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TORONTO-DOMINION BANK (TDBCP)

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  • 17.500
  • 0.0000.00%
15min DelayTrading Jan 12 09:30 ET
0Market Cap0.00P/E (TTM)

TORONTO-DOMINION BANK (TDBCP) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Oct 31, 2025
(Q4)Oct 31, 2025
(Q3)Jul 31, 2025
(Q2)Apr 30, 2025
(Q1)Jan 31, 2025
(FY)Oct 31, 2024
(Q4)Oct 31, 2024
(Q3)Jul 31, 2024
(Q2)Apr 30, 2024
(Q1)Jan 31, 2024
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-226.77%-69.65B
-111.81%-9.41B
-118.54%-21.69B
122.27%11.74B
-150.00%-50.28B
184.13%54.94B
448.93%79.69B
67.77%-9.93B
109.77%5.28B
-497.63%-20.11B
Net income from continuing operations
132.28%20.54B
-9.77%3.28B
1,943.09%3.34B
334.05%11.13B
-1.10%2.79B
-16.85%8.84B
26.83%3.64B
-106.28%-181M
-22.44%2.56B
78.62%2.82B
Operating gains losses
-449.52%-7.51B
142.23%378M
289.29%371M
-6,837.98%-8.95B
568.71%689M
-67.52%-1.37B
-477.42%-895M
-25.64%-196M
41.63%-129M
48.24%-147M
Depreciation and amortization
6.86%2.17B
5.15%572M
7.32%528M
8.54%534M
6.61%532M
6.07%2.03B
7.72%544M
-0.81%492M
2.71%492M
15.78%499M
Deferred tax
27.99%-764M
328.09%203M
-151.43%-440M
37.40%-457M
-4.48%-70M
18.76%-1.06B
72.19%-89M
38.60%-175M
-13.71%-730M
-15.52%-67M
Change in working capital
-309.69%-88.58B
-119.67%-14.83B
-141.92%-26.46B
304.67%8.14B
-128.86%-55.44B
153.70%42.24B
601.63%75.39B
68.30%-10.94B
103.49%2.01B
-997.78%-24.22B
-Change in loans
-43.87%-64.56B
-422.19%-34.68B
96.27%-1.28B
291.68%32.4B
-1,242.27%-61.01B
42.97%-44.87B
146.88%10.76B
-437.49%-34.19B
50.49%-16.9B
70.17%-4.55B
-Change in other working capital
-127.57%-24.02B
-69.29%19.85B
-208.30%-25.18B
-228.24%-24.26B
128.31%5.57B
263,890.91%87.12B
91.75%64.63B
182.63%23.25B
180.62%18.91B
-209.73%-19.68B
Cash from discontinued operating activities
Operating cash flow
-226.77%-69.65B
-111.81%-9.41B
-118.54%-21.69B
122.27%11.74B
-150.00%-50.28B
184.13%54.94B
448.93%79.69B
67.77%-9.93B
109.77%5.28B
-497.63%-20.11B
Investing cash flow
Cash flow from continuing investing activities
289.75%86.19B
118.66%14.95B
75.17%26.13B
-31.40%-4.81B
112.91%49.92B
-159.59%-45.42B
-888.71%-80.13B
-58.12%14.92B
-106.77%-3.66B
542.31%23.45B
Proceeds payment in interest bearing deposits in bank
186.56%61.59B
110.09%7.79B
687.15%24.67B
9.02%-9.91B
84.71%39.04B
-271.68%-71.15B
-491.61%-77.19B
-121.40%-4.2B
-126.01%-10.89B
400.91%21.14B
Net investment purchase and sale
-75.67%5.96B
239.47%7.77B
-90.36%1.9B
-296.97%-15.09B
319.54%11.38B
-34.26%24.49B
-201.35%-5.57B
18.46%19.69B
-41.11%7.66B
27.56%2.71B
Net PPE purchase and sale
1.47%-2.15B
10.66%-637M
-1.23%-575M
-2.59%-436M
-5.52%-497M
-18.06%-2.18B
-28.70%-713M
-10.51%-568M
-13.94%-425M
-16.87%-471M
Net business purchase and sale
507.19%20.78B
-99.28%24M
--133M
--20.63B
--0
648.56%3.42B
--3.35B
--0
--0
--70M
Cash from discontinued investing activities
Investing cash flow
289.75%86.19B
118.66%14.95B
75.17%26.13B
-31.40%-4.81B
112.91%49.92B
-159.59%-45.42B
-888.71%-80.13B
-58.12%14.92B
-106.77%-3.66B
542.31%23.45B
Financing cash flow
