Canadian Bank Regulatory Data
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RBC · Income Statement in thousands CAD · YTD | Q3 2025 |
|---|---|
| Total interest income | 77,535,126 |
| Total interest expense | 53,180,427 |
| Net interest income | 24,354,699 |
| Total non-interest income | 25,041,591 |
| Total non-interest expenses | 27,217,881 |
| Net income | 14,934,831 |
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| Fiscal Year/Annee fiscale | Fiscal Quarter | Trimestre fiscal | Id | Total All Banks/Total Industry Groups/FIs | Total Banques/Total des groupe sectoriel/IFFs | Industry Group | Groupe Sectoriel | Return/Releve | Return Title | Titre du releve | Data Point Address/Adresse de point de donnee | Data Point Address Label | Libelle de l'adresse du point de donnees | FI Inactive Date/Date d'inactivite IFF | Measure Value/Valeur de mesure |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 0791 | Consolidated statement of income - retained earnings and AOCI: section 1, interest income, other than securities/mortgages/non-mortgage loans, other interest-earning assets, total booked in and outside Canada (year to date) | État consolidé des revenus - bénéfices non répartis et AERE : section 1, revenus d'intérêt, autres que valeurs mobilières/prêts hypothécaires/prêts non hypo., autres éléments d'actif prod. d'intérêt, total des revenus et des frais d'intérêt comptabilisés au Canada et à l'étranger (cumul annuel) | 12/31/9999 | 0 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 0976 | Consolidated statement of income - retained earnings and AOCI: section 2, non interest income, other income, credit and debit card service fees, total booked in and outside Canada (year to date) | État consolidé des revenus - bénéfices non répartis et AERE : section 2, revenus non productifs d'intérêt, autres revenus, frais d'administration des cartes de crédit et de débit, total des revenus et des frais d'intérêt comptabilisés au Canada et à l'étranger (cumul annuel) | 12/31/9999 | 984,340 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 1109 | Consolidated statement of income - retained earnings and AOCI: section 2, net income attributable to equity holders and non-controlling interests, total booked in and outside Canada (year to date) | État consolidé des revenus - bénéfices non répartis et AERE : section 2, revenu net attribuable aux détenteurs d'instruments de capitaux propres et aux participations sans contrôle, total des revenus et des frais d'intérêt comptabilisés au Canada et à l'étranger (cumul annuel) | 12/31/9999 | 14,934,831 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 1111 | Consolidated statement of income - retained earnings and AOCI: section 4 - comprehensive income, schedule 1, total other comprehensive income (loss), attributable to equity holders of the bank, year to date | État consolidé des revenus - bénéfices non répartis et AERE : section 4 - résultat étendu, tableau 1, total des autres éléments du résultat étendu (perte), attribuable aux détenteurs d'instruments de capitaux propres de la banque, cumul annuel | 12/31/9999 | 14,433,594 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 1112 | Consolidated statement of income - retained earnings and AOCI: section 4 - comprehensive income, schedule 1, total other comprehensive income (loss), attributable to non-controlling interests, year to date | État consolidé des revenus - bénéfices non répartis et AERE : section 4 - résultat étendu, tableau 1, total des autres éléments du résultat étendu (perte), attribuable aux participations sans contrôle, cumul annuel | 12/31/9999 | 5,262 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 1158 | Consolidated statement of income - retained earnings and AOCI: section 4 - comprehensive income, schedule 1, net income attributable to equity holders and non-controlling interests, year to date | État consolidé des revenus - bénéfices non répartis et AERE : section 4 - résultat étendu, tableau 1, revenus nets attribuable aux détenteurs d'instruments de capitaux propres et participations sans contrôle, cumul annuel | 12/31/9999 | 14,934,831 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 1159 | P3, comprehensive income, other comprehensive income (loss), securities classified as fair value through other comprehensive income, change in unrealized gains and losses, equities (IAS 39), year to date | P3, résultat étendu, autres éléments du résultat étendu (perte), instruments classés à la juste valeur par l'entremise des autres éléments du résultat étendu (jvaere), variations des gains et des pertes non réalisés, actions (norme IAS 39), cumul annuel | 12/31/9999 | 0 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 1160 | P3, comprehensive income, other comprehensive income (loss), securities classified as fair value through other comprehensive income, change in unrealized gains and losses, debt, year to date | P3, résultat étendu, autres éléments du résultat étendu (perte), instruments classés à la juste valeur par l'entremise des autres éléments du résultat étendu (jvaere), variations des gains et des pertes non réalisés, titres de créance, cumul annuel | 12/31/9999 | 193,496 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 1161 | P3, comprehensive income, other comprehensive income (loss), securities classified as fair value through other comprehensive income, change in unrealized gains and losses, loans, year to date | P3, résultat étendu, autres éléments du résultat étendu (perte), instruments classés à la juste valeur par l'entremise des autres éléments du résultat étendu (jvaere), variations des gains et des pertes non réalisés, prêts, cumul annuel | 12/31/9999 | (8,201) |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 1162 | P3, comprehensive income, other comprehensive income (loss), securities classified as fair value through other comprehensive income, reclassification of earnings of gains (losses), loans, year to date | P3, résultat étendu, autres éléments du résultat étendu (perte), instruments classés à la juste valeur par l'entremise des autres éléments du résultat étendu (jvaere), reclassement des (gains)/pertes dans le revenu net, cumul annuel | 12/31/9999 | (113,248) |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 1163 | Consolidated statement of income - retained earnings and AOCI: section 4 - comprehensive income, schedule 1, other comprehensive income (loss), derivatives designated as cash flow hedges, change in unrealized gains and losses, year to date | État consolidé des revenus - bénéfices non répartis et AERE : section 4 - résultat étendu, tableau 1, autres éléments du résultat étendu (perte), instruments dérivés désignés comme étant des couvertures de flux de trésorerie, variations des gains et des pertes non réalisés, cumul annuel | 12/31/9999 | 248,528 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 1164 | Consolidated statement of income - retained earnings and AOCI: section 4 - comprehensive income, schedule 1, other comprehensive income (loss), derivatives designated as cash flow hedges, reclassification to earning of gains/(losses), year to date | État consolidé des revenus - bénéfices non répartis et AERE : section 4 - résultat étendu, tableau 1, autres éléments du résultat étendu (perte), instruments dérivés désignés comme étant des couvertures de flux de trésorerie, reclassement des gains (pertes) dans les revenus, cumul annuel | 12/31/9999 | (481,818) |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 1165 | Consolidated statement of income - retained earnings and AOCI: section 4 - comprehensive income, schedule 1, other comprehensive income (loss), foreign currency translation, change in unrealized gains and losses, year to date | État consolidé des revenus - bénéfices non répartis et AERE : section 4 - résultat étendu, tableau 1, autres éléments du résultat étendu (perte), conversion de devises, variations des gains et des pertes non réalisés, cumul annuel | 12/31/9999 | (258,128) |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 1166 | Consolidated statement of income - retained earnings and AOCI: section 4 - comprehensive income, schedule 1, other comprehensive income (loss), foreign currency translation, impact of hedging, year to date | État consolidé des revenus - bénéfices non répartis et AERE : section 4 - résultat étendu, tableau 1, autres éléments du résultat étendu (perte), conversion de devises, répercussion de la couverture, cumul annuel | 12/31/9999 | 141,794 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 1167 | Consolidated statement of income - retained earnings and AOCI: section 4 - comprehensive income, schedule 1, total other comprehensive income (loss), year to date | État consolidé des revenus - bénéfices non répartis et AERE : section 4 - résultat étendu, tableau 1, total des autres éléments du résultat étendu (perte), cumul annuel | 12/31/9999 | (495,975) |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 1168 | Consolidated statement of income - retained earnings and AOCI: section 4 - comprehensive income, schedule 1, total other comprehensive income (loss), year to date | État consolidé des revenus - bénéfices non répartis et AERE : section 4 - résultat étendu, tableau 1, total des autres éléments du résultat étendu (perte), cumul annuel | 12/31/9999 | 14,438,856 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 1169 | P3, comprehensive income, accumulated gains (losses) on, securities classified as fair value through other comprehensive income, equities (IAS39), year to date | P3, résultat étendu, cumul des gains (pertes) sur, instruments classés à la juste valeur par l'entremise des autres éléments du résultat étendu (jvaere), actions (norme IAS39), cumul annuel | 12/31/9999 | 0 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 1170 | P3, comprehensive income, accumulated gains (losses) on, securities classified as fair value through other comprehensive income, debt, year to date | P3, résultat étendu, cumul des gains (pertes) sur, instruments classés à la juste valeur par l'entremise des autres éléments du résultat étendu (jvaere), titres de créance, cumul annuel | 12/31/9999 | (828,167) |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 1171 | P3, comprehensive income, accumulated gains (losses) on, securities classified as fair value through other comprehensive income, loans, year to date | P3, résultat étendu, cumul des gains (pertes) sur, instruments classés à la juste valeur par l'entremise des autres éléments du résultat étendu (jvaere), prêts, cumul annuel | 12/31/9999 | 4,143 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 1176 | Consolidated statement of income - retained earnings and AOCI: section 4 - comprehensive income, schedule 2, accumulated gains/losses on, derivatives designated as cash flow hedges, year to date | État consolidé des revenus - bénéfices non répartis et AERE : section 4 - résultat étendu, tableau 2, cumul des gains (pertes) sur, instruments dérivés désignés comme étant des couvertures de flux de trésorerie, cumul annuel | 12/31/9999 | 2,033,223 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 1177 | Consolidated statement of income - retained earnings and AOCI: section 4 - comprehensive income, schedule 2, accumulated gains/losses on, foreign currency translation net of hedging activities, year to date | État consolidé des revenus - bénéfices non répartis et AERE : section 4 - résultat étendu, tableau 2, cumul des gains (pertes) sur, conversion de devises nette des opérations de couverture, cumul annuel | 12/31/9999 | 7,012,214 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 1178 | Consolidated statement of income - retained earnings and AOCI: section 4 - comprehensive income, schedule 2, total, year to date | État consolidé des revenus - bénéfices non répartis et AERE : section 4 - résultat étendu, tableau 2, total, cumul annuel | 12/31/9999 | 8,221,413 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 1184 | Consolidated statement of income - retained earnings and