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RY

Royal Bank of Canada

Price Chart
Latest Quote

$216.07

-1.80 (-0.83%)
Current Price
Previous Close $217.87
Open $218.00
Day High $218.56
Day Low $215.38
Volume 1,560,613
Fetched: 2026-07-17T06:26:59
Stock Information
Quarterly Dividend / Yield $5.10 / 2.37%
Shares Outstanding 1.39B
Quarterly Dividend Yield 2.37%
Quarterly Dividend $5.10
Total Debt $483.08B
Cash Equivalents $794.21B
Revenue $65.72B
Net Income $21.60B
Sector Financial Services
Industry Banks - Diversified
Market Cap $299.37B
P/E Ratio 19.97
EPS (TTM) $10.79
Exchange NYQ
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📊 Comprehensive Analysis
Company Data
Enterprise Value$-541.28M
Sales$65.72B
Income$21.60B
Book/sh$65.65
Cash/sh$571.52
Employees98K
Financial Ratios
EPS Growth TTM25.60%
Returns & Margins
ROA0.95%
ROE16.20%
Operating Margin45.29%
Profit Margin33.69%
Ownership
Insider Ownership0.03%
Institutional Ownership49.42%
Insider & Institutional transactions data not available
Valuation Ratios
Forward P/E17.16
PEG2.34
P/S4.56
P/B3.28
Analyst Data
Recommendationbuy
Target Price$194.06
Technical Indicators
SMA20$207.87
SMA50$197.09
SMA200$170.29
RSI69.72
ATR3.4693
Shares Float1.39B
Short Ratio4.12
Volatility0.93
Rel Volume0.68
Performance History
Week+2.06%
Month+7.11%
Quarter+23.35%
6 Months+28.65%
YTD+27.01%
Year+65.73%
3 Years+147.24%
5 Years+151.15%
10 Years+397.32%
Stock Score: ⭐ Premium
Based on debt, profitability, growth, and cash flow metrics
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Recent Price History
Date Close Volume
2026-07-17 $215.43 1,211,800
2026-07-16 $216.07 1,566,400
2026-07-15 $217.87 1,530,700
2026-07-14 $214.04 1,643,600
2026-07-13 $210.69 1,657,300
2026-07-10 $211.09 848,400
2026-07-09 $208.56 898,000
2026-07-08 $205.77 1,393,300
2026-07-07 $209.07 1,409,500
2026-07-06 $208.05 1,460,500
2026-07-02 $204.79 2,803,100
2026-07-01 $208.31 752,700
2026-06-30 $206.97 2,151,500
2026-06-29 $204.79 1,268,300
2026-06-26 $202.85 2,633,000
2026-06-25 $203.73 1,878,300
2026-06-24 $202.16 2,542,000
2026-06-23 $202.93 2,553,300
2026-06-22 $202.74 2,722,300
2026-06-18 $201.56 2,514,900
About Royal Bank of Canada

Royal Bank of Canada operates as a diversified financial service company worldwide. Its Personal Banking segment offers home equity financing, personal lending, chequing and savings accounts, private banking, auto financing, mutual funds, GICs, credit cards, and payment products and solutions. The company's Commercial Banking segments provides lending, deposit and transaction banking products and services. Its Wealth Management segment provides a suite of wealth, investment, trust, banking, credit, and other solutions to clients; asset management products to institutional and individual clients; and asset and investor services to financial institutions, asset managers, and asset owners. The company's Insurance segment offers life, health, travel, wealth, annuities, property and casualty, and reinsurance advice and solutions; digital platforms; and independent brokers and partners, as well as client-led advice and solutions. The company's Capital Markets segment offers advisory and origination, sales and trading, lending and financing, and transaction banking services to corporations, institutional clients, asset managers, private equity firms, and governments. The company was founded in 1864 and is based in Toronto, Canada.

