Royal Bank of Canada (RY)
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124.50
-0.09%
After-hours Dec 13, 2024, 07:00 PM EST

Balance Sheet (Annual)

Get detailed breakdowns of the balance-sheet with total debts, total investments, and much more.
Year FY24 FY23 FY22 FY21 FY20 FY19 FY18 FY17 FY16 FY15 FY14 FY13 FY12 FY11 FY10 FY09 FY08 FY07 FY06 FY05 FY04 FY03 FY02 FY01 FY00 FY99 FY98 FY97 FY96 FY95 FY94 FY93
Cash & Equivalents 122.74B 133.07B 180.41B 193.48B 157.90B 64.66B 66.68B 61.07B 42.78B 35.14B 25.82B 24.93B 22.87B 25.43B 22.58B 17.28B 31.13B 16.11B 14.90B 10.24B 9.98B 17.55B 21.32B 17.54B 19.61B 23.04B 16.39B 21.59B 23.69B 17.71B 16.45B 10.87B
Short-Term Investments 44.38B 78.93B 60.19B 37.54B 139.74B 102.47B 94.61B 90.72B 110.05B 56.80B 77.85B 71.16B 67.37B 70.88B 69.44B 70.04B 71.83B 51.87B 32.45B - - - - - - - - - - - - -
Long-Term Investments 440.75B 410.23B 318.93B 285.38B 275.81B 249.00B 222.87B 218.38B 236.71B 215.87B 199.44B 182.83B 161.74B 179.75B 193.33B 186.91B 172.29B 179.68B 186.48B 160.49B 128.95B 117.39B 93.80B 80.51B 78.57B 73.01B 41.40B 33.04B 43.49B 32.71B 27.70B 29.32B
Other Long-Term Assets -474.69B 1,920.80B -1.47B -2.01B -2.58B -1.99B -1.48B -237.22B -2.83B -230.70B -213.55B -196.65B -174.60B -192.06B -205.98B -199.68B -186.78B -187.19B -193.25B -166.82B -135.59B -124.23B -101.12B -80.51B -78.57B -73.01B -41.40B -34.73B -45.28B -34.58B -29.67B -29.32B
Receivables 32.89B 29.79B 26.24B 22.53B 18.63B 19.73B 15.01B 10.59B 10.08B 9.55B 9.30B 8.38B 9.14B 6.61B 7.60B 6.65B 14.44B 6.66B 5.40B 3.65B - - - - - - 2.65B - - - - 1.26B
Inventory - - -867.39B -786.40B -768.58B -667.73B -624.99B -450.40B -422.27B - - - - - - - - - - - - - - - - - - - - - - -
Other Current Assets -32.89B - - - - - - - - - - - 1.05B 311.00M - - - - - - - - - 334.59B 272.33B 248.32B 252.93B - - - - 150.13B
Total Current Assets 167.13B 241.80B 266.83B 253.56B 316.27B 186.86B 176.30B 181.08B 163.22B 130.88B 113.19B 104.64B 100.48B 102.92B 99.62B 93.96B 117.39B 74.63B 52.75B 13.89B 9.98B 17.55B 21.32B 352.12B 291.94B 271.36B 271.98B 21.59B 23.69B 17.71B 16.45B 162.27B
Property-Plant & Equipment 6.85B 6.75B 7.21B 7.42B 7.93B 3.19B 2.83B 2.67B 2.84B 2.73B 2.68B 2.66B 2.69B 2.49B 2.50B 2.37B 3.26B 2.13B 1.82B 1.71B 1.76B 1.67B 1.65B 1.60B 1.22B 1.27B 1.87B 1.70B 1.79B 1.87B 1.98B 2.06B
Goodwill & Intangibles 27.08B 18.50B 18.36B 15.32B 16.05B 15.91B 15.82B 15.48B 15.80B 12.10B 11.42B 11.16B 10.17B 9.82B 9.99B 10.40B 11.23B 5.38B 4.95B 4.61B 4.89B 5.17B 5.67B 5.54B 901.61M 660.00M 551.01M - - - - 614.00M
Total Long-Term Assets 2,004.50B 2,356.20B 344.51B 308.13B 299.80B 268.11B 241.52B 237.22B 255.35B 230.70B 213.55B 196.65B 174.60B 192.06B 205.98B 199.68B 186.78B 187.19B 193.25B 166.82B 135.59B 124.23B 101.12B 7.14B 2.12B 1.93B 2.42B 34.73B 45.28B 34.58B 29.67B 2.67B
Total Assets 2,171.60B 2,005.00B 1,917.20B 1,706.30B 1,624.50B 1,428.90B 1,334.70B 1,212.90B 1,180.30B 1,074.20B 940.55B 860.82B 825.10B 751.70B 726.21B 654.99B 723.86B 600.35B 536.78B 469.52B 429.20B 403.03B 376.96B 359.26B 294.05B 273.30B 274.40B 244.77B 218.08B 183.65B 173.08B 164.94B