AOCI: section 4 - comprehensive income, schedule 1, other comprehensive income (loss), other, year-to-date | État consolidé des revenus - bénéfices non répartis et AERE : section 4 - résultat étendu, tableau 1, autres éléments du résultat étendu (perte), autres, cumul annuel | 12/31/9999 | (613,731) |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 1197 | Consolidated statement of income - retained earnings and AOCI: section 2, net income attributable to non-controlling interests, total booked in and outside Canada (year to date) | État consolidé des revenus - bénéfices non répartis et AERE : section 2, revenu net attribuable aux participations sans contrôle, total des revenus et des frais d'intérêt comptabilisés au Canada et à l'étranger (cumul annuel) | 12/31/9999 | 5,290 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 1262 | Consolidated statement of income - retained earnings and AOCI: section 2, non interest expense, other, advertising/public relations/business development, total booked in and outside Canada (year to date) | État consolidé des revenus - bénéfices non répartis et AERE : section 2, frais autres que d'intérêt, autres frais, publicité, relations publiques et représentation, total des revenus et des frais d'intérêt comptabilisés au Canada et à l'étranger (cumul annuel) | 12/31/9999 | 805,814 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 1263 | Consolidated statement of income - retained earnings and AOCI: section 2, non interest expense, other, office and general expenses, total booked in and outside Canada (year to date) | État consolidé des revenus - bénéfices non répartis et AERE : section 2, frais autres que d'intérêt, autres frais, frais de bureau et frais généraux, total des revenus et des frais d'intérêt comptabilisés au Canada et à l'étranger (cumul annuel) | 12/31/9999 | 389,757 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 1284 | Consolidated statement of income - retained earnings and AOCI: section 2, non interest expense, total non-interest expenses, total booked in and outside Canada (year to date) | État consolidé des revenus - bénéfices non répartis et AERE : section 2, frais autres que d'intérêt, autres frais, total des frais autres que d'intérêt, total des revenus et des frais d'intérêt comptabilisés au Canada et à l'étranger (cumul annuel) | 12/31/9999 | 27,217,881 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 1285 | Consolidated statement of income - retained earnings and AOCI: section 2, net income before provision for income taxes, total booked in and outside Canada (year to date) | État consolidé des revenus - bénéfices non répartis et AERE : section 2, revenu net avant provision pour impôts sur le revenu, total des revenus et des frais d'intérêt comptabilisés au Canada et à l'étranger (cumul annuel) | 12/31/9999 | 18,823,420 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 1286 | Consolidated statement of income - retained earnings and AOCI: section 2, provision for income taxes, current, total booked in and outside Canada (year to date) | État consolidé des revenus - bénéfices non répartis et AERE : section 2, provision pour impôts sur le revenu, courants, total des revenus et des frais d'intérêt comptabilisés au Canada et à l'étranger (cumul annuel) | 12/31/9999 | 4,218,678 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 1287 | Consolidated statement of income - retained earnings and AOCI: section 2, provision for income taxes, deferred, total booked in and outside Canada (year to date) | État consolidé des revenus - bénéfices non répartis et AERE : section 2, provision pour impôts sur le revenu, différés, total des revenus et des frais d'intérêt comptabilisés au Canada et à l'étranger (cumul annuel) | 12/31/9999 | (330,089) |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 1288 | Consolidated statement of income - retained earnings and AOCI: section 2, net income before non-controlling interests, total booked in and outside Canada (year to date) | État consolidé des revenus - bénéfices non répartis et AERE : section 2, revenu net avant les activités abandonnées, total des revenus et des frais d'intérêt comptabilisés au Canada et à l'étranger (cumul annuel) | 12/31/9999 | 14,934,831 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 1292 | Consolidated statement of income - retained earnings and AOCI: section 2, net income attributable to equity holders, total booked in and outside Canada (year to date) | État consolidé des revenus - bénéfices non répartis et AERE : section 2, revenu net attribuable aux détenteurs d'instruments de capitaux propres, total des revenus et des frais d'intérêt comptabilisés au Canada et à l'étranger (cumul annuel) | 12/31/9999 | 14,929,541 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 2046 | Consolidated statement of income - retained earnings and AOCI: section 2, non interest income, trading income, total booked in and outside Canada (year to date) | État consolidé des revenus - bénéfices non répartis et AERE : section 2, revenus autres que d'intérêt, revenu de négociation, total des revenus et des frais d'intérêt comptabilisés au Canada et à l'étranger (cumul annuel) | 12/31/9999 | 2,521,346 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 2069 | Consolidated statement of income - retained earnings and AOCI: section 2, non interest income, gains(losses) on instruments held for other than trading purposes, total booked in and outside Canada (year to date) | État consolidé des revenus - bénéfices non répartis et AERE : section 2, revenus autres que d'intérêt, gains (pertes) découlant d'instruments détenus à des fins autres que de négociation, total des revenus et des frais d'intérêt comptabilisés à l'étranger (cumul annuel) | 12/31/9999 | 118,205 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 2084 | Consolidated statement of income - retained earnings and AOCI: section 2, non interest income, trading income, total booked in and outside Canada (year to date) | État consolidé des revenus - bénéfices