Period:
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Income Statement (Annual)
Metric 2025-10-31 2025-07-31 2025-04-30 2025-01-31
Revenue
Total Revenue $47,342,953,664 - - -
Operating Revenue $47,342,953,664 - - -
Expenses
Interest Expense $50,397,773,902 - - -
General And Administrative Expense $16,453,192,067 - - -
Professional Expense And Contract Services Expense $1,549,113,361 - - -
Other Non Interest Expense $3,549,369,520 - - -
Income & Earnings
Net Income From Continuing Operation Net Minority Interest $14,489,226,575 - - -
Net Interest Income $23,482,196,100 - - -
Interest Income $73,879,970,002 - - -
Normalized Income $14,532,731,257 - - -
Net Income From Continuing And Discontinued Operation $14,489,226,575 - - -
Net Income Common Stockholders $14,137,705,216 - - -
Net Income $14,489,226,575 - - -
Net Income Including Noncontrolling Interests $14,494,207,647 - - -
Net Income Continuous Operations $14,494,207,647 - - -
Pretax Income $18,252,782,187 - - -
Special Income Charges $-54,791,791 - - -
Depreciation Amortization Depletion Income Statement $1,251,672,210 - - -
Depreciation And Amortization In Income Statement $1,251,672,210 - - -
Amortization Of Intangibles Income Statement $1,251,672,210 - - -
Average Dilution Earnings - - - -
Per Share
Diluted EPS $10.01 $9.41 $8.94 $8.75
Basic EPS $10.03 $9.43 $8.96 $8.76
Other
Tax Effect Of Unusual Items $-11,287,109 - - -
Tax Rate For Calcs $0 - - -
Total Unusual Items $-54,791,791 - - -
Total Unusual Items Excluding Goodwill $-54,791,791 - - -
Reconciled Depreciation $2,190,960,054 - - -
Diluted Average Shares $1,004,460,900 $1,006,317,595 $1,007,494,729 $1,007,578,518
Basic Average Shares $1,002,669,849 $1,004,582,937 $1,005,829,628 $1,006,038,655
Diluted NI Availto Com Stockholders $14,137,705,216 - - -
Preferred Stock Dividends $351,521,360 - - -
Minority Interests $-4,981,072 - - -
Tax Provision $3,758,574,539 - - -
Gain On Sale Of Business $0 - - -
Impairment Of Capital Assets $24,193,778 - - -
Restructuring And Mergern Acquisition $30,598,013 - - -
Gain On Sale Of Security $85,389,804 - - -
Amortization $1,251,672,210 - - -
Selling General And Administration $16,453,192,067 - - -
Salaries And Wages $16,453,192,067 - - -
Occupancy And Equipment $3,180,058,617 - - -
Insurance And Claims - - - -
Fetched: 2026-07-15
Balance Sheet (Annual)
Metric 2025-10-31 2024-10-31 2023-10-31 2022-10-31
Assets
Net Tangible Assets $79,903,364,648 $71,164,768,060 $68,706,859,867 $63,834,451,818
Total Assets $1,654,502,402,173 $1,545,324,027,342 $1,427,871,738,625 $1,364,316,238,750
Goodwill And Other Intangible Assets $19,076,185,565 $19,273,302,116 $13,162,689,014 $13,065,198,156
Other Intangible Assets $5,267,352,764 $5,549,151,156 $4,200,646,226 $4,328,736,404
Receivables $29,323,399,805 $23,403,498,745 $21,201,770,907 $18,671,989,892
Other Receivables $19,809,857,640 $14,655,651,200 $12,610,478,024 $12,300,926,761
Accounts Receivable $9,513,542,165 $8,747,847,545 $8,591,292,883 $6,371,063,131
Cash And Cash Equivalents $62,186,358,195 $87,345,403,990 $94,697,780,208 $128,380,515,737
Cash Financial $26,346,726,390 $40,364,773,148 $44,112,122,467 $51,518,581,204
Cash Cash Equivalents And Federal Funds Sold $292,207,141,787 $344,885,650,713 $343,078,867,592 $365,012,175,738
