.00 19.73 0.00 0.00 0.00 15.01 0.00 0.00 0.00 10.59 0.00 0.00 0.00 10.08 0.00 0.00 0.00 9.55 0.00 0.00 0.00 9.30 0.00 0.00 0.00 8.08 0.00 0.00 0.00 9.15 9.21 10.64 0.00 6.61 0.00 0.00 0.00 7.60 0.00 0.00 0.00 6.65 0.00 0.00 0.00 14.44 0.00 0.00 0.00 6.66 0.00 0.00 0.00 5.40 0.00 0.00
Inventories -875.63 -867.39 -786.40 0.00 0.00 0.00 0.00 0.00 0.00 0.00 13.83 105.04 99.07 103.17 96.75 109.13 112.82 119.98 121.28 115.75 121.19 131.69 140.57 144.13 134.36 140.05 135.37 133.68 138.07 133.78 138.76 131.14 120.86 116.69 126.67 123.21 145.33 169.20 180.54 170.23 147.20 149.42 148.09 137.69 129.93 126.09 105.74 96.28 101.04 134.34 139.51 150.66 157.06 153.57 153.45 143.71 131.17 121.64 114.14
Other current assets -32.89 709.88 689.67 693.69 693.69 711.13 672.71 672.86 867.39 665.17 661.75 675.11 786.40 668.91 630.33 1,015.27 1,100.81 1,017.65 1,052.80 1,042.54 1,037.96 945.10 912.98 884.05 936.24 884.96 876.29 871.55 794.55 823.25 821.34 788.31 761.69 828.09 790.80 832.71 712.63 740.66 719.27 767.48 613.81 632.46 626.00 638.10 559.53 604.94 619.53 594.69 1.05 616.44 592.05 614.19 0.31 501.51 484.09 471.16 420.59 478.77 437.01 440.68 361.35 447.00 469.74 500.82 419.69 426.49 424.33 422.76 338.53 391.30 369.97 355.70 290.78 329.42 318.31
Total current assets 59.33 46.30 206.49 440.33 410.65 403.81 200.01 354.59 327.80 374.04 241.80 391.22 357.73 357.45 266.84 350.34 342.21 347.37 253.56 330.90 306.13 344.85 223.29 350.81 328.22 142.92 122.22 202.22 205.85 227.55 156.29 171.92 159.42 164.66 162.38 145.83 143.43 130.38 137.66 118.06 116.49 113.96 101.50 93.85 75.68 73.49 82.89 68.04 64.17 62.75 71.35 58.28 58.03 60.71 73.89 31.19 31.39 23.14 64.70 24.06 22.17 19.55 67.88 20.48 17.65 16.80 70.13 16.61 20.64 25.56 117.39 20.90 18.31 17.85 74.63 15.25 12.78 11.51 20.30 15.24 14.10
Total non-current assets + 2,335.96 2,299.78 2,118.52 1,787.57 1,831.48 1,787.22 1,971.57 1,721.52 1,703.25 1,600.37 1,764.73 1,566.52 1,582.57 1,575.57 1,650.38 1,491.75 1,506.37 1,405.10 1,452.77 1,362.64 1,309.19 1,326.30 300.45 1,332.33 1,347.47 1,333.39 268.76 1,204.67 1,173.03 1,138.66 242.21 1,120.45 1,115.36 1,111.62 1,050.48 1,055.22 1,059.49 1,031.39 1,042.60 1,080.81 1,033.86 1,086.40 972.71 991.32 956.50 1,013.20 857.66 845.83 831.72 841.96 788.39 793.03 809.50 776.88 751.21 793.21 768.98 791.88 729.13 706.51 706.75 701.57 658.32 683.95 637.49 642.70 584.86 643.33 659.68 687.61 606.47 615.89 609.16 614.91 525.72 589.33 576.29 560.10 516.48 508.72 488.79
