CM dividend history
Canadian Imperial Bank of Commerce (CM) dividend declarations and ex-dividend dates - real-time wire coverage of every payout disclosure.
Recent dividend items
- CIBC Asset Management announces CIBC ETF cash distributions for April 2026TORONTO, April 24, 2026 /CNW/ - CIBC (TSX:CM) (NYSE:CM) – CIBC Asset Management Inc. today announced the April 2026 cash distributions for CIBC ETFs and ETF Series of the CIBC Fixed Income Pools and CIBC Sustainable Investment Solutions. Unitholders of record on April 30, 2026, will receive cash distributions payable on May 5, 2026. Details of the final "per unit" distribution amounts are as follows:CIBC ETFTicker SymbolsExchangeCash Distribution Per Unit ($)CIBC Active Investment Grade Floating Rate Bond ETFCFRNTSX$0.050CIBC Active Investment Grade Corporate Bond ETFCACBTSX$0.0
- CIBC Asset Management announces CIBC ETF cash distributions for March 2026TORONTO, March 25, 2026 /CNW/ - CIBC (TSX:CM) (NYSE:CM) – CIBC Asset Management Inc. today announced the March 2026 cash distributions for CIBC ETFs and ETF Series of the CIBC Fixed Income Pools and CIBC Sustainable Investment Solutions. Unitholders of record on March 31, 2026, will receive cash distributions payable on April 6, 2026. Details of the final "per unit" distribution amounts are as follows:CIBC ETFTicker SymbolsExchangeCash DistributionPer Unit ($)CIBC Active Investment Grade Floating Rate Bond ETFCFRNTSX$0.050CIBC Active Investment Grade Corporate Bond ETFCACBTSX$0.
- CIBC Declares Dividends for the Quarter Ending April 30, 2026TORONTO, Feb. 26, 2026 /CNW/ - CIBC (TSX:CM) (NYSE:CM) announced today that its Board of Directors declared a dividend of $1.07 per share on common shares for the quarter ending April 30, 2026 payable on April 28, 2026 to shareholders of record at the close of business on March 27, 2026. Class A Preferred SharesThe Board of Directors also declared the following dividends per share:For the period ending April 30, 2026 payable on April 28, 2026 to shareholders of record at the close of business on March 27, 2026:Series 47 - $0.367375For the period ending April 30, 2026 payable on
- CIBC Asset Management announces CIBC ETF cash distributions for February 2026TORONTO, Feb. 23, 2026 /CNW/ - CIBC (TSX:CM) (NYSE:CM) – CIBC Asset Management Inc. today announced the February 2026 cash distributions for CIBC ETFs and ETF Series of the CIBC Fixed Income Pools and CIBC Sustainable Investment Solutions. Unitholders of record on February 27, 2026, will receive cash distributions payable on March 4, 2026. Details of the final "per unit" distribution amounts are as follows:CIBC ETFTickerSymbolsExchangeCash Distribution Per Unit ($)CIBC Active Investment Grade Floating Rate Bond ETFCFRNTSX$0.050CIBC Active Investment Grade Corporate Bond ETFCACBT
- CIBC Asset Management announces CIBC ETF cash distributions for January 2026TORONTO, Jan. 26, 2026 /CNW/ - CIBC (TSX:CM) (NYSE:CM) – CIBC Asset Management Inc. today announced the January 2026 cash distributions for CIBC ETFs and ETF Series of the CIBC Fixed Income Pools and CIBC Sustainable Investment Solutions. Unitholders of record on January 30, 2026, will receive cash distributions payable on February 4, 2026. Details of the final "per unit" distribution amounts are as follows: CIBC ETF Ticker Symbols Exchange Cash Distribution Per Unit ($) CIBC Active Investment Grade Floating Rate Bond ETF CAFR TSX $0.048 CIBC Active Investment Grade Corporat
- CIBC Asset Management announces revised final 2025 annual reinvested capital gains distributions for CIBC ETFs and ETF SeriesTORONTO, Dec. 30, 2025 /CNW/ - CIBC (TSX:CM) (NYSE:CM) – CIBC Asset Management Inc. today announced the revised final 2025 annual reinvested capital gains distributions for the CIBC ETFs and ETF Series. These amounts are for the year-end capital gains distributions only, and do not include cash distributions for December 2025. The annual capital gains distributions will be reinvested in additional units of the CIBC ETF or ETF Series. The additional units will be immediately consolidated with the previously outstanding units such that the number of outstanding units following the distribution will equal the number of units outstanding prior to the distribution. Unitholders of record as of D
