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Note 19 - Fair Value of Financial Instruments - Fair Value of Financial Instruments (Details) - CAD ($)
$ in Thousands
Oct. 31, 2021
Oct. 31, 2020
Deposits from banks [member]    
Statement Line Items [Line Items]    
Liabilities, book value $ 1,853,204 $ 1,567,570
Liabilities, fair value 1,860,332 1,607,495
Subordinated notes [member]    
Statement Line Items [Line Items]    
Liabilities, book value 95,272 4,889
Liabilities, fair value 97,910 5,000
Securitization liabilities [member]    
Statement Line Items [Line Items]    
Liabilities, book value 0 8,745
Liabilities, fair value 0 8,778
Other liabilities [member]    
Statement Line Items [Line Items]    
Liabilities, book value 130,657 107,393
Liabilities, fair value 130,657 107,393
Cash [member]    
Statement Line Items [Line Items]    
Total loans 271,523 257,644
Assets, fair value 271,523 257,644
Loans, net [member]    
Statement Line Items [Line Items]    
Total loans 2,103,050 1,654,910
Assets, fair value 2,118,636 1,665,473
Other assets [member]    
Statement Line Items [Line Items]    
Total loans 3,596 8,897
Assets, fair value $ 3,596 $ 8,897