Royal Bank of Canada (FRA:RYC)
Germany flag Germany · Delayed Price · Currency is EUR
140.22
+1.70 (1.23%)
Last updated: Jan 28, 2026, 9:55 AM CET

Royal Bank of Canada Balance Sheet

Millions CAD. Fiscal year is Nov - Oct.
Fiscal Year
FY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Oct '25 Oct '24 Oct '23 Oct '22 Oct '21
Cash & Equivalents
34,02454,72358,98970,397111,846
Investment Securities
700,923671,642628,656593,697530,932
Trading Asset Securities
410,748343,746338,580246,757185,175
Mortgage-Backed Securities
2,6742,6342,7012,8882,747
Total Investments
1,114,3451,018,022969,937843,342718,854
Gross Loans
1,050,069987,934858,306824,327722,366
Allowance for Loan Losses
-7,093-6,037-5,004-3,753-4,089
Net Loans
1,042,976981,897853,302820,574718,277
Property, Plant & Equipment
6,8196,8526,7497,2147,424
Goodwill
19,40519,28612,59412,27710,854
Other Intangible Assets
7,4027,7985,9036,0834,471
Accrued Interest Receivable
8,3427,9047,7744,7032,195
Other Receivables
18,39015,15021,40719,22313,342
Restricted Cash
30,41822,47523,10427,63416,541
Other Current Assets
22,66417,12635,85997,23589,460
Long-Term Deferred Tax Assets
4,4864,3283,1161,4722,011
Other Long-Term Assets
15,73516,0217,7977,06511,048
Total Assets
2,325,0062,171,5822,006,5311,917,2191,706,323
Accounts Payable
1,6631,4751,5801,2921,867
Accrued Expenses
23,06120,05117,15419,96515,801
Interest Bearing Deposits
596,937541,163458,490989,652461,937
Institutional Deposits
704,000670,000586,000-416,000
Non-Interest Bearing Deposits
214,679198,368187,197219,162222,894
Total Deposits
1,515,6161,409,5311,231,6871,208,8141,100,831
Short-Term Borrowings
20,49613,99616,22319,6477,916
Current Portion of Long-Term Debt
289,935304,855334,959273,111261,721
Current Portion of Leases
694709653654631
Current Income Taxes Payable
2,8522,3982,9622,1363,403
Accrued Interest Payable
11,78413,22610,9365,0192,178
Other Current Liabilities
74,71257,45083,69183,28677,915
Long-Term Debt
197,495177,775154,294164,352101,512
Long-Term Leases
3,8923,9644,1114,4564,446
Long-Term Unearned Revenue
4,2774,1493,8303,6603,518
Pension & Post-Retirement Benefits
1,9661,9241,6111,6682,038
Long-Term Deferred Tax Liabilities
48454242643974
Other Long-Term Liabilities
36,92832,34527,26720,54523,710
Total Liabilities
2,185,8552,044,3901,891,3841,809,0441,607,561
Preferred Stock, Redeemable
--232323
Preferred Stock, Non-Redeemable
8,5935,3704,0004,0004,000
Preferred Stock, Convertible
3,0503,6503,3003,3002,700
Preferred Stock, Other
3211-9-5-39
Total Preferred Equity
11,6759,0317,3147,3186,684
Common Stock
20,86321,01319,39817,31817,728
Retained Earnings
96,93888,60881,71578,03771,795
Treasury Stock
-110-61-231-334-73
Comprehensive Income & Other
9,7268,4986,8525,7252,533
Total Common Equity
127,417118,058107,734100,74691,983
Minority Interest
591039911195
Shareholders' Equity
139,151127,192115,147108,17598,762
Total Liabilities & Equity
2,325,0062,171,5822,006,5311,917,2191,706,323
Total Debt
512,512501,299510,240462,220376,226
Net Cash (Debt)
292,307313,993298,606280,790308,336
Net Cash Growth
-6.91%5.15%6.35%-8.93%16.20%
Net Cash Per Share
207.08222.10214.43199.70216.11
Filing Date Shares Outstanding
1,4001,4151,4071,3831,425
Total Common Shares Outstanding
1,4001,4151,4011,3831,425
Book Value Per Share
91.0083.4676.9272.8564.57
Tangible Book Value
100,61090,97489,23782,38676,658
Tangible Book Value Per Share
71.8664.3263.7259.5753.81
Source: S&P Global Market Intelligence. Banks template. Financial Sources.