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Note 16 - Interest Rate Risk Position (Tables)
3 Months Ended
Jan. 31, 2025
Statement Line Items [Line Items]  
Sensitivity analysis for types of market risk [text block]

(thousands of Canadian dollars)

                               
   

January 31, 2025

   

October 31, 2024

 
   

Increase

100 bps

   

Decrease

100 bps

   

Increase

100 bps

   

Decrease

100 bps

 

Increase (decrease):

                               

Impact on projected net interest income during a 12 month period

  $ 3,819     $ (4,072 )   $ 5,223     $ (5,430 )
                                 

Duration difference between assets and liabilities (months)

    (0.8 )             (1.6 )