Canadian Banking and Mortgage Portfolio Overview
Well-Diversified Business with Strong Returns
Earnings by Business Line 1,2,3
Wealth
Management
13%
Global
Wealth
Management
13%
Earnings by MarketĀ¹,2
Europe, Asia,
Brazil, Australia
Caribbean and
Central America
Colombia
1%
C&CA*
6%
Other
7%
Wholesale
Banking
20%
Global
Banking and
Markets
20%
Canadian
Banking
P&C
Personal &
Commercial
Banking
Q1 2020
40%
EARNINGS MIX
67%
$2.3B3
International
Banking P&C
27%
Adjusted Return
on Equity 1,2 by
Business Line
Chile
5%
Peru
9%
Q1 2020
EARNINGS MIX
$2.3B3
Mexico
8%
U.S.
9%
21.9%
12.7%
13.7%
14.0%
13.9%
Canada
55%
Canadian
Banking
International
Banking
Global Wealth
Management
Global Banking
and Markets
All Bank
1Net income attributable to equity holdersor for the 3 months ended January 31, 2020; 2 Adjusted for acquisition and divestiture-related amounts, impact of additional pessimistic scenario in ACLs, Derivative Valuation Adjustment, and
impairment charge on software asset; 3 Excluding Other segment
7View entire presentation