Cash Equivalents - - - -
Debt
Net Debt $322,691,180,926 $239,098,107,540 $214,559,587,495 $170,543,532,662
Total Debt $388,140,992,212 $329,768,874,873 $312,647,487,747 $302,560,386,230
Long Term Debt And Capital Lease Obligation $255,038,218,580 $233,640,754,345 $228,448,832,463 $200,834,013,310
Long Term Debt $251,774,765,489 $230,819,923,980 $225,523,395,120 $197,663,069,793
Current Debt And Capital Lease Obligation $133,102,773,632 $96,128,120,528 $84,198,655,284 $101,726,372,919
Current Debt $133,102,773,632 $95,623,587,550 $83,733,972,583 $101,260,978,606
Other Current Borrowings $1,995,360,328 $0 $3,207,235,735 $6,837,880,669
Liabilities
Total Liabilities Net Minority Interest $1,555,480,866,846 $1,454,812,661,119 $1,345,931,740,146 $1,287,337,599,832
Derivative Product Liabilities $130,903,180,631 $116,535,732,332 $101,496,522,211 $109,226,052,841
Non Current Deferred Liabilities $3,387,985,208 $3,338,172,361 $3,028,621,098 $2,916,897,998
Non Current Deferred Taxes Liabilities $344,420,256 $385,693,758 $303,146,755 $312,397,712
Current Notes Payable $35,686,635,203 $30,826,324,560 $25,372,529,426 $21,156,227,733
Payables And Accrued Expenses $29,650,029,759 $27,947,142,003 $24,626,759,945 $21,539,075,043
Payables $19,990,607,113 $19,563,639,853 $18,158,917,568 $15,140,970,652
Dividends Payable $1,640,977,503 $1,510,752,488 $1,405,433,898 $1,320,752,058
Total Tax Payable $2,029,517,709 $1,706,445,816 $2,107,795,040 $1,520,003,446
Income Tax Payable $2,029,517,709 $1,706,445,816 $2,107,795,040 $1,520,003,446
Accounts Payable $16,320,111,901 $16,346,441,549 $14,645,688,630 $12,300,215,148
Equity
Common Stock Equity $90,694,250,533 $84,019,329,035 $76,658,413,472 $71,688,514,566
Preferred Stock Equity $8,285,299,680 $6,418,741,142 $5,211,135,408 $5,211,135,408
Total Equity Gross Minority Interest $99,021,535,327 $90,511,366,223 $81,939,998,479 $76,978,638,918
Stockholders Equity $98,979,550,213 $90,438,070,177 $81,869,548,881 $76,899,649,974
Other Equity Interest $6,921,139,285 $6,047,279,626 $4,875,966,109 $4,073,979,272
Retained Earnings $68,982,253,750 $63,054,524,957 $58,149,382,752 $55,532,073,448
Long Term Equity Investment $589,926,431 $594,196,104 $356,517,662 $505,956,203
Other
Treasury Shares Number $370,750 $409,889 $1,325,022 $1,907,120
Ordinary Shares Number $996,338,064 $1,006,578,375 $996,620,269 $986,003,497
Share Issued $996,708,814 $1,006,988,263 $997,945,291 $987,910,617
Tangible Book Value $71,618,064,968 $64,746,026,918 $63,495,724,459 $58,623,316,410
Invested Capital $475,571,789,654 $410,462,840,565 $385,915,781,175 $370,612,562,965
Capital Lease Obligations $3,263,453,091 $3,325,363,343 $3,390,120,044 $3,636,337,831
Total Capitalization $350,754,315,702 $321,257,994,157 $307,392,944,001 $274,562,719,767
Minority Interest $41,985,114 $73,296,046 $70,449,598 $78,988,943
Treasury Stock $55,505,744 $35,580,605 $170,786,904 $241,236,502
Capital Stock $23,131,662,923 $21,371,846,199 $19,014,986,924 $17,534,833,756
Common Stock $14,846,363,242 $14,953,105,057 $13,803,851,516 $12,323,698,348
Preferred Stock $8,285,299,680 $6,418,741,142 $5,211,135,408 $5,211,135,408
Employee Benefits $1,399,029,389 $1,369,141,680 $1,146,407,093 $1,186,968,983