non répartis et AERE : section 2, revenus autres que d'intérêt, total comptabilisé au Canada et à l'étranger (cumul annuel) | 12/31/9999 | 25,041,591 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 2100 | P3, comprehensive income, other comprehensive income (loss), change in investment in equity instruments designated at FVOCI (IFRS 9), year to date | P3, résultat étendu, autres éléments du résultat étendu (perte),variation des investissements sur des instruments de capitaux propres classés à la juste valeur par l'entremise d'autres éléments du résultat étendu (jvaéré) (norme IFRS 9), cumul annuel | 12/31/9999 | 67,904 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 4991 | Consolidated statement of income - retained earnings and AOCI: section 4 - comprehensive income, schedule 1, other comprehensive income (loss), other, year to date | État consolidé des revenus - bénéfices non répartis et AERE : section 4 - résultat étendu, tableau 1, autres éléments du résultat étendu (perte), autres, cumul annuel | 12/31/9999 | 0 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 4992 | Consolidated statement of income - retained earnings and AOCI: section 4 - comprehensive income, schedule 1, other comprehensive income (loss), subtotal of items that will not be reclassified to net income, year to date | État consolidé des revenus - bénéfices non répartis et AERE : section 4 - résultat étendu, tableau 1, autres éléments du résultat étendu (perte), total partiel des postes pouvant être reclassés par la suite dans le revenu net, cumul annuel | 12/31/9999 | (277,577) |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 4993 | Consolidated statement of income - retained earnings and AOCI: section 4 - comprehensive income, schedule 1, other comprehensive income (loss), remeasurements of defined benefit plans, year to date | État consolidé des revenus - bénéfices non répartis et AERE : section 4 - résultat étendu, tableau 1, autres éléments du résultat étendu (perte), réévaluations de régimes à prestations déterminées, cumul annuel | 12/31/9999 | 327,429 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 4994 | Consolidated statement of income - retained earnings and AOCI: section 4 - comprehensive income, schedule 1, other comprehensive income (loss), subtotal of items that will not be reclassified to net income, year to date | État consolidé des revenus - bénéfices non répartis et AERE : section 4 - résultat étendu, tableau 1, autres éléments du résultat étendu (perte), total partiel des postes qui ne seront pas reclassés dans le revenu net, cumul annuel | 12/31/9999 | (218,398) |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 4995 | Consolidated statement of income - retained earnings and AOCI: section 4 - comprehensive income, schedule 2, accumulated gains/losses on, other, year to date | État consolidé des revenus - bénéfices non répartis et AERE : section 4 - résultat étendu, tableau 2, cumul des gains (pertes) sur, autres, cumul annuel | 12/31/9999 | 0 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 4996 | Consolidated statement of income - retained earnings and AOCI: section 4 - comprehensive income, schedule 2, accumulated gains/losses on, subtotal of items that may be reclassified subsequently to net income, year to date | État consolidé des revenus - bénéfices non répartis et AERE : section 4 - résultat étendu, tableau 2, cumul des gains (pertes) sur, total partiel des postes pouvant être reclassés par la suite dans le revenu net, cumul annuel | 12/31/9999 | 8,221,413 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 4998 | Consolidated statement of income - retained earnings and AOCI: section 4 - comprehensive income, schedule 2, accumulated gains/losses on, subtotal of items that will not be reclassified to net income, year to date | État consolidé des revenus - bénéfices non répartis et AERE : section 4 - résultat étendu, tableau 2, cumul des gains (pertes) sur, total partiel des postes qui ne seront pas reclassés dans le revenu net, cumul annuel | 12/31/9999 | 0 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 5645 | Consolidated statement of comprehensive income, retained earnings and AOCI, Comprehensive income (loss), Attributable to equity holders and non-controlling interest, Net of taxes, Share of other comprehensive income (loss) of associates and joint ventures | État consolidé du résultat étendu, bénéfices non répartis et AERE, Résultat étendu (perte), Attribuable aux détenteurs d'instruments de capitaux propres et aux participations sans contrôle, net d'impôts, Autres éléments du résultat étendu (perte), Part des autres éléments du résultat étendu (perte) des sociétés associées et des coentreprises | 12/31/9999 | 0 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 7928 | Consolidated statement of income - retained earnings and AOCI: section 1, interest income, mortgages, non-residential, total booked in and outside Canada (year to date) | État consolidé des revenus - bénéfices non répartis et AERE : section 1, revenus d'intérêt, prêts hypothécaires non résidentiels, total des revenus et des frais d'intérêt comptabilisés au Canada et à l'étranger (cumul annuel) | 12/31/9999 | 1,958,292 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 7946 | Consolidated statement of income - retained earnings and AOCI: section 1, interest income, deposits with regulated financial institutions, total booked in and outside Canada (year to date) | État consolidé des revenus - bénéfices non répartis et AERE : section 1, revenus d'intérêt, dépôts auprès d'institutions financières réglementées, total des revenus et des frais d'intérêt comptabilisés à l'étranger (cumul annuel) | 12/31/9999 | 4,194,762 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 8252 | Consolidated statement of income - retained earnings and AOCI: section 1, interest income, total interest income including dividends, total booked in and outside Canada (year to date) | État consolidé des revenus - bénéfices non répartis et AERE : section 