Account Payables 22.97B 20.58B 17.29B 10.51B 9.46B 8.34B 8.68B 6.01B 5.74B 5.66B 6.20B 6.53B 9.84B 8.06B 7.37B 8.47B 2.92B 2.91B 2.56B - - - - - - - 2.12B 2.04B - 2.48B 1.75B 2.07B
Deferred Revenue - - 3.66B 3.52B 2.94B 2.56B 2.26B 2.08B 1.97B - - - - - -35.90B - - - - - - - - - - - - - - - - -
Short-Term Debt 136.02B 118.32B 654.00M 631.00M 633.00M - - - - - - - - 179.00M 1.66B 3.29B 5.40B 3.78B 3.93B - - - - - - - 123.01M - - - - -
Other Current Liabilities -161.39B -141.86B -20.07B -14.54B -12.30B -10.54B -10.75B -8.35B -8.47B -7.19B -1.69B -8.02B -11.15B -9.80B -11.71B -13.71B -8.47B -7.77B -6.48B - - - - - - - - -2.04B - -2.48B -1.75B -
Total Current Liabilities - 6.19B 159.58B 110.00B 90.11B 107.74B 96.52B 83.04B 70.86B 90.24B 6.20B 10.61B 9.84B 8.23B 9.03B 11.77B 20.27B 6.69B 6.48B - - - - - - - 2.24B - - - - 2.07B
Long-Term Debt 338.19B 327.23B 282.22B 205.55B 186.63B 172.24B 163.31B 151.32B 158.42B 155.96B 7.86B 7.44B 7.62B 7.75B 6.68B 6.46B 8.13B 6.23B 8.49B 9.57B 10.42B 6.24B 6.61B 6.31B 5.83B 4.60B 3.96B 4.23B 3.63B 3.53B 3.48B 3.44B
Other Long-Term Liabilities -342.88B 1,556.20B -286.32B -209.14B -189.63B -174.88B -165.65B -153.49B -161.38B -158.19B -10.00B -9.23B -9.37B -7.75B -6.68B -6.46B -8.13B -6.23B -8.49B -9.57B -10.42B -6.24B -6.61B -6.31B -5.83B -4.60B -3.96B -4.23B -3.63B -3.53B -3.48B -3.44B
Total Long-Term Liabilities - 1,887.20B 159.58B 209.14B 12.86B 12.46B 96.52B 83.04B 70.86B 90.24B 6.20B 10.61B 9.84B 8.23B 9.03B 11.77B 20.27B 6.69B 6.48B 447.43B 408.58B 382.27B 356.70B 6.31B 5.83B 4.60B 3.96B 4.23B 3.63B 3.53B 3.48B 3.44B
Total Liabilities 2,044.40B 1,887.20B 1,809.00B 1,607.60B 1,537.80B 1,345.30B 1,254.80B 1,138.40B 1,108.60B 1,010.30B 886.05B 810.48B 779.07B 708.05B 685.00B 616.01B 690.73B 574.42B 512.58B 447.43B 408.58B 382.27B 356.70B 339.62B 280.05B 260.89B 262.01B 234.38B 207.74B 174.62B 164.49B 156.93B
Total Debt 474.20B 439.35B 425.18B 305.05B 9.87B 9.81B 97.81B 9.27B 223.53B 7.36B 7.86B 7.44B 7.62B 7.93B 53.28B 9.76B 13.53B 10.02B 12.42B 9.57B 8.12B 6.24B 6.61B 6.31B 5.83B 4.60B 4.09B 4.23B 3.63B 3.53B 3.48B 3.44B
Common Stock 21.01B 19.40B 17.32B 17.73B 17.50B 17.59B 17.62B 17.70B 17.94B 14.57B 14.51B 14.38B 14.32B 14.02B 13.38B 13.07B 10.38B 7.30B 7.20B 7.17B 6.99B 7.02B - - - - - - - - - -
Retained Earnings 88.61B 84.33B 78.04B 71.80B 59.81B 55.98B 51.11B 45.36B 41.52B 37.81B 31.61B 28.31B 24.27B 24.28B 22.71B 20.59B 19.94B 18.17B 15.77B 13.70B 12.07B 10.44B 10.18B 9.17B 8.31B 7.50B 6.82B 5.70B 4.79B 4.13B 3.41B 2.77B
Comprehensive Income - - 5.72B 2.53B 3.41B 4.25B 4.82B 4.35B 4.93B 38.00M 71.00M 42.00M 861.00M -1.62B -2.10B -1.72B -2.36B -3.21B -2.00B -1.77B -1.56B - - - -91.38M -123.00M - - - - - -
Shareholders Equity 127.09B 117.66B 108.06B 98.67B 86.66B 83.52B 79.86B 73.83B 71.02B 62.15B 52.69B 48.54B 44.27B 41.71B 38.95B 36.91B 30.76B 24.44B 22.42B 19.85B 18.20B 18.38B 18.78B 18.16B 13.30B 12.41B 11.89B 10.39B 10.34B 9.03B 8.59B 7.93B
Total Investments 485.14B 489.16B 379.12B 322.92B 415.56B 351.47B 317.47B 327.41B 346.76B 301.95B 277.29B 253.99B 229.10B 250.63B 262.94B 256.95B 244.12B 231.54B 218.93B 160.49B 128.95B 117.39B 93.80B 80.51B 78.57B 73.01B 41.40B 33.04B 43.49B 32.71B 27.70B 29.32B