Non Current Deferred Revenue $3,043,564,952 $2,952,478,603 $2,725,474,343 $2,604,500,286
Long Term Capital Lease Obligation $3,263,453,091 $2,820,830,364 $2,925,437,343 $3,170,943,518
Long Term Provisions $556,480,662 $564,308,395 $458,278,192 $446,180,787
Commercial Paper $95,420,778,101 $64,797,262,990 $55,154,207,423 $73,266,870,204
Current Accrued Expenses $9,659,422,645 $8,383,502,150 $6,467,842,377 $6,398,104,391
Defined Pension Benefit $2,854,987,745 $2,583,151,923 $2,011,015,795 $2,370,379,905
Investments And Advances $400,365,064,866 $313,645,167,911 $291,925,343,395 $226,957,293,501
Available For Sale Securities $211,392,202,038 $166,275,994,898 $140,371,891,234 $107,506,798,008
Trading Securities $132,954,758,316 $115,191,497,075 $95,030,103,058 $76,114,030,216
Goodwill $13,808,832,800 $13,724,150,961 $8,962,042,787 $8,736,461,752
Net PPE $4,852,482,910 $4,875,966,109 $4,802,670,063 $5,133,569,689
Accumulated Depreciation $-5,468,027,376 $-5,036,078,832 $-4,330,159,628 $-3,703,940,980
Gross PPE $10,320,510,286 $9,912,044,941 $9,132,829,691 $8,837,510,670
Leases $2,186,783,983 $2,255,098,745 $2,139,817,585 $2,024,536,424
Construction In Progress $143,034,032 $91,797,961 $76,854,107 $85,393,452
Other Properties $314,532,548 $227,004,260 $225,581,036 $212,772,018
Machinery Furniture Equipment $1,675,846,496 $1,644,535,563 $1,507,194,428 $1,426,782,260
Buildings And Improvements $5,890,724,964 $5,519,975,060 $5,083,756,842 $4,987,689,209
Land And Improvements $109,588,263 $173,633,352 $99,625,694 $100,337,306
Other Short Term Investments $55,428,178,081 $31,583,479,834 $56,166,831,441 $42,830,509,075
Preferred Shares Number - $44,119,950 $72,584,434 $73,011,401
Current Capital Lease Obligation - $504,532,979 $464,682,701 $465,394,313
Fetched: 2026-07-15
Cash Flow Statement (Annual)
Metric 2025-10-31 2024-10-31 2023-10-31 2022-10-31
Free Cash Flow
Free Cash Flow $37,699,074,222 $14,843,516,794 $16,615,430,923 $13,835,162,448
Operating Activities
Operating Cash Flow $39,295,220,162 $16,465,992,382 $18,558,131,956 $15,614,192,698
Cash Flow From Continuing Operating Activities $39,295,220,162 $16,465,992,382 $18,558,131,956 $15,614,192,698
Operating Gains Losses $-145,880,480 $-88,951,512 $-45,543,174 $-178,614,637
Investing Activities
Capital Expenditure $-1,596,145,940 $-1,622,475,588 $-1,942,701,033 $-1,779,030,250
Investing Cash Flow $-48,794,530,085 $-14,863,441,933 $-20,113,716,006 $-40,600,316,753
Cash Flow From Continuing Investing Activities $-48,794,530,085 $-14,863,441,933 $-20,113,716,006 $-40,600,316,753
Financing Activities
Repurchase Of Capital Stock $-11,275,493,724 $-5,470,873,825 $-2,899,819,308 $-8,028,407,712
Issuance Of Capital Stock $11,183,695,764 $6,815,820,694 $3,016,523,692 $4,464,654,315
Financing Cash Flow $-4,775,628,803 $-5,796,792,167 $-6,997,281,779 $-1,554,872,438
Cash Flow From Continuing Financing Activities $-4,775,628,803 $-5,796,792,167 $-6,997,281,779 $-1,554,872,438
Net Other Financing Charges $-27,752,872 $-4,269,673 $-14,943,854 $-3,558,060
Cash Dividends Paid $-6,262,186,480 $-4,722,969,508 $-3,948,735,543 $-4,952,820,216
Net Preferred Stock Issuance $1,846,633,400 $1,196,219,940 $0 $422,697,587