Cash flow from continuing financing activities
-57.96%-15.5B
-763.46%-3.59B
-9.15%-4.44B
-338.91%-7.76B
108.08%288M
23.62%-9.81B
94.35%-416M
1.67%-4.07B
-1,200.00%-1.77B
-193.57%-3.56B
Net issuance payments of debt
-333.67%-2.58B
-138.32%-530M
59.68%-671M
-306.48%-3.25B
1,082.20%1.88B
146.71%1.1B
172.26%1.38B
-856.32%-1.66B
1,036.90%1.57B
-85.44%-191M
Net commonstock issuance
-58.42%-5.99B
-4,375.56%-1.92B
-44.34%-1.53B
-119.05%-2.5B
97.30%-44M
11.26%-3.78B
101.38%45M
-0.76%-1.06B
-3,659.38%-1.14B
-12,630.77%-1.63B
Net preferred stock issuance
2,507.14%730M
--832M
-192.59%-350M
--0
--248M
107.00%28M
--0
--378M
---350M
--0
Cash dividends paid
-7.03%-7.66B
-6.83%-1.97B
-9.71%-1.89B
-8.74%-2.02B
-2.75%-1.79B
-22.92%-7.16B
-2.84%-1.84B
40.89%-1.72B
---1.85B
-55.16%-1.74B
Cash from discontinued financing activities
Financing cash flow
-57.96%-15.5B
-763.46%-3.59B
-9.15%-4.44B
-338.91%-7.76B
108.08%288M
23.62%-9.81B
94.35%-416M
1.67%-4.07B
-1,200.00%-1.77B
-193.57%-3.56B
Net cash flow
Beginning cash position
-4.23%6.44B
-23.85%5.52B
-12.79%5.5B
3.46%6.55B
-4.23%6.44B
-21.45%6.72B
-2.36%7.25B
-8.23%6.31B
-9.37%6.33B
-21.45%6.72B
Current changes in cash
449.33%1.04B
329.40%1.94B
-100.22%-2M
-468.49%-830M
69.43%-70M
84.50%-298M
10.75%-847M
35.88%924M
25.89%-146M
84.28%-229M
Effect of exchange rate changes
142.86%34M
33.33%52M
38.46%18M
-282.64%-221M
216.35%185M
-84.09%14M
-84.40%39M
109.70%13M
45.78%121M
-43.24%-159M
End cash position
16.70%7.51B
16.70%7.51B
-23.85%5.52B
-12.79%5.5B
3.46%6.55B
-4.23%6.44B
-4.23%6.44B
-2.36%7.25B
-8.23%6.31B
-9.37%6.33B
Free cash flow
-236.07%-71.79B
-112.72%-10.05B
-112.19%-22.27B
132.74%11.3B
-146.69%-50.78B
178.58%52.76B
465.60%78.98B
66.49%-10.49B
108.92%4.86B
-542.17%-20.58B
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Oct 31, 2025(Q4)Oct 31, 2025(Q3)Jul 31, 2025(Q2)Apr 30, 2025(Q1)Jan 31, 2025(FY)Oct 31, 2024(Q4)Oct 31, 2024(Q3)Jul 31, 2024(Q2)Apr 30, 2024(Q1)Jan 31, 2024
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -226.77%-69.65B-111.81%-9.41B-118.54%-21.69B122.27%11.74B-150.00%-50.28B184.13%54.94B448.93%79.69B67.77%-9.93B109.77%5.28B-497.63%-20.11B
Net income from continuing operations 132.28%20.54B-9.77%3.28B1,943.09%3.34B334.05%11.13B-1.10%2.79B-16.85%8.84B26.83%3.64B-106.28%-181M-22.44%2.56B78.62%2.82B
Operating gains losses -449.52%-7.51B142.23%378M289.29%371M-6,837.98%-8.95B568.71%689M-67.52%-1.37B-477.42%-895M-25.64%-196M41.63%-129M48.24%-147M
Depreciation and amortization 6.86%2.17B5.15%572M7.32%528M8.54%534M6.61%532M6.07%2.03B7.72%544M-0.81%492M2.71%492M15.78%499M
Deferred tax 27.99%-764M328.09%203M-151.43%-440M37.40%-457M-4.48%-70M18.76%-1.06B72.19%-89M38.60%-175M-13.71%-730M-15.52%-67M
Change in working capital -309.69%-88.58B-119.67%-14.83B-141.92%-26.46B304.67%8.14B-128.86%-55.44B153.70%42.24B601.63%75.39B68.30%-10.94B103.49%2.01B-997.78%-24.22B
-Change in loans -43.87%-64.56B-422.19%-34.68B96.27%-1.28B291.68%32.4B-1,242.27%-61.01B42.97%-44.87B146.88%10.76B-437.49%-34.19B50.49%-16.9B70.17%-4.55B
