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Investor Alert

Laurentian Bank of Canada

TSE: CA:LB

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Quotes are delayed by 15 min

Oct 15, 2021, 5:00 p.m.

LB
/zigman2/quotes/209831927/delayed

$

40.83

Change

+0.30 +0.74%

Volume

Volume 107,903

Quotes are delayed by 15 min

/zigman2/quotes/209831927/delayed

Previous close

$ 40.53

$ 40.83

Change

+0.30 +0.74%

Day low

Day high

$40.55

$40.93

Open

52 week low

52 week high

$25.74

$45.13

Open

Annual Financials for Laurentian Bank of Canada

Assets

Fiscal year is November-October. All values CAD millions. 20162017201820192020 5-year trend
Total Cash & Due from Banks 123.72M111.98M116.49M90.66M69.66M
Investments - Total 8.77B8.8B9.9B9.06B9.3B
Trading Account Securities 2.43B2.15B2.7B--
Federal Funds Sold & Securities Purchased 2.88B3.11B3.65B2.54B3.14B
Federal Funds Sold -----
Securities Bought Under Resale Agreement 2.88B3.11B3.65B2.54B3.14B
Treasury Securities 1.43B1.8B1.68B1.45B1.07B
Federal Agency Securities -----
State & Municipal Securities 1.45B1.41B1.45B1.26B1.73B
Mortgage Backed Securities 8.24M3.4M2.45M1.23M740,000
Other Securities 340.68M225.29M317.39M3.66B3.07B
Other Investments 232.79M104.43M94.29M143.82M295.12M
Net Loans 33.34B36.81B34.68B33.89B33.62B
Gross Loans - Net of Unearned Income 33.44B36.91B34.77B33.99B33.8B
Commercial & Industrial Loans 4.73B6.3B11.84B12.65B12.73B
Consumer & Installment Loans 6.61B6.04B5.37B4.66B4.12B
Real Estate Mortgage Loans 21.41B23.65B16.99B16.04B16.34B
Lease Financing Loans -----
Foreign Loans -----
Broker & Financial Institution Loans -----
Unspecified/Other Loans 629.83M707.01M196.78M319.99M-
Unearned Income -----
Loan Loss Allowances (Reserves) (105.01M)(99.19M)(93.03M)(100.46M)(173.52M)
Customer Liability on Acceptances -----
Net Property, Plant & Equipment 32.99M35.21M80.96M77.8M199.87M
Other Assets (Including Intangibles) 634.36M795.46M998.17M1.09B832.03M
Other Assets 428.05M383.94M514.21M578.38M334.49M
Intangible Assets 206.3M411.52M483.96M507.81M497.55M
Interest Receivables 68.48M90.67M98.93M117.05M82.4M
Total Assets 43.01B46.68B45.89B44.35B44.17B

Liabilities & Shareholders' Equity

20162017201820192020 5-year trend
Total Deposits 27.57B28.93B28.01B25.65B23.92B
Demand Deposits 1.61B1.49B1.51B1.25B1.31B
Savings/Time Deposits 25.96B27.44B26.5B24.4B22.61B
Foreign Office Deposits -----
Total Debt 9.97B11.26B10.65B11.82B13.11B
ST Debt & Current Portion LT Debt 3.96B2.68B2.52B2.56B3.82B
Current Portion of Long Term Debt 1.43B---1.92B
Short Term Debt 2.53B2.68B2.52B2.56B1.91B
Long-Term Debt 6.01B8.58B8.14B9.26B9.28B
LT Debt excl. Capitalized Leases 6.01B8.58B8.14B9.26B9.14B
Capitalized Lease Obligations -----
Other Liabilities 3.38B4.08B4.68B4.22B4.43B
Other Liabilities (excl. Deferred Income) 3.38B4.08B4.68B4.22B4.43B
Total Liabilities 41.03B44.35B43.4B41.79B41.56B
Preferred Stock (Carrying Value) 341.6M341.6M244.04M244.04M244.04M
Redeemable Preferred Stock -----
Non-Redeemable Preferred Stock 341.6M341.6M244.04M244.04M244.04M
Common Equity (Total) 1.63B1.99B2.25B2.32B2.37B
Common Stock Par/Carry Value 696.49M953.54M1.12B1.14B1.16B
Additional Paid-In Capital/Capital Surplus -----
Retained Earnings 924.86M1.04B1.15B1.16B1.15B
ESOP Debt Guarantee -----
Cumulative Translation Adjustment/Unrealized For. Exch. Gain -1.95M4.28M(430,000)6.84M
Unrealized Gain/Loss Marketable Securities 203,0004.85M(8.03M)328,0001.78M
Revaluation Reserves -----
Other Appropriated Reserves 11.67M(7.29M)(11.98M)22.86M46.12M
Treasury Stock -----
Total Shareholders' Equity 1.97B2.33B2.5B2.57B2.61B
Accumulated Minority Interest -----
Total Equity 1.97B2.33B2.5B2.57B2.61B
Liabilities & Shareholders' Equity 43.01B46.68B45.89B44.35B44.17B
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