- CIBC Asset Management announces revised CIBC ETF cash distributions for December 2025TORONTO, Dec. 30, 2025 /CNW/ - CIBC (TSX:CM) (NYSE:CM) – CIBC Asset Management Inc. today announced the revised December 2025 cash distributions for CIBC ETFs and ETF Series of the CIBC Fixed Income Pools and CIBC Sustainable Investment Solutions. Unitholders of record on December 31, 2025, will receive cash distributions payable on January 6, 2026. Details of the final "per unit" distribution amounts are as follows: CIBC ETF Ticker Symbols Exchange Cash Distribution Per Unit ($) CIBC Active Investment Grade Floating Rate Bond ETF CAFR TSX $0.050 CIBC Active Investment Grade Corporate Bond ETF CACB TSX $0.075 CIBC Flexible Yield ETF (CAD-Hedged) CFLX TSX $0.096 CIBC Conservative Fixed I
- CIBC Asset Management announces final 2025 annual reinvested capital gains distributions for CIBC ETFs and ETF SeriesTORONTO, Dec. 23, 2025 /CNW/ - CIBC (TSX:CM) (NYSE:CM) – CIBC Asset Management Inc. today announced the final 2025 annual reinvested capital gains distributions for the CIBC ETFs and ETF Series. Please note that these amounts are calculated as of December 15, 2025, and may change if there are any subscriptions or redemptions in CIBC ETFs before ex-dividend date. These amounts are for the year-end capital gains distributions only, and do not include cash distributions for December 2025. The annual capital gains distributions will be reinvested in additional units of the CIBC ET
- CIBC Asset Management announces CIBC ETF cash distributions for December 2025TORONTO, Dec. 23, 2025 /CNW/ - CIBC (TSX:CM) (NYSE:CM) – CIBC Asset Management Inc. today announced the December 2025 cash distributions for CIBC ETFs and ETF Series of the CIBC Fixed Income Pools and CIBC Sustainable Investment Solutions. Unitholders of record on December 31, 2025, will receive cash distributions payable on January 6, 2026. Details of the final "per unit" distribution amounts are as follows: CIBC ETF Ticker Symbols Exchange Cash Distribution Per Unit ($) CIBC Active Investment Grade Floating Rate Bond ETF CAFR TSX $0.050 CIBC Active Investment Grade Corpor
- CIBC expands travel benefits and choice to more clients through "CIBC by Expedia"Expansion of platform provides opportunity for cardholders to enjoy a seamless travel booking experience TORONTO, Dec. 10, 2025 /CNW/ - CIBC announced today the expansion of its online booking platform, "CIBC by Expedia" to include a wide range of CIBC credit cards, enabling more clients to enjoy a seamless travel booking experience and access to Expedia Group's global travel network, all through CIBC Online and Mobile Banking. Building on the success of the initial platform launch in 2024, which was available exclusively to CIBC Aventura cardholders, this expansion brings tr
- CIBC Increases Dividends for the Quarter Ending January 31, 2026TORONTO, Dec. 4, 2025 /CNW/ - CIBC (TSX:CM) (NYSE:CM) announced today that its Board of Directors declared a dividend of $1.07 per share on common shares for the quarter ending January 31, 2026 an increase of $0.10 per share from the previous quarter. This dividend is payable on January 28, 2026 to shareholders of record at the close of business on December 29, 2025. Class A Preferred SharesThe Board of Directors also declared the following dividends per share: For the period ending January 31, 2026 payable on January 28, 2026 to shareholders of record at the close of business