Total assets 2,395.29 2,346.08 2,325.01 2,227.89 2,242.13 2,191.03 2,171.58 2,076.11 2,031.05 1,974.41 2,006.53 1,957.73 1,940.30 1,933.02 1,917.22 1,842.09 1,848.57 1,752.47 1,706.32 1,693.54 1,615.32 1,671.15 1,624.55 1,683.13 1,675.68 1,476.30 1,428.94 1,406.89 1,378.88 1,366.21 1,334.73 1,292.37 1,274.78 1,276.28 1,212.85 1,201.05 1,202.92 1,161.77 1,180.26 1,198.88 1,150.36 1,200.35 1,074.21 1,085.17 1,032.17 1,086.70 940.55 913.87 895.89 904.71 859.75 851.30 867.53 837.59 825.10 824.39 800.37 815.02 793.83 730.57 728.92 721.11 726.21 704.42 655.14 659.50 654.99 659.94 680.32 713.18 723.86 636.79 627.47 632.76 600.35 604.58 589.08 571.62 536.78 523.97 502.89
Total current liabilities + 13.41 278.26 1,554.49 1,459.78 1,436.80 1,431.33 1,464.92 1,391.33 1,329.28 1,305.09 1,329.87 1,276.98 1,212.82 1,235.89 1,287.07 1,259.02 1,244.29 1,244.08 1,229.84 1,216.11 1,157.92 1,184.70 89.47 1,152.08 1,148.53 1,011.86 107.74 975.44 968.28 953.61 96.52 1,043.62 1,026.01 1,013.74 833.87 941.11 950.87 918.96 774.93 919.38 885.15 920.81 691.59 833.13 787.07 795.49 615.92 715.53 701.34 706.26 683.07 658.24 653.26 629.05 627.85 609.62 611.66 592.97 579.78 530.74 547.41 547.29 516.75 510.50 486.03 486.10 529.66 435.13 476.24 488.32 537.82 478.60 542.52 479.25 502.27 467.32 462.31 453.08 471.17 413.24 387.12
Total non-current liabilities + 2,241.15 1,927.75 631.37 632.48 672.81 626.44 579.47 560.29 580.16 552.83 561.51 568.32 616.13 589.33 521.98 479.07 499.88 406.39 377.72 381.13 364.57 396.20 89.47 444.68 442.12 380.38 107.74 349.07 328.65 331.94 96.52 170.88 172.74 189.21 304.55 187.08 178.88 170.66 333.72 209.66 197.08 209.66 318.67 190.15 186.85 233.78 270.12 144.85 143.08 146.94 127.22 144.10 166.25 161.46 151.22 169.85 145.50 179.32 172.60 157.70 138.81 131.51 168.25 153.20 128.80 133.67 86.36 187.06 167.47 188.38 152.91 127.11 56.94 126.96 72.16 111.15 101.18 93.27 41.72 87.38 92.78
Total liabilities 2,254.56 2,206.00 2,185.86 2,092.26 2,109.60 2,057.76 2,044.39 1,951.62 1,909.45 1,857.92 1,891.38 1,845.31 1,828.95 1,825.22 1,809.04 1,738.09 1,744.17 1,650.46 1,607.56 1,597.23 1,522.49 1,580.90 1,537.78 1,596.76 1,590.64 1,392.24 1,345.31 1,324.52 1,296.93 1,285.56 1,254.78 1,214.50 1,198.75 1,202.95 1,138.43 1,128.19 1,129.75 1,089.62 1,108.65 1,129.04 1,082.23 1,130.46 1,010.26 1,023.28 973.93 1,029.27 886.05 860.37 844.41 853.20 810.29 802.33 819.51 790.51 779.07 779.47 757.16 772.29 752.37 688.44 686.22 678.80 685.00 663.70 614.83 619.76 616.01 622.19 643.71 676.70 690.73 605.71 599.46 606.21 574.42 578.48 563.49 546.36 512.88 500.62 479.90