Preferred Stock Issuance $3,518,921,834 $1,922,775,894 $0 $532,997,463
Net Common Stock Issuance $-1,938,431,360 $148,726,929 $116,704,384 $-3,986,450,984
Common Stock Issuance $7,664,773,929 $4,893,044,800 $3,016,523,692 $3,931,656,852
Other
Repayment Of Debt $-2,517,683,610 $-1,520,003,446 $-587,079,982 $-584,233,534
Issuance Of Debt $2,128,431,791 $2,312,739,325 $1,067,418,150 $711,612,100
Interest Paid Supplemental Data $50,507,380,410 $52,402,403,432 $38,923,758,646 $9,732,718,692
Income Tax Paid Supplemental Data $4,331,582,853 $2,426,597,261 $3,532,442,464 $5,213,270,245
End Cash Position $26,346,726,390 $40,364,773,148 $44,112,122,467 $51,518,581,204
Beginning Cash Position $40,364,773,148 $44,112,122,467 $51,518,581,204 $81,014,191,137
Effect Of Exchange Rate Changes $256,891,968 $446,892,399 $1,146,407,093 $-2,954,613,439
Changes In Cash $-14,274,938,726 $-4,194,241,717 $-8,552,865,830 $-26,540,996,494
Preferred Stock Payments $-1,672,288,435 $-726,555,954 $0 $-110,299,876
Common Stock Payments $-9,603,205,290 $-4,744,317,871 $-2,899,819,308 $-7,918,107,837
Net Issuance Payments Of Debt $1,606,108,510 $-2,414,499,855 $-3,150,306,767 $6,965,259,235
Net Short Term Debt Issuance $1,995,360,328 $-3,207,235,735 $-3,630,644,934 $6,837,880,669
Net Long Term Debt Issuance $-389,251,819 $792,735,879 $480,338,168 $127,378,566
Long Term Debt Payments $-2,517,683,610 $-1,520,003,446 $-587,079,982 $-584,233,534
Long Term Debt Issuance $2,128,431,791 $2,312,739,325 $1,067,418,150 $711,612,100
Net Investment Purchase And Sale $-58,339,383,182 $-7,807,807,961 $-32,727,040,479 $-16,951,311,834
Sale Of Investment $165,406,404,912 $129,751,792,254 $111,343,098,839 $70,551,358,430
Purchase Of Investment $-223,745,788,094 $-137,559,600,215 $-144,070,139,318 $-87,502,670,264
Net Business Purchase And Sale $0 $-9,038,185,282 $1,218,279,915 $-1,679,404,556
Sale Of Business $0 $10,674,182 $1,218,279,915 -
Purchase Of Business $0 $-9,048,859,464 $0 $-1,679,404,556
Net PPE Purchase And Sale $-1,596,145,940 $-1,622,475,588 $-1,942,701,033 $-1,779,030,250
Purchase Of PPE $-1,596,145,940 $-1,622,475,588 $-1,942,701,033 $-1,779,030,250
Change In Working Capital $19,804,876,355 $1,665,172,314 $5,142,820,647 $1,907,832,040
Change In Other Working Capital $45,980,104,229 $73,364,361,062 $2,113,487,937 $73,673,200,713
Deferred Tax $-153,708,214 $-1,088,054,901 $-724,421,118 $404,907,285
Deferred Income Tax $-153,708,214 $-1,088,054,901 $-724,421,118 $404,907,285
Depreciation Amortization Depletion $2,191,053,656 $2,121,315,670 $2,030,940,933 $1,887,195,289
Depreciation And Amortization $2,191,053,656 $2,121,315,670 $2,030,940,933 $1,887,195,289
Amortization Cash Flow $1,275,920,495 $1,150,676,766 $1,123,635,506 $987,005,983
Amortization Of Intangibles $1,275,920,495 $1,150,676,766 $1,123,635,506 $987,005,983
Depreciation $915,133,161 $970,638,904 $907,305,428 $900,189,306
Earnings Losses From Equity Investments $-51,947,683 $11,385,794 $157,266,274 $-76,854,107
Gain Loss On Investment Securities $-93,932,797 $-120,974,057 $-137,341,135 $-30,599,320
Gain Loss On Sale Of Business $0 $20,636,751 $-65,468,313 $-71,161,210
Net Income From Continuing Operations $14,494,826,865 $11,556,580,504 $10,398,076,005 $11,248,452,465
Fetched: 2026-07-15