- CIBC Asset Management announces estimated 2025 annual reinvested capital gains distributions for CIBC ETFs and ETF SeriesTORONTO, Nov. 26, 2025 /CNW/ - CIBC (TSX:CM) (NYSE:CM) – CIBC Asset Management Inc. today announced the estimated 2025 annual reinvested capital gains distributions for the CIBC ETFs and ETF Series. Please note that these are estimated capital gains amounts only, as of October 31, 2025. As these are estimated amounts, the final capital gains distributions are subject to change prior to the final distribution. These estimates are for the year-end capital gains distributions only, which are typically reinvested in additional units of the respective CIBC ETF or ETF Series at the
- CIBC Asset Management announces CIBC ETF cash distributions for November 2025TORONTO, Nov. 20, 2025 /CNW/ - CIBC (TSX:CM) (NYSE:CM) – CIBC Asset Management Inc. today announced the October 2025 cash distributions for CIBC ETFs and ETF Series of the CIBC Fixed Income Pools, CIBC Sustainable Canadian Core Plus Bond Fund and the CIBC Investment Grade Bond Funds, which distribute monthly and quarterly. Unitholders of record on November 26, 2025, will receive cash distributions payable on December 1, 2025. Details of the final "per unit" distribution amounts are as follows: CIBC ETF Ticker Symbols Exchange Cash Distribution Per Unit ($) CIBC Canadian Gover
- CIBC Asset Management announces CIBC ETF cash distributions for October 2025TORONTO, Oct. 27, 2025 /CNW/ - CIBC (TSX:CM) (NYSE:CM) – CIBC Asset Management Inc. today announced the October 2025 cash distributions for CIBC ETFs and ETF Series of the CIBC Fixed Income Pools, which distribute monthly and quarterly. Unitholders of record on October 31, 2025, will receive cash distributions payable on November 5, 2025. Details of the final "per unit" distribution amounts are as follows: CIBC ETF Ticker Symbols Exchange Cash Distribution Per Unit ($) CIBC Canadian Government Long-Term Bond ETF CALB TSX $0.032 CIBC USD Premium Cash Management ETF (USD)* CUSD.
- CIBC Asset Management announces CIBC ETF cash distributions for September 2025TORONTO, Sept. 23, 2025 /CNW/ - CIBC (TSX:CM) (NYSE:CM) – CIBC Asset Management Inc. today announced the September 2025 cash distributions for CIBC ETFs and ETF Series of the CIBC Fixed Income Pools, which distribute monthly and quarterly. Unitholders of record on September 29, 2025, will receive cash distributions payable on October 3, 2025. Details of the final "per unit" distribution amounts are as follows: CIBC ETF TickerSymbols Exchange CashDistribution PerUnit ($) CIBC Canadian Government Long-Term Bond ETF CALB TSX $0.049 CIBC USD Premium Cash Management ETF (USD)* CUSD
- CIBC Declares Dividends for the Quarter Ending October 31, 2025TORONTO, Aug. 28, 2025 /CNW/ - CIBC (TSX:CM) (NYSE:CM) announced today that its Board of Directors declared a dividend of $0.97 per share on common shares for the quarter ending October 31, 2025 payable on October 28, 2025 to shareholders of record at the close of business on September 29, 2025. Class A Preferred SharesThe Board of Directors also declared the following dividends per share: For the period ending October 31, 2025 payable on October 28, 2025 to shareholders of record at the close of business on September 29, 2025: Series 47 - $0.367375 Series 56 - $36.825000 Seri
- CIBC Asset Management announces CIBC ETF cash distributions for August 2025TORONTO, Aug. 25, 2025 /CNW/ - CIBC (TSX:CM) (NYSE:CM) – CIBC Asset Management Inc. today announced the August 2025 cash distributions for CIBC ETFs and ETF Series of the CIBC Fixed Income Pools, which distribute monthly and quarterly. Unitholders of record on August 29, 2025, will receive cash distributions payable on September 4, 2025. Details of the final "per unit" distribution amounts are as follows: CIBC ETF Ticker Symbols Exchange Cash Distribution Per Unit ($) CIBC Canadian Government Long-Term Bond ETF CALB TSX $0.040 CIBC USD Premium Cash Management ETF (USD)* CUSD.U