Total stockholders' equity + 140.67 140.02 139.09 135.56 132.45 133.17 127.09 124.39 121.50 116.39 115.05 112.33 111.26 107.70 108.06 103.90 104.30 101.91 98.67 96.22 92.74 90.15 86.66 86.27 84.94 83.96 83.52 82.28 81.85 80.55 79.86 77.78 75.43 72.74 73.83 72.27 72.57 71.57 71.02 69.25 67.54 69.32 62.15 60.10 56.43 55.67 52.69 51.71 49.69 49.74 47.67 47.21 46.25 45.31 44.27 43.17 41.44 40.97 39.70 40.21 40.44 40.07 38.95 38.51 38.06 37.63 36.91 35.61 34.47 34.17 30.76 28.73 25.99 25.03 24.44 24.55 24.08 23.46 22.12 21.55 21.05
Common shares outstanding 1,027 1,029 1,410 1,410 1,414 1,416 1,416 1,416 1,414 1,408 1,400 1,395 1,390 1,385 1,389 1,399 1,413 1,425 1,427 1,427 1,427 1,425 1,426 1,428 1,428 1,433 1,438 1,440 1,441 1,443 1,447 1,447 1,450 1,459 1,465 1,465 1,476 1,492 1,492 1,494 1,496 1,495 1,450 1,450 1,449 1,449 1,449 1,449 1,450 1,459 1,463 1,466 1,468 1,469 1,469 1,470 1,467 1,468 1,468 1,474 1,472 1,474 1,435 1,434 1,434 1,432 1,432 1,423 1,417 1,379 1,379 1,340 1,298 1,287 1,297 1,288 1,288 1,296 1,293 1,294 1,302
about 2 months ago
Oct-25 Oct-24 Oct-23 Oct-22 Oct-21 Oct-20 Oct-19 Oct-18 Dec-17 Oct-17 Sep-17 Mar-17 Dec-16 Oct-16 Sep-16 Mar-16 Dec-15 Oct-15 Sep-15 Mar-15
Operating cash flow + 55.22 23.14 26.08 21.94 61.04 138.82 14.27 17.47 0.80 37.73 2.21 11.71 0.81 26.86 4.21 11.02 0.30 24.15 -0.38 -0.64
Cash flow from investing + -68.57 -20.89 -28.27 -57.05 -57.35 -39.56 -11.13 -8.02 -0.82 -15.46 -1.33 -1.06 -0.60 -21.43 -5.54 -0.21 -0.52 -25.14 -13.14 0.10
Cash flow from financing + -6.71 -8.15 -9.83 -2.19 -5.93 -7.75 -7.46 -7.72 0.02 -8.65 0.43 -19.12 -0.20 -3.13 3.50 8.78 0.22 -4.43 3.87 -1.49
Change in cash -20.06 -5.89 -12.02 -37.30 -2.23 91.52 -4.32 1.74 0.00 13.62 1.31 -8.47 0.01 2.30 2.16 19.58 0.00 -5.42 -9.65 -2.03
Change in exchange rate 0.00 0.00 0.00 0.00 0.00
Show Quarterly Cash Flow
Apr-26 Jan-26 Oct-25 Jul-25 Apr-25 Jan-25 Oct-24 Jul-24 Apr-24 Jan-24 Oct-23 Jul-23 Apr-23 Jan-23 Oct-22 Jul-22 Apr-22 Jan-22 Oct-21 Jul-21 Apr-21 Jan-21 Oct-20 Jul-20 Apr-20 Jan-20 Oct-19 Jul-19 Apr-19 Jan-19 Oct-18 Jul-18 Apr-18 Jan-18 Oct-17 Jul-17 Apr-17 Jan-17 Oct-16 Jul-16 Apr-16 Jan-16 Oct-15 Jul-15 Apr-15 Jan-15 Oct-14 Jul-14 Apr-14 Jan-14 Oct-13 Jul-13 Apr-13 Jan-13 Oct-12 Jul-12 Apr-12 Jan-12 Oct-11 Jul-11 Apr-11 Jan-11 Oct-10 Jul-10 Apr-10 Jan-10 Oct-09 Jul-09 Apr-09 Jan-09 Oct-08 Jul-08 Apr-08 Jan-08 Oct-07 Jul-07 Apr-07 Jan-07 Oct-06 Jul-06 Apr-06
Operating cash flow + 21.28 37.90 -14.79 29.00 9.85 31.15 17.17 23.22 -15.60 -1.64 -11.12 9.04 10.31 17.86 -0.35 13.12 0.74 8.43 9.88 26.91 -6.56 30.81 -1.86 28.77 91.96 19.94 11.08 3.14 -11.17 11.23 -6.07 15.51 -6.54 14.57 6.31 10.38 13.66 7.38 10.69 0.23 9.82 6.12 3.47 17.41 5.06 -1.79 6.10 4.70 3.82 0.57 5.90 2.76 1.85 -3.42 1.20 -2.28 -2.65 1.66 15.53 3.56 -4.19 2.25 4.73 3.54 4.14 -1.11 4.71 -0.23 2.52 0.39 4.12 8.19 5.74 -6.62 19.57 9.37 4.05 -13.52 -7.75 -10.66 7.46
