Why Invest

We are a mid-cap financial institution with a market value of over $2 billion as at October 31, 2017, that chooses to invest in select core businesses that have strong growth potential.

  • We are executing our transformation plan to achieve our 2022 strategic objectives and are progressing well towards our 2020 performance and growth targets.
  • We have a good track record of increasing our dividend to provide our shareholders with an attractive yield on their investment, while maintaining a conservative adjusted payout ratio.

Our strategic plan positions us for success.
It will drive returns and create long-term shareholder value.

1. "Canadian banking industry" refers to "the average of the major Canadian banks".
2. Refer to the Non-GAAP and Key Performance Measures section in the Management’s Discussion and Analysis of the 2017 Annual Report.
3. Comparative figures prior to 2011 in accordance with previous Canadian GAAP
4. Comparative figures prior to 2013 were not restated to reflect the adoption of amended IFRS accounting standard on employee benefits.