Mobilizing Finance for ESG Initiatives and Economic Resilience
Well-Diversified Business with Strong Returns
Earnings by Business Line 1,2,4
Wealth
Management
17%
Earnings by Market1,2,4
Caribbean and Europe Asia Brazil
Central America 2% 2% 1%
Colombia
1%
C&CA
Wholesale
Banking
22%
Global
Wealth
Management
17%
3%
Peru
4%
Chile
Canadian
Q3/21 YTD
Banking
P&C
Personal &
Commercial
6%
Mexico
Banking
6%
Global
Banking and
EARNINGS MIX
42%
61%
Q3/21 YTD
EARNINGS MIX
Canada
$7.0B³
U.S.
Markets
22%
7%
$7.0B³
69%
International
Banking P&C
19%
Adjusted Return
on Equity 1,2 by
Business Line
21.6%
15.0%
14.9%
13.1%
11.6%
23.9%
17.1%
16.9%
14.8%
10.0%
3-year average ROE
Canadian
Banking
International
Banking
Global Wealth
Management
1Net income attributable to equity holders for the 9 months ended July 31, 2021; 2 Refer to Non-GAAP Measures on slide 80 for adjusted results; 3 Excludes Other segment; 4 May not add due to rounding
6
Global Banking
and Markets
All BankView entire presentation