Cash flow from investing + 0.38 -26.73 17.42 -37.97 -31.91 -16.11 -13.02 -27.71 5.71 14.13 -1.08 -27.19 -5.09 -10.60 -22.38 -35.71 -9.03 10.07 -8.93 -24.70 -25.07 1.35 4.87 -6.72 -25.58 -12.13 -8.59 -5.42 7.99 -5.11 5.79 -13.34 5.50 -5.96 -0.03 -14.97 -4.90 4.44 -14.10 5.89 -10.90 -2.32 -10.00 -14.82 -5.56 5.24 -4.41 -3.96 0.23 -0.07 -3.44 -0.64 0.89 3.57 1.61 4.81 -1.56 -1.10 -17.62 2.70 6.32 -3.69 -14.59 -27.09 -3.68 -6.22 -2.62 1.84 7.92 8.79 -20.96 5.29 -4.19 -24.78 0.57 -12.28 -9.88 -15.11 -1.15 -15.89 -13.99
Cash flow from financing + -7.92 -1.28 -0.66 -3.90 -0.92 -1.23 -2.94 -2.91 -2.34 0.04 -6.19 -4.28 -3.27 3.90 6.25 -3.20 -4.04 -1.21 -1.74 -1.60 -1.72 -0.87 -3.24 -1.31 -3.03 -0.16 -3.12 -3.45 -4.00 3.12 -1.56 -2.96 -0.80 -2.40 -2.28 -1.34 -3.75 -1.29 -1.26 -1.57 -0.83 0.52 -1.00 -1.28 -0.96 -1.19 -0.65 -0.31 -1.91 -2.42 -0.87 -2.55 -1.99 0.96 -0.78 -0.83 -1.80 -0.79 4.01 -1.51 -1.57 0.60 10.15 23.81 -1.06 8.53 -1.71 -2.68 -11.22 -10.17 19.65 -11.92 0.21 31.25 -20.74 3.79 6.32 28.00 9.49 25.12 7.11
Change in cash 13.73 9.89 1.98 -12.88 -22.98 13.81 1.21 -7.39 -12.23 12.52 -18.39 -22.43 1.95 11.16 -16.48 -25.78 -12.33 17.29 -0.80 0.61 -33.34 31.29 -0.23 20.75 63.35 7.66 -0.63 -5.74 -7.19 9.24 -1.85 -0.79 -1.84 6.22 4.00 -5.93 5.02 10.53 -4.66 4.55 -1.91 4.32 -7.53 1.30 -1.45 2.26 1.04 0.43 2.13 -1.93 1.59 -0.43 0.75 1.10 2.04 1.70 -6.01 -0.24 1.92 4.75 0.56 -0.84 0.29 0.25 -0.60 1.20 0.38 -1.06 -0.79 -0.99 2.81 1.56 1.76 -0.15 -0.60 0.88 0.49 -0.63 0.59 -1.43 0.58
Change in exchange rate 0.00 0.00 0.00 0.00 0.00 0.00 0.00
about 2 months ago

ROYAL BANK OF CANADA (RY) - Current Accounts Payable

1Y 2Y 5Y Max
about 2 months ago

ROYAL BANK OF CANADA (RY) - Total Current Liabilities

1Y 2Y 5Y Max
about 2 months ago

ROYAL BANK OF CANADA (RY) - Total Liabilities

1Y 2Y 5Y Max
about 2 months ago

ROYAL BANK OF CANADA (RY) - Short Term Investments

1Y 2Y 5Y Max
about 2 months ago

ROYAL BANK OF CANADA (RY) - Long Term Investments

1Y 2Y 5Y Max
about 2 months ago

ROYAL BANK OF CANADA (RY) - Goodwill

1Y 2Y 5Y Max
about 2 months ago

ROYAL BANK OF CANADA (RY) - Intangible Assets Excluding Goodwill

1Y 2Y 5Y Max
about 2 months ago

ROYAL BANK OF CANADA (RY) - Intangible Assets

1Y 2Y 5Y Max
about 2 months ago

ROYAL BANK OF CANADA (RY) - Property Plant Equipment

1Y 2Y 5Y Max
about 2 months ago

ROYAL BANK OF CANADA (RY) - Total Non Current Assets

1Y 2Y 5Y Max
about 2 months ago