- CIBC Asset Management announces CIBC ETF cash distributions for July 2025TORONTO, July 25, 2025 /CNW/ - CIBC (TSX:CM) (NYSE:CM) – CIBC Asset Management Inc. today announced the July 2025 cash distributions for CIBC ETFs and ETF Series of the CIBC Fixed Income Pools, which distribute monthly and quarterly. Unitholders of record on July 31, 2025, will receive cash distributions payable on August 6, 2025. Details of the final "per unit" distribution amounts are as follows: CIBC ETF Ticker Symbols Exchange Cash Distribution Per Unit ($) CIBC Canadian Government Long-Term Bond ETF CALB TSX $0.040 CIBC USD Premium Cash Management ETF (USD)* CUSD.U TSX $0
- CIBC Asset Management announces CIBC ETF cash distributions for June 2025TORONTO, June 24, 2025 /CNW/ - CIBC (TSX:CM) (NYSE:CM) – CIBC Asset Management Inc. today announced the June 2025 cash distributions for CIBC ETFs and ETF Series of the CIBC Fixed Income Pools, which distribute monthly and quarterly. Unitholders of record on June 30, 2025, will receive cash distributions payable on July 7, 2025. Details of the final "per unit" distribution amounts are as follows: CIBC ETF Ticker Symbols Exchange CashDistribution PerUnit ($) CIBC Canadian Government Long-Term Bond ETF CALB TSX $0.04 CIBC USD Premium Cash Management ETF (USD)* CUSD.U TSX $0.20 C
- CIBC to redeem Non-cumulative Rate Reset Class A Preferred Shares Series 43 (NVCC)TORONTO, June 24, 2025 /CNW/ - CIBC (TSX:CM) (NYSE:CM) today announced its intention to redeem all of its issued and outstanding Non-cumulative Rate Reset Class A Preferred Shares Series 43 (Non-viability contingent capital (NVCC)) (Series 43 shares) (TSX:CM), for cash. The redemption will occur on July 31, 2025. The redemption price is $25.00 per Series 43 share. The $0.196438 quarterly dividend announced on May 29, 2025 will be the final dividend on the Series 43 shares and will be paid on July 28, 2025, covering the period to July 31, 2025, to shareholders of record on Jun
- CIBC Declares Dividends for the Quarter Ending July 31, 2025TORONTO, May 26, 2025 /CNW/ - CIBC (TSX:CM) (NYSE:CM) announced today that its Board of Directors declared a dividend of $0.97 per share on common shares for the quarter ending July 31, 2025 payable on July 28, 2025 to shareholders of record at the close of business on June 27, 2025. Class A Preferred SharesThe Board of Directors also declared the following dividends per share: For the period ending July 31, 2025 payable on July 28, 2025 to shareholders of record at the close of business on June 27, 2025: Series 43 - $0.196438Series 47 - $0.367375 About CIBC CIBC is a leading
- CIBC Asset Management announces CIBC ETF cash distributions for May 2025TORONTO, May 26, 2025 /CNW/ - CIBC (TSX:CM) (NYSE:CM) – CIBC Asset Management Inc. today announced the May 2025 cash distributions for CIBC ETFs and ETF Series of the CIBC Fixed Income Pools, which distribute monthly. Unitholders of record on May 30, 2025, will receive cash distributions payable on June 4, 2025. Details of the final "per unit" distribution amounts are as follows: CIBC ETF TickerSymbols Exchange Cash DistributionPer Unit ($) CIBC Active Investment Grade Corporate Bond ETF CACB TSX $0.074 CIBC Active Investment Grade Floating Rate Bond ETF CAFR TSX $0.058 CIBC F
- CIBC Asset Management announces CIBC ETF cash distributions for April 2025TORONTO, April 24, 2025 /CNW/ - CIBC (TSX:CM) (NYSE:CM) – CIBC Asset Management Inc. today announced the April 2025 cash distributions for CIBC ETFs and ETF Series of the CIBC Fixed Income Pools, which distribute monthly. Unitholders of record on April 30, 2025, will receive cash distributions payable on May 5, 2025. Details of the final "per unit" distribution amounts are as follows: CIBC ETF Ticker Symbols Exchange Cash Distribution Per Unit ($) CIBC Active Investment Grade Corporate Bond ETF CACB TSX $0.072 CIBC Active Investment Grade Floating Rate Bond ETF CAFR TSX $0.057
