Earnings
BMO
141.00
+2.05%
2.83
Currencies: CAD
Items
Total Assets
Cash & Due from Banks
Other Earning Assets, Total
Net Loans
Property/Plant/Equipment, Total - Net
Property/Plant/Equipment, Total - Gross
Accumulated Depreciation, Total
Goodwill, Net
Intangibles, Net
Long Term Investments
Other Long Term Assets, Total
Other Assets, Total
Total Liabilities
Accounts Payable
Payable/Accrued
Accrued Expenses
Total Deposits
Other Bearing Liabilities, Total
Total Short Term Borrowings
Current Port. of LT Debt/Capital Leases
Other Current liabilities, Total
Total Long Term Debt
Long Term Debt
Capital Lease Obligations
Total Debt
Deferred Income Tax
Other Liabilities, Total
Total Equity
Total Stockholders Equity
Redeemable Preferred Stock, Total
Preferred Stock - Non Redeemable, Net
Common Stock, Total
Additional Paid-In Capital
Retained Earnings (Accumulated Deficit)
Treasury Stock - Common
ESOP Debt Guarantee
Unrealized Gain (Loss)
Other Equity, Total
Minority Interest
Total Liabilities & Shareholders Equity
Total Common Shares Outstanding
Total Preferred Shares Outstanding
FY 2025
1.48T
67.48B
637.84B
677.19B
6.25B
13.18B
6.93B
16.80B
4.76B
1.79B
4.13B
60.56B
1.39T
45.17B
12.64B
5.09B
976.20B
711.00M
186.34B
4.43B
329.00M
62.44B
59.13B
3.31B
253.22B
1.00M
95.34B
88.10B
88.05B
1.55B
--
23.36B
373.00M
47.38B
--
--
-330.00M
15.72B
49.00M
1.48T
708.91M
--
FY 2024
1.41T
65.10B
580.56B
678.08B
6.25B
12.89B
6.64B
16.77B
4.92B
1.73B
4.32B
51.91B
1.33T
34.41B
11.31B
6.47B
982.44B
359.00M
144.01B
4.43B
470.00M
49.24B
45.92B
3.33B
197.69B
1.00M
92.22B
84.29B
84.25B
2.05B
--
23.92B
354.00M
46.47B
--
--
-317.00M
11.77B
36.00M
1.41T
729.53M
--
FY 2023
1.35T
77.93B
508.25B
656.79B
6.24B
13.12B
6.88B
16.73B
5.22B
1.46B
4.73B
69.66B
1.27T
53.75B
12.00B
5.30B
910.88B
8.11B
148.55B
4.80B
44.00M
35.36B
31.86B
3.51B
188.71B
16.00M
92.07B
76.12B
76.09B
3.30B
--
22.94B
328.00M
44.01B
--
--
173.00M
5.35B
28.00M
1.35T
720.91M
--
FY 2022
1.14T
87.47B
474.25B
551.60B
4.84B
10.91B
6.07B
5.29B
2.19B
--
2.49B
11.06B
1.07T
2.97B
11.65B
2.32B
769.48B
13.23B
144.94B
6.58B
425.00M
31.47B
28.63B
2.83B
183.00B
102.00M
84.99B
71.04B
71.04B
2.65B
--
17.74B
317.00M
45.12B
--
--
569.00M
4.64B
--
1.14T
676.93M
--
FY 2021
988.17B
93.26B
397.86B
458.68B
4.45B
9.57B
5.12B
5.38B
2.27B
--
2.27B
24.01B
930.65B
3.41B
9.44B
960.00M
685.63B
14.02B
129.63B
4.42B
221.00M
30.70B
27.96B
2.74B
164.75B
192.00M
52.02B
57.52B
57.52B
3.65B
--
13.60B
313.00M
35.50B
--
--
-183.00M
4.65B
--
988.17B
648.10M
--

FY: Financial Year. It represents annual report.

Q: Quarter Report. Q1、Q2、Q3、Q4 represent three-month periodic financial reports.