Canadian Real Estate Secured Lending Portfolio Highlights slide image

Canadian Real Estate Secured Lending Portfolio Highlights

CapitalĀ³38 Strong capital and liquidity management supporting future growth Common Equity Tier 1 ratio of 14.7% DRIP discount introduced at 2% Risk-Weighted Assets up 3.9% QoQ Leverage Ratio of 4.3% Liquidity Coverage Ratio of 119% Common Equity Tier 1 Ratio Q1 2022 CET 1 Ratio Internal capital generation Increase in RWA (net of FX) 39 Repurchase of common shares Impact from Investment in First Horizon convertible preferred stock Unrealized loss on FVOCI securities 40 Q2 2022 CET 1 Ratio Risk-Weighted Assets ($B) Q1 2022 RWA Credit Risk Market Risk Operational Risk Q2 2022 RWA TD 15.2% 45 (50) (31) (8) (6) 14.7% $471 +13.9 +3.6 +0.6 $489 23 23
View entire presentation