- CIBC Asset Management announces CIBC ETF cash distributions for March 2025TORONTO, March 24, 2025 /CNW/ - CIBC (TSX:CM) (NYSE:CM) – CIBC Asset Management Inc. today announced the March 2025 cash distributions for CIBC ETFs and ETF Series of the CIBC Fixed Income Pools, which distribute monthly and quarterly. Unitholders of record on March 31, 2025, will receive cash distributions payable on April 3, 2025. Details of the final "per unit" distribution amounts are as follows: CIBC ETF Ticker Symbols Exchange Cash Distribution Per Unit ($) CIBC Active Investment Grade Corporate Bond ETF CACB TSX $0.073 CIBC Active Investment Grade Floating Rate Bond ETF
- CIBC Declares Dividends for the Quarter Ending April 30, 2025TORONTO, Feb. 27, 2025 /CNW/ - CIBC (TSX:CM) (NYSE:CM) announced today that its Board of Directors declared a dividend of $0.97 per share on common shares for the quarter ending April 30, 2025 payable on April 28, 2025 to shareholders of record at the close of business on March 28, 2025. Class A Preferred SharesThe Board of Directors also declared the following dividends per share: For the period ending April 30, 2025 payable on April 28, 2025 to shareholders of record at the close of business on March 28, 2025: Series 43 - $0.196438Series 47 - $0.367375Series 56 - $36.825000
- CIBC Asset Management announces CIBC ETF cash distributions for February 2025TORONTO, Feb. 24, 2025 /CNW/ - CIBC (TSX:CM) (NYSE:CM) – CIBC Asset Management Inc. today announced the February 2025 cash distributions for CIBC ETFs and ETF Series of the CIBC Fixed Income Pools, which distribute monthly. Unitholders of record on February 28, 2025, will receive cash distributions payable on March 5, 2025. Details of the final "per unit" distribution amounts are as follows: CIBC ETF Ticker Symbols Exchange Cash Distribution Per Unit ($) CIBC Active Investment Grade Corporate Bond ETF CACB TSX $0.075 CIBC Active Investment Grade Floating Rate Bond ETF CAFR TSX
- CIBC Asset Management announces CIBC ETF cash distributions for January 2025TORONTO, Jan. 27, 2025 /CNW/ - CIBC (TSX:CM) (NYSE:CM) – CIBC Asset Management Inc. today announced the January 2025 cash distributions for CIBC ETFs and ETF Series of the CIBC Fixed Income Pools, which distribute monthly. Unitholders of record on January 31, 2025, will receive cash distributions payable on February 5, 2025. Details of the final "per unit" distribution amounts are as follows: CIBC ETF Ticker Symbols Exchange Cash Distribution Per Unit ($) CIBC Active Investment Grade Corporate Bond ETF CACB TSX $0.080 CIBC Active Investment Grade Floating Rate Bond ETF CAFR
- CIBC Asset Management announces revised CIBC ETF cash distributions for December 2024TORONTO, Dec. 31, 2024 /CNW/ - CIBC (TSX:CM) (NYSE:CM) – CIBC Asset Management Inc. today announced the revised December 2024 cash distributions for CIBC ETFs and ETF Series of the CIBC Fixed Income Pools and CIBC Sustainable Investment Solutions. Unitholders of record on December 31, 2024, will receive cash distributions payable on January 6, 2025. Details of the final "per unit" distribution amounts are as follows: CIBC ETF Ticker Symbols Exchange Cash Distribution Per Unit ($) CIBC Canadian Bond Index ETF CCBI TSX 0.044 CIBC Global Bond ex-Canada Index ETF (CAD-Hedged) CGBI
- CIBC Asset Management announces revised final 2024 annual reinvested capital gains distributions for CIBC ETFs and ETF SeriesTORONTO, Dec. 31, 2024 /CNW/ - CIBC (TSX:CM) (NYSE:CM) – CIBC Asset Management Inc. today announced the revised final 2024 annual reinvested capital gains distributions for the CIBC ETFs and ETF Series of CIBC Fixed Income Pools and CIBC Sustainable Investment Solutions. These amounts are for the year-end capital gains distributions only, and do not include cash distributions for December 2024. The annual capital gains distributions will be reinvested in additional units of the CIBC ETF or ETF Series. The additional units will be immediately consolidated with the previously ou