1, revenus d'intérêt, total du revenu d'intérêt y compris les dividendes, total des revenus et des frais d'intérêt comptabilisés au Canada et à l'étranger (cumul annuel) | 12/31/9999 | 77,535,126 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 8402 | Consolidated statement of income - retained earnings and AOCI: section 1, interest expense, interest on subordinated debt, total booked in and outside Canada (year to date) | État consolidé des revenus - bénéfices non répartis et AERE : section 1, frais d'intérêt, intérêt sur les dettes subordonnées, total des revenus et des frais d'intérêt comptabilisés au Canada et à l'étranger (cumul annuel) | 12/31/9999 | 476,908 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 8407 | Consolidated statement of income - retained earnings and AOCI: section 1, total interest expense, total booked in and outside Canada (year to date) | État consolidé des revenus - bénéfices non répartis et AERE : section 1, total des frais d'intérêt, total des revenus et des frais d'intérêt comptabilisés au Canada et à l'étranger (cumul annuel) | 12/31/9999 | 53,180,427 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 8408 | Consolidated statement of income - retained earnings and AOCI: section 1, net interest income, total booked in and outside Canada (year to date) | État consolidé des revenus - bénéfices non répartis et AERE : section 1, revenu net d'intérêt, total comptabilisés au Canada et au Canada et à l'étranger (cumul annuel) | 12/31/9999 | 24,354,699 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 8463 | Consolidated statement of income - retained earnings and AOCI: section 1, charge for impairment, total booked in and outside Canada (year to date) | État consolidé des revenus - bénéfices non répartis et AERE : section 1, charge de créances douteuses, total des revenus et des frais d'intérêt comptabilisés au Canada et à l'étranger (cumul annuel) | 12/31/9999 | 3,354,990 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 8464 | Consolidated statement of income - retained earnings and AOCI: section 1, net interest income after charge for impairment, total booked in and outside Canada (year to date) | État consolidé des revenus - bénéfices non répartis et AERE : section 1, revenu net d'intérêt après charge de créances douteuses, total des revenus et des frais d'intérêt comptabilisés au Canada et à l'étranger (cumul annuel) | 12/31/9999 | 20,999,710 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 8534 | Consolidated statement of income - retained earnings and AOCI: section 2, non interest income, trading income, total booked in and outside Canada (year to date) | État consolidé des revenus - bénéfices non répartis et AERE : section 2, revenus autres que d'intérêt, revenu de négociation, total des revenus et des frais d'intérêt comptabilisés au Canada et à l'étranger (cumul annuel) | 12/31/9999 | 22,402,040 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 8535 | Consolidated statement of income - retained earnings and AOCI: section 2, net interest and non-interest income, total booked in and outside Canada (year to date) | État consolidé des revenus - bénéfices non répartis et AERE : section 2, revenus nets d'intérêt et autres que d'intérêt, total des revenus et des frais d'intérêt comptabilisés au Canada et à l'étranger (cumul annuel) | 12/31/9999 | 46,041,301 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 8652 | Consolidated statement of income - retained earnings and AOCI: non-interest income/expense, discontinued operations (net of taxes), total booked in and outside Canada (year to date) | État consolidé des revenus - bénéfices non répartis et AERE : revenus et frais autres que d'intérêt, activités abandonnées (nettes d'impôts), total comptabilisé au Canada et à l'étranger (cumul annuel) | 12/31/9999 | 0 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 9284 | Consolidated statement of income - retained earnings and AOCI: section 2, non interest income, other income, investment management and custodial services, total booked in and outside Canada (year to date) | État consolidé des revenus - bénéfices non répartis et AERE : section 2, revenus autres que d'intérêt, autres revenus, frais de gestion de placements et de garde, total des revenus et des frais d'intérêt comptabilisés au Canada et à l'étranger (cumul annuel) | 12/31/9999 | 7,853,051 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | 9301 | Consolidated statement of income - retained earnings and AOCI: section 2, non interest income, other income, foreign exchange revenue other than trading, total booked in and outside Canada (year to date) | État consolidé des revenus - bénéfices non répartis et AERE : section 2, revenus autres que d'intérêt, autres revenus, revenu des opérations de change autre que le revenu de négociation, total des revenus et des frais d'intérêt comptabilisés au Canada et à l'étranger (cumul annuel) | 12/31/9999 | 966,504 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | calcP300001 | Interest and dividends income; Securities issued or guaranteed by Government of Canada, provinces, municipal or school. | Revenus d'intérêt et de dividendes; Valeurs mobilières émises ou garanties par le gouvernement du Canada,les provinces et par des corps municipaux ou scolaires | 12/31/9999 | 2,538,787 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | calcP300003 | Interest income; Other securities | Revenus d'intérêt; Autres valeurs mobilières | 12/31/9999 | 12,194,849 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | calcP300004 | Interest income; Loans; Non-mortgage loans; Individuals for non-business purposes | Revenus d'intérêt; Prêts;Prêts non hypothécaires;Prêts non hypothécaires à des particuliers à des fins non commerciales | 12/31/9999 | 8,058,080 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | calcP300006 | Interest income; Loans; Non-mortgage loans; Others | Revenus d'intérêt; Prêts;Prêts non hypothécaires;Autres prêts non hypothécaires | 12/31/9999 | 36,644,992 