-Change in other working capital -127.57%-24.02B-69.29%19.85B-208.30%-25.18B-228.24%-24.26B128.31%5.57B263,890.91%87.12B91.75%64.63B182.63%23.25B180.62%18.91B-209.73%-19.68B
Cash from discontinued operating activities
Operating cash flow -226.77%-69.65B-111.81%-9.41B-118.54%-21.69B122.27%11.74B-150.00%-50.28B184.13%54.94B448.93%79.69B67.77%-9.93B109.77%5.28B-497.63%-20.11B
Investing cash flow
Cash flow from continuing investing activities 289.75%86.19B118.66%14.95B75.17%26.13B-31.40%-4.81B112.91%49.92B-159.59%-45.42B-888.71%-80.13B-58.12%14.92B-106.77%-3.66B542.31%23.45B
Proceeds payment in interest bearing deposits in bank 186.56%61.59B110.09%7.79B687.15%24.67B9.02%-9.91B84.71%39.04B-271.68%-71.15B-491.61%-77.19B-121.40%-4.2B-126.01%-10.89B400.91%21.14B
Net investment purchase and sale -75.67%5.96B239.47%7.77B-90.36%1.9B-296.97%-15.09B319.54%11.38B-34.26%24.49B-201.35%-5.57B18.46%19.69B-41.11%7.66B27.56%2.71B
Net PPE purchase and sale 1.47%-2.15B10.66%-637M-1.23%-575M-2.59%-436M-5.52%-497M-18.06%-2.18B-28.70%-713M-10.51%-568M-13.94%-425M-16.87%-471M
Net business purchase and sale 507.19%20.78B-99.28%24M--133M--20.63B--0648.56%3.42B--3.35B--0--0--70M
Cash from discontinued investing activities
Investing cash flow 289.75%86.19B118.66%14.95B75.17%26.13B-31.40%-4.81B112.91%49.92B-159.59%-45.42B-888.71%-80.13B-58.12%14.92B-106.77%-3.66B542.31%23.45B
Financing cash flow
Cash flow from continuing financing activities -57.96%-15.5B-763.46%-3.59B-9.15%-4.44B-338.91%-7.76B108.08%288M23.62%-9.81B94.35%-416M1.67%-4.07B-1,200.00%-1.77B-193.57%-3.56B
Net issuance payments of debt -333.67%-2.58B-138.32%-530M59.68%-671M-306.48%-3.25B1,082.20%1.88B146.71%1.1B172.26%1.38B-856.32%-1.66B1,036.90%1.57B-85.44%-191M
Net commonstock issuance -58.42%-5.99B-4,375.56%-1.92B-44.34%-1.53B-119.05%-2.5B97.30%-44M11.26%-3.78B101.38%45M-0.76%-1.06B-3,659.38%-1.14B-12,630.77%-1.63B
Net preferred stock issuance 2,507.14%730M--832M-192.59%-350M--0--248M107.00%28M--0--378M---350M--0
Cash dividends paid -7.03%-7.66B-6.83%-1.97B-9.71%-1.89B-8.74%-2.02B-2.75%-1.79B-22.92%-7.16B-2.84%-1.84B40.89%-1.72B---1.85B-55.16%-1.74B
Cash from discontinued financing activities
Financing cash flow -57.96%-15.5B-763.46%-3.59B-9.15%-4.44B-338.91%-7.76B108.08%288M23.62%-9.81B94.35%-416M1.67%-4.07B-1,200.00%-1.77B-193.57%-3.56B
Net cash flow
Beginning cash position -4.23%6.44B-23.85%5.52B-12.79%5.5B3.46%6.55B-4.23%6.44B-21.45%6.72B-2.36%7.25B-8.23%6.31B-9.37%6.33B-21.45%6.72B
Current changes in cash 449.33%1.04B329.40%1.94B-100.22%-2M-468.49%-830M69.43%-70M84.50%-298M10.75%-847M35.88%924M25.89%-146M84.28%-229M
Effect of exchange rate changes 142.86%34M33.33%52M38.46%18M-282.64%-221M216.35%185M-84.09%14M-84.40%39M109.70%13M45.78%121M-43.24%-159M
End cash position 16.70%7.51B16.70%7.51B-23.85%5.52B-12.79%5.5B3.46%6.55B-4.23%6.44B-4.23%6.44B-2.36%7.25B-8.23%6.31B-9.37%6.33B
Free cash flow -236.07%-71.79B-112.72%-10.05B-112.19%-22.27B132.74%11.3B-146.69%-50.78B178.58%52.76B465.60%78.98B66.49%-10.49B108.92%4.86B-542.17%-20.58B
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------
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