Investor Presentaiton slide image

Investor Presentaiton

Adjusting Items - After-Tax and NCI Q1/21 After-Tax and NCI Q1/20 Q4/20 Tax NCI Adjusting Items (After-Tax and NCI) ($MM) Acquisition-Related Costs Day 1 PCL on acquired performing financial instruments Integration Costs Canadian Banking International Banking Global Wealth Management Amortization of Intangibles Canadian Banking International Banking Global Wealth Management Other Allowance for Credit Losses - Additional Scenario Canadian Banking International Banking - 20 2497 8242 7 2 41 15 37 12 4 20 19 4 9 7 108 52 51 1 4 85 75 10 23248 N | | | | 5 Global Wealth Management Global Banking and Markets Derivative valuation adjustments Global Banking and Markets Other Net Loss/(Gain) on Divestitures Impairment charge of software assets Total (After-Tax and NCI) (316) 32 1 Excludes amortization of intangibles related to software (after-tax) - (30) 39 8 20 21 21
View entire presentation