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | calcP300008 | Interest income; Loans; Mortgages; Residential | Revenus d'intérêt; Prêts hypothécaires; Résidentiels | 12/31/9999 | 14,711,027 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | calcP300010 | Interest expense; Other | Frais d'intérêt; Autres | 12/31/9999 | 18,944,868 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | calcP300011 | Other income; Service charges on retail and commercial deposit accounts | Autres revenus; Frais d'administration sur les comptes de dépots de détail et les comptes de dépôts commerciaux | 12/31/9999 | 1,275,356 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | calcP300012 | Other income; Mortgage, standby, commitment and other loan fees | Autres revenus; Frais liés aux prêts hypothécaires et commissions d'engagements et d'engagements de crédit de soutien et autres commissions liées aux prêts | 12/31/9999 | 945,995 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | calcP300013 | Other income; Acceptance, guarantees and letter of credit fees | Autres revenus; Frais d'acceptations et frais liés aux garanties et aux lettres de crédit | 12/31/9999 | 254,908 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | calcP300014 | Other income; Mutual (investment) fund, underwriting on new issues and securities commissions & fees | Autres revenus; Frais des fonds communs de placement et commissions sur opérations de courtage immobilier et commissions de prise ferme sur les nouvelles émissions | 12/31/9999 | 7,259,947 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | calcP300016 | Non-interest expenses; Salaries, pensions and other staff benefits | Frais autres que d'intérêt; Salaires, contributions aux caisses de retraite et autres avantages sociaux | 12/31/9999 | 17,334,092 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | calcP300017 | Other income; Other | Autres revenus; Autres | 12/31/9999 | 2,072,913 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | calcP300020 | Non-interest expenses; Premises and equipment; Rental of real estate, premises, furniture & fixtures | Frais autres que d'intérêt; Locaux et matériel; Locaux de biens immobiliers, mobiliers et agencements | 12/31/9999 | 1,266,986 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | calcP300021 | Non-interest expenses; Premises and equipment; Computers & equipment | Frais autres que d'intérêt; Locaux et matériel; Ordinateurs et équipements | 12/31/9999 | 2,069,038 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | calcP300022 | Non-interest expenses; Other expenses; Capital & business taxes | Frais autres que d'intérêt; Autres frais; Impôts sur le capital et taxes d'affaires | 12/31/9999 | 69,260 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | calcP300023 | Non-interest expenses; Other expenses; Professional fees | Frais autres que d'intérêt; Autres frais; Honoraires de services professionels | 12/31/9999 | 1,568,103 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | calcP300024 | Non-interest expenses; Other expenses; Other | Frais autres que d'intérêt; Autres frais; Autres | 12/31/9999 | 3,714,831 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | calcP300027 | SCHEDULE 2 - Accumulated other comprehensive income (loss), attributable to equity holders, net of taxes; Accumulated gains (losses) on: Other | Tableau 2 - Cumul des autres éléments du résultat étendu (perte), attribuable aux détenteurs d'instruments de capitaux propres, net d'impôts; Cumul des gains (pertes) relativement aux éléments suivants: Autres | 12/31/9999 | |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | calcP300028 | Interest expense; Demand and notice deposits | Frais d'intérêt; Dépots à vue et à préavis | 12/31/9999 | 9,937,543 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | calcP300029 | Interest expense; Fixed-term deposits | Frais d'intérêt; Dépots à terme fixe | 12/31/9999 | 23,821,110 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | calcP300030 | Interest and dividends income; Loans; Interest income on impaired loans | Revenus d'intérêt et de dividendes; Prêts; Revenus d'intérêt sur prêts douteux | 12/31/9999 | 289,398 |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | calcP300032 | SCHEDULE 2 - Accumulated other comprehensive income (loss), attributable to equity holders, net of taxes; Accumulated gains (losses) on: Items that may be reclassified subsequently to net income:; Share of other comprehensive income (loss) of associates and joint ventures | Tableau 2 - Cumul des autres éléments du résultat étendu (perte), attribuable aux détenteurs d'instruments de capitaux propres, net d'impôts; Cumul des gains (pertes) relativement aux éléments suivants :;Postes pouvant être reclassés par la suite dans le revenu net; Part des autres éléments du résultat étendu (perte) des sociétés associées et des coentreprises | 12/31/9999 | |
| 2025 | Q3 - 2025 | T3 - 2025 | 27997 | Royal Bank of Canada | Banque Royale du Canada | Domestic Banks | Banques nationales | P3 | P3 - Consolidated Statement Of Income, Retained Earnings & AOCI | P3 - État consolidés des revenus, bénéfices non repartis et AERE | calcP300033 | Other Income: Insurance Service Result | Autres revenus; Résultat des activités d'assurance | 12/31/9999 | 7,367,775 |
RBC · P3 Income Statement in thousands CAD · YTD · Source: OSFI | Q3 2025 |
|---|---|
| Section 1 — Interest and dividends income | |
| Deposits with regulated financial institutions | 4,194,762 |
| Securities issued or guaranteed by Government of Canada, provinces, municipal or school | 2,538,787 |
| Other securities | 12,194,849 |
| Loans | |
| Non-mortgage loans | |
| Individuals for non-business purposes | 8,058,080 |
| Others | 36,644,992 |
| Mortgages | |
| Residential | 14,711,027 |
| Non-residential | 1,958,292 |
| Interest income on impaired loans | 289,398 |
| Total interest income including dividends | 77,535,126 |
| Section 1 — Interest expense | |
| Demand and notice deposits | 9,937,543 |
| Fixed-term deposits | 23,821,110 |
