Return on risk-weighted assets of leading Canadian banks 2015

This statistic presents return on risk-weighted assets of leading Canadian banks in 2015. In that year, the return on risk-weighted asset of the Bank of Montreal amounted to 1.8 percent.

Return on risk-weighted assets of leading Canadian banks in 2015

Return on risk weighted assets
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Source

Release date

March 2016

Region

Canada

Survey time period

2015

Supplementary notes

Data as of October 31 each year.
Other than impact of stock splits, prior years' data is consistent with annual reports as previously reported in prior years.
Return on risk weighted assets has been calculated as net income divided by risk weighted assets.

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