- CIBC Asset Management announces final 2024 annual reinvested capital gains distributions for CIBC ETFs and ETF SeriesTORONTO, Dec. 20, 2024 /CNW/ - CIBC (TSX:CM) (NYSE:CM) – CIBC Asset Management Inc. today announced the final 2024 annual reinvested capital gains distributions for the CIBC ETFs and ETF Series of CIBC Fixed Income Pools and CIBC Sustainable Investment Solutions. These amounts are for the year-end capital gains distributions only, and do not include cash distributions for December 2024. The annual capital gains distributions will be reinvested in additional units of the CIBC ETF or ETF Series. The additional units will be immediately consolidated with the previously outstandin
- CIBC Asset Management announces CIBC ETF cash distributions for December 2024TORONTO, Dec. 20, 2024 /CNW/ - CIBC (TSX:CM) (NYSE:CM) – CIBC Asset Management Inc. today announced the December 2024 cash distributions for CIBC ETFs and ETF Series of the CIBC Fixed Income Pools and CIBC Sustainable Investment Solutions. Unitholders of record on December 31, 2024, will receive cash distributions payable on January 6, 2025. Details of the final "per unit" distribution amounts are as follows: CIBC ETF Ticker Symbols Exchange Cash Distribution Per Unit ($) CIBC Canadian Bond Index ETF CCBI TSX 0.044 CIBC Global Bond ex-Canada Index ETF (CAD-Hedged) CGBI TSX 0.0
- CIBC to redeem Non-cumulative Rate Reset Class A Preferred Shares Series 41 (NVCC)TORONTO, Dec. 18, 2024 /CNW/ - CIBC (TSX:CM) (NYSE:CM) today announced its intention to redeem all of its issued and outstanding Non-cumulative Rate Reset Class A Preferred Shares Series 41 (Non-viability contingent capital (NVCC)) (Series 41 shares) (TSX:CM), for cash. The redemption will occur on January 31, 2025. The redemption price is $25.00 per Series 41 share. The $0.244313 quarterly dividend announced on December 5, 2024 will be the final dividend on the Series 41 shares and will be paid on January 28, 2025, covering the period to January 31, 2025, to shareholders of r
- CIBC Increases Dividends for the Quarter Ending January 31, 2025TORONTO, Dec. 5, 2024 /CNW/ - CIBC (TSX:CM) (NYSE:CM) announced today that its Board of Directors declared a dividend of $0.97 per share on common shares for the quarter ending January 31, 2025 an increase of $0.07 per share from the previous quarter. This dividend is payable on January 28, 2025 to shareholders of record at the close of business on December 27, 2024. Class A Preferred Shares The Board of Directors also declared the following dividends per share: For the period ending January 31, 2025 payable on January 28, 2025 to shareholders of record at the close of busines
- CIBC Asset Management announces estimated 2024 annual reinvested capital gains distributions for CIBC ETFs and ETF SeriesTORONTO, Nov. 29, 2024 /CNW/ - CIBC (TSX:CM) (NYSE:CM) – CIBC Asset Management Inc. today announced the estimated 2024 annual reinvested capital gains distributions for the CIBC ETFs and ETF Series. Please note that these are estimated capital gains amounts only, as of October 31, 2024. As these are estimated amounts, the final capital gains distributions are subject to change prior to the final distribution. These estimates are for the year-end capital gains distributions only, which are typically reinvested in additional units of the respective CIBC ETF or ETF Series at the