| Subordinated debt | 476,908 |
| Other | 18,944,868 |
| Total interest expense | 53,180,427 |
| Net interest income | 24,354,699 |
| Charge for impairment | 3,354,990 |
| Net interest income after charge for impairment | 20,999,710 |
| Section 2 — Non-interest income | |
| Trading income | 2,521,346 |
| Gains (losses) on instruments held for other than trading | 118,205 |
| Other income | |
| Service charges on retail and commercial deposit accounts | 1,275,356 |
| Credit and debit card service fees | 984,340 |
| Mortgage, standby, commitment and other loan fees | 945,995 |
| Acceptance, guarantees and letter of credit fees | 254,908 |
| Investment management and custodial services | 7,853,051 |
| Mutual fund, underwriting and securities commissions & fees | 7,259,947 |
| Foreign exchange revenue other than trading | 966,504 |
| Insurance service result | 7,367,775 |
| Other | 2,072,913 |
| Total non-interest income | 25,041,591 |
| Net interest and non-interest income | 46,041,301 |
| Section 2 — Non-interest expenses | |
| Salaries, pensions and other staff benefits | 17,334,092 |
| Premises and equipment | |
| Rental of real estate, premises, furniture & fixtures | 1,266,986 |
| Computers & equipment | 2,069,038 |
| Other expenses | |
| Advertising, public relations and business development | 805,814 |
| Office and general expenses | 389,757 |
| Capital & business taxes | 69,260 |
| Professional fees | 1,568,103 |
| Other | 3,714,831 |
| Total non-interest expenses | 27,217,881 |
| Net income before provision for income taxes | 18,823,420 |
| Provision for income taxes | |
| Current | 4,218,678 |
| Deferred | (330,089) |
| Net income before non-controlling interests | 14,934,831 |
| Discontinued operations (net of taxes) | 0 |
| Net income attributable to equity holders and non-controlling interests | 14,934,831 |
| Attributable to equity holders | 14,929,541 |
| Attributable to non-controlling interests | 5,290 |
| Section 4 — Other comprehensive income (loss) | |
| Items that may be reclassified to net income | |
| Securities (FVOCI) — change in unrealized gains/losses | |
| Equities (IAS 39) | 0 |
| Debt | 193,496 |
| Loans | (8,201) |
| Securities (FVOCI) — reclassification to earnings (loans) | (113,248) |
| Investment in equity instruments designated at FVOCI (IFRS 9) | 67,904 |
| Derivatives (cash flow hedges) | |
| Change in unrealized gains/losses | 248,528 |
| Reclassification to earnings | (481,818) |
| Foreign currency translation | |
| Change in unrealized gains/losses | (258,128) |
| Impact of hedging | 141,794 |
| Other | (613,731) |
| Subtotal — items that may be reclassified | (495,975) |
| Items that will not be reclassified | |
| Remeasurements of defined benefit plans | 327,429 |
| Other | 0 |
| Subtotal — items that will not be reclassified | (218,398) |
| Total other comprehensive income (loss) | (495,975) |
| Total comprehensive income | 14,438,856 |
| Attributable to equity holders | 14,433,594 |
| Attributable to non-controlling interests | 5,262 |
| Schedule 2 — Accumulated other comprehensive income (loss) | |
| Securities (FVOCI) — accumulated gains/losses | |
| Equities (IAS 39) | 0 |
| Debt | (828,167) |
| Loans | 4,143 |
| Derivatives (cash flow hedges) | 2,033,223 |
| Foreign currency translation, net of hedging | 7,012,214 |
| Subtotal — items that may be reclassified | 8,221,413 |
| Subtotal — items that will not be reclassified | 0 |
| Total accumulated OCI | 8,221,413 |
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Line item in thousands CAD | Q4 2025 | Q4 2024 | Q4 2023 | Q4 2022 | Q4 2021 |
|---|---|---|---|---|---|
| Interest and dividends income | |||||
| Deposits with regulated financial institutions | 5,360,841 | 6,122,320 | 6,852,499 | 1,696,537 | 304,936 |
| Securities issued or guaranteed by Government of Canada, provinces, municipal or school | 3,624,209 | 2,688,762 | 2,225,427 | 721,542 | 484,752 |
| Other Securities | 16,431,124 | 14,979,152 | 12,286,405 | 6,340,553 | 4,392,736 |
| Loans | |||||
| Non-mortgage loans | |||||
| Individuals for non-business purposes | 10,708,737 | 11,104,798 | 9,705,815 | 6,552,089 | 5,534,180 |
| Others | 44,999,874 | 47,577,383 | 36,991,003 | 13,481,769 | 7,073,976 |
| Mortgages | |||||
| Residential | 19,681,788 | 19,599,340 | 16,429,641 | 10,482,802 | 9,036,487 |
| Non-residential | 2,620,308 | 2,687,194 | 2,371,957 | 1,419,842 | 1,205,227 |
| Interest income on impaired loans | 398,392 | 191,788 | 128,455 | 76,321 | 113,436 |
| Other | 0 | 0 | 0 | 0 | 0 |
| Total interest income | 103,825,273 | 104,950,737 | 86,991,202 | 40,771,455 | 28,145,730 |
| Interest expense | |||||
| Demand and notice deposits | 13,140,842 | 15,731,553 | 12,415,892 | 3,427,539 | 961,380 |
| Fixed term deposits | 31,676,446 | 31,524,276 | 24,262,180 | 7,323,318 | 4,486,921 |
| Subordinated debt | 637,056 | 774,560 | 666,481 | 288,436 | 179,458 |
| Other | 25,371,414 | 28,967,572 | 24,517,380 | 7,015,037 | 2,515,688 |
| Total interest expense | 70,825,759 | 76,997,960 | 61,861,933 | 18,054,330 | 8,143,448 |
| Net interest income | 32,999,513 | 27,952,776 | 25,129,268 | 22,717,125 | 20,002,282 |
| Charge for impairment | 4,361,639 | 3,231,828 | 2,467,614 | 484,040 | (752,549) |
| Net interest income after charge for impairment | 28,637,874 | 24,720,948 | 22,661,654 | 22,233,084 | 20,754,830 |
| Trading income | 3,124,887 | 2,326,969 | 2,392,181 | 926,339 | 1,183,278 |
| Gains (Losses) on instruments held for other than trading purposes | 119,511 | 170,049 | 192,916 | 42,676 | 144,991 |
| Other income | |||||
| Service charges on retail and commercial deposit accounts | 1,707,895 | 1,644,320 | 1,497,850 | 1,405,879 | 1,348,089 |
| Credit and debit card service fees | 1,332,939 | 1,273,426 | 1,239,857 | 1,202,915 | 1,077,924 |
| Mortgage, standby, commitment and other loan fees | 1,330,615 | 1,081,176 | 916,711 | 989,118 | 985,941 |
| Acceptance, guarantees and letter of credit fees | 341,332 | 514,168 | 576,452 | 529,334 | 545,800 |
