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
21View entire presentation