- CIBC Asset Management announces CIBC ETF cash distributions for November 2024TORONTO, Nov. 22, 2024 /CNW/ - CIBC (TSX:CM) (NYSE:CM) – CIBC Asset Management Inc. today announced the November 2024 cash distributions for CIBC ETFs and ETF Series of the CIBC Fixed Income Pools, which distribute monthly. Unitholders of record on November 29, 2024, will receive cash distributions payable on December 4, 2024. Details of the final "per unit" distribution amounts are as follows: CIBC ETF Ticker Symbols Exchange Cash Distribution Per Unit ($) CIBC Active Investment Grade Corporate Bond ETF CACB TSX $0.077 CIBC Active Investment Grade Floating Rate Bond ETF CAFR
- CIBC Asset Management announces CIBC ETF cash distributions for October 2024TORONTO, Oct. 24, 2024 /CNW/ - CIBC (TSX:CM) (NYSE:CM) – CIBC Asset Management Inc. today announced the October 2024 cash distributions for CIBC ETFs and ETF Series of the CIBC Fixed Income Pools, which distribute monthly. Unitholders of record on October 31, 2024, will receive cash distributions payable on November 5, 2024. Details of the final "per unit" distribution amounts are as follows: CIBC ETF Ticker Symbols Exchange Cash Distribution Per Unit ($) CIBC Active Investment Grade Corporate Bond ETF CACB TSX $0.076 CIBC Active Investment Grade Floating Rate Bond ETF CAFR
- CIBC Asset Management announces CIBC ETF cash distributions for September 2024TORONTO, Sept. 20, 2024 /CNW/ - CIBC (TSX:CM) (NYSE:CM) – CIBC Asset Management Inc. today announced the September 2024 cash distributions for CIBC ETFs, which distribute monthly and quarterly. Unitholders of record on September 27, 2024, will receive cash distributions payable on October 3, 2024. Details of the final "per unit" distribution amounts are as follows: CIBC ETF Ticker Symbols Exchange Cash Distribution Per Unit ($) CIBC Active Investment Grade Corporate Bond ETF CACB TSX $0.077 CIBC Active Investment Grade Floating Rate Bond ETF CAFR TSX $0.072 CIBC Flexible Yield
- CIBC Declares Dividends for the Quarter Ending October 31, 2024TORONTO, Aug. 29, 2024 /CNW/ - CIBC (TSX:CM) (NYSE:CM) announced today that its Board of Directors declared a dividend of $0.90 per share on common shares for the quarter ending October 31, 2024 payable on October 28, 2024 to shareholders of record at the close of business on September 27, 2024. Class A Preferred Shares The Board of Directors also declared the following dividends per share: For the period ending October 31, 2024 payable on October 28, 2024 to shareholders of record at the close of business on September 27, 2024: Series 41 - $0.244313 Series 43 - $0.196438 Seri
- CIBC Asset Management announces CIBC ETF cash distributions for August 2024TORONTO, Aug. 23, 2024 /CNW/ - CIBC (TSX:CM) (NYSE:CM) – CIBC Asset Management Inc. today announced the August 2024 cash distributions for CIBC ETFs and ETF Series of the CIBC Fixed Income Pools, which distribute monthly. Unitholders of record on August 30, 2024, will receive cash distributions payable on September 5, 2024. Details of the final "per unit" distribution amounts are as follows: CIBC ETF TickerSymbols Exchange Cash DistributionPer Unit ($) CIBC Active Investment Grade Corporate Bond ETF CACB TSX $0.076 CIBC Active Investment Grade Floating Rate Bond ETF CAFR TSX
- CIBC Asset Management announces CIBC ETF cash distributions for July 2024TORONTO, July 24, 2024 /CNW/ - CIBC (TSX:CM) (NYSE:CM) – CIBC Asset Management Inc. today announced the July 2024 cash distributions for CIBC ETFs and ETF Series of the CIBC Fixed Income Pools, which distribute monthly. Unitholders of record on July 31, 2024, will receive cash distributions payable on August 6, 2024. Details of the final "per unit" distribution amounts are as follows: CIBC ETF Ticker Symbols Exchange Cash Distribution Per Unit ($) CIBC Active Investment Grade Corporate Bond ETF CACB TSX $0.073 CIBC Active Investment Grade Floating Rate Bond ETF CAFR TSX $0.0