| Investment management and custodial services | 10,646,926 | 9,324,629 | 8,344,195 | 7,609,610 | 7,132,266 |
| Mutual(investment) fund, underwriting on new issues and securities commissions and fees | 9,887,860 | 8,769,591 | 7,530,413 | 7,827,099 | 8,480,583 |
| Foreign exchange revenue other than trading | 1,300,527 | 1,142,276 | 1,292,262 | 1,037,798 | 1,065,713 |
| Insurance Service Result | 867,335 | 776,616 | 1,652,465 | 1,726,881 | 1,709,610 |
| Other | 2,945,815 | 2,368,301 | 1,342,052 | 1,187,733 | 2,125,950 |
| Total non-interest income | 33,605,639 | 29,391,522 | 26,977,359 | 24,485,382 | 25,800,143 |
| Net interest and other income | 62,243,516 | 54,112,469 | 49,639,008 | 46,718,466 | 46,554,975 |
| Non-interest expenses | |||||
| Salaries, pensions and other staff benefits | 23,122,368 | 21,083,216 | 18,971,174 | 16,528,354 | 16,539,405 |
| Premises and equipment | |||||
| Rental of real estate, premises, furniture & fixtures | 1,679,313 | 1,804,798 | 1,633,928 | 1,554,000 | 1,583,764 |
| Computers & equipment | 2,790,293 | 2,537,180 | 2,381,215 | 2,099,198 | 1,985,560 |
| Other expenses | |||||
| Advertising, public relations & business development | 1,158,534 | 1,055,540 | 989,795 | 773,217 | 556,244 |
| Office and general expenses | 524,673 | 464,553 | 439,062 | 415,065 | 400,880 |
| Capital and business taxes | 134,591 | 108,207 | 136,569 | 161,559 | 111,635 |
| Professional fees | 2,177,446 | 2,524,740 | 2,222,940 | 1,511,450 | 1,350,708 |
| Other | 5,004,793 | 4,672,207 | 4,398,005 | 3,566,134 | 3,395,851 |
| Total non-interest expenses | 36,592,012 | 34,250,438 | 31,172,689 | 26,608,976 | 25,924,047 |
| Net income before provision for income taxes | 25,651,500 | 19,862,030 | 18,466,318 | 20,109,489 | 20,630,927 |
| Provision for income taxes | |||||
| Current | 5,636,282 | 5,159,182 | 4,833,101 | 3,922,483 | 4,795,892 |
| Deferred | (354,227) | (1,537,088) | (1,232,410) | 380,075 | (215,331) |
| Net income before discontinued operations | 20,369,445 | 16,239,936 | 14,865,627 | 15,806,931 | 16,050,366 |
| Discontinued operations | 0 | 0 | 0 | 0 | 0 |
| Net income attributable to equity holders and non-controlling interests | 20,369,445 | 16,239,936 | 14,865,627 | 15,806,931 | 16,050,366 |
| Net income attributable to non-controlling interests | 7,050 | 10,148 | 6,892 | 12,979 | 12,071 |
| Net income attributable to equity holders | 20,362,395 | 16,229,788 | 14,858,735 | 15,793,952 | 16,038,295 |
| SCHEDULE 1 - Comprehensive income (loss), attributable to equity holders and non-controlling interests, net of taxes | |||||
| Net income attributable to equity holders and non-controlling interests | 20,369,445 | 16,239,936 | 14,865,627 | 15,806,931 | 16,050,366 |
| Other Comprehensive Income (loss) | |||||
| Items that may be reclassified subsequently to net income: | |||||
| Securities classified as fair value through other comprehensive income | |||||
| Change in unrealized gains and losses | |||||
| Equities (IAS 39) | 0 | 0 | 0 | 0 | 0 |
| Debt | 756,068 | 1,067,254 | (22,547) | (2,183,401) | 150,841 |
| Loans | (2,362) | 35,584 | (4,616) | (74,088) | 16,936 |
| Reclassification of (gains)/losses to net income | (120,950) | (139,913) | (130,581) | (12,084) | (117,107) |
| Derivatives designated as cash flow hedges | |||||
| Change in unrealized gains and losses | 780,419 | 337,641 | 216,284 | 1,633,929 | 1,372,629 |
| Reclassification of (gains)/losses to net income | (669,587) | (827,816) | 146,064 | 194,227 | 272,313 |
| Foreign currency translation | |||||
| Change in unrealized gains and losses | 826,405 | 1,028,529 | 2,147,548 | 5,090,849 | (4,316,403) |
| Impact of hedging | (339,333) | (513,053) | (1,222,391) | (1,449,399) | 1,732,047 |
| Share of other comprehensive income (loss) of associates and joint ventures | 0 | 0 | 0 | 0 | 0 |
| Other | 0 | 0 | 0 | 0 | 0 |
| Subtotal of items that may be reclassified subsequently to net income | 1,230,660 | 988,226 | 1,129,761 | 3,200,033 | (888,744) |
| Items that will not be reclassified | |||||
| Change in investments in equity instruments designated at FVOCI (IFRS 9) | 108,662 | 116,522 | 43,639 | 50,134 | 39,489 |
| Remeasurements of defined benefit plans | 329,147 | 530,667 | (343,896) | 821,409 | 2,251,020 |
| Other | (893,595) | (1,041,092) | (576,420) | 1,746,522 | 53,436 |
| Subtotal of items that will not be reclassified to net income | (455,786) | (393,903) | (876,677) | 2,618,065 | 2,343,945 |
| Total other comprehensive income (loss) | 774,874 | 594,323 | 253,084 | 5,818,098 | 1,455,201 |
| Total comprehensive income (loss) | 21,144,319 | 16,834,259 | 15,118,711 | 21,625,029 | 17,505,567 |
| Attributable to | |||||
| Equity holders of the bank | 21,136,409 | 16,823,646 | 15,109,819 | 21,603,879 | 17,500,800 |
| Non-controlling interests | 7,910 | 10,613 | 8,892 | 21,150 | 4,767 |
| SCHEDULE 2 - Accumulated other comprehensive income (loss), attributable to equity holders, net of taxes | |||||
| Accumulated gains (losses) on: | |||||
| Items that may be reclassified subsequently to net income: | |||||
| Securities classified as fair value through other comprehensive income | |||||
| Equities (IAS 39) | 0 | 0 | 0 | 0 | 0 |
| Debt | (274,297) | (909,436) | (2,492,780) | (2,338,403) | (143,918) |
| Loans | 9,982 | 12,344 | (23,239) | (18,624) | 55,465 |
| Derivatives designated as cashflow hedges | 2,378,346 | 2,266,514 | 2,755,689 | 2,394,341 | 566,185 |
| Foreign currency translation, net of hedging activities | 7,612,619 | 7,128,547 | 6,612,071 | 5,687,914 | 2,055,464 |
| Share of other comprehensive income (loss) of associates and joint ventures | |||||
| Other | |||||
| Subtotal of items that may be reclassified subsequently to net income | 9,726,650 | 8,497,969 | 6,851,741 | 5,725,228 | 2,533,196 |
| Items that will not be reclassified to net income | |||||
| Other | 0 | 0 | 0 | 0 | 0 |
| Subtotal of items that will not be reclassified to net income | 0 | 0 | 0 | 0 | 0 |
| Total | 9,726,650 | 8,497,969 | 6,851,741 | 5,725,228 | 2,533,196 |
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