FY22 Financial Overview
Well-Diversified Business with Strong Returns
Global
Wealth
Management
15%
Caribbean and
Central America (C&CA)
4%
Colombia
1%
Brazil and
Other
4%
Peru
4%
U.S.
8%
Canadian
Global
Banking
Banking and
Markets
FY22 REPORTED
Mexico
44%
EARNINGS MIX1,2
8%
FY22 REPORTED
EARNINGS MIX1
Canada
18%
62%
International
Banking
23%
Chile
9%
FY22 Reported
26.3%
Return on Equity
by Business Line
16.2%
14.3%
14.8%
22.2%
12.9%
15.5%
15.2%
13.3%
9.4%
3-year average ROE
International
Banking
Canadian
Banking
1Net income attributable to equity holders for the 12 months ended October 31, 2022; 2 Excludes Other segment (FY22: -$732MM in net income attributable to equity holders for the 12 months ended
October 31, 2022)
6
Global Wealth
Management
Global Banking
and Markets
All BankView entire presentation