- CIBC Asset Management announces CIBC ETF cash distributions for June 2024TORONTO, June 21, 2024 /CNW/ - CIBC (TSX:CM) (NYSE:CM) - CIBC Asset Management Inc. today announced the June 2024 cash distributions for CIBC ETFs and ETF Series of the CIBC Fixed Income Pools, which distribute monthly and quarterly. Unitholders of record on June 28, 2024, will receive cash distributions payable on July 4, 2024. Details of the final "per unit" distribution amounts are as follows: CIBC ETF Ticker Symbols Exchange Cash Distribution Per Unit ($) CIBC Active Investment Grade Corporate Bond ETF CACB TSX $0.071 CIBC Active Investment Grade Floating Rate Bond E
- CIBC to redeem Non-cumulative Rate Reset Class A Preferred Shares Series 51 (NVCC)TORONTO, June 25, 2024 /CNW/ - CIBC (TSX:CM) (NYSE:CM) today announced its intention to redeem all of its issued and outstanding Non-cumulative Rate Reset Class A Preferred Shares Series 51 (Non-viability contingent capital (NVCC)) (Series 51 shares) (TSX:CM), for cash. The redemption will occur on July 31, 2024. The redemption price is $25.00 per Series 51 share. The $0.321875 quarterly dividend announced on May 30, 2024 will be the final dividend on the Series 51 shares and will be paid on July 29, 2024, covering the period to July 31, 2024, to shareholders of record on Jun
- CIBC to redeem Non-cumulative Rate Reset Class A Preferred Shares Series 39 (NVCC)TORONTO, June 25, 2024 /CNW/ - CIBC (TSX:CM) (NYSE:CM) today announced its intention to redeem all of its issued and outstanding Non-cumulative Rate Reset Class A Preferred Shares Series 39 (Non-viability contingent capital (NVCC)) (Series 39 shares) (TSX:CM), for cash. The redemption will occur on July 31, 2024. The redemption price is $25.00 per Series 39 share. The $0.232063 quarterly dividend announced on May 30, 2024 will be the final dividend on the Series 39 shares and will be paid on July 29, 2024, covering the period to July 31, 2024, to shareholders of record on Jun
- CIBC supports skilled trades with first-of-its-kind banking offerSkilled trades apprentices can now access new banking benefits while completing required training TORONTO, June 6, 2024 /CNW/ - CIBC announced today a new banking offer for apprentices in skilled trades, with the aim of helping to support this underserved population at a time when skilled tradespeople are in high-demand across the country. The CIBC Skilled Trades Banking solutions are the first of their kind in Canada and provide skilled trades apprentices with free everyday banking with CIBC Smart™ Account, access to special offers with the CIBC Dividend Platinum® Visa* credit card, and a CIBC Education Line of Credit of up to $80,000 to support training and tools. Specialized banking produ
- New innovative digital application from CIBC makes first Canadian banking experience for newcomers faster and more convenientTORONTO, May 27, 2024 /CNW/ - CIBC today announced it is the first major financial institution to launch a bundled digital credit card and deposit account application for those new to Canada, making it faster and more convenient for these clients to make key banking decisions sooner. "Moving to a new country is a big step and the earlier you can plan, the easier it can be to settle into a new environment and begin pursuing your ambitions," said Michael Clabby, Executive Vice-President, Head of Digital, Data and Strategy, CIBC. "We know that finances, especially access to banki
- CIBC Asset Management announces CIBC ETF cash distributions for May 2024TORONTO, May 24, 2024 /CNW/ - CIBC (TSX:CM) (NYSE:CM) – CIBC Asset Management Inc. today announced the May 2024 cash distributions for CIBC ETFs and ETF Series of the CIBC Fixed Income Pools, which distribute monthly. Unitholders of record on May 31, 2024, will receive cash distributions payable on June 5, 2024. Details of the final "per unit" distribution amounts are as follows: CIBC ETF Ticker Symbols Exchange Cash Distribution Per Unit ($) CIBC Active Investment Grade Corporate Bond ETF CACB TSX $0.070 CIBC Active Investment Grade Floating Rate Bond ETF CAFR TSX $0.076 CIB