Financial Services » Banking » Royal Bank of Canada | Royal Bank of Canada: return on risk-weighted assets 2017

Return on risk-weighted assets of Royal Bank of Canada 2013-2017

Return on risk-weighted assets of Royal Bank of Canada (RBC) from 2013 to 2017

The data describes return on risk-weighted assets of Royal Bank of Canada from 2013 to 2017. In 2017, the return on risk-weighted assets of the leading Canadian bank amounted to 2.49%.

2013 2.67
2014 2.52
2015 2.45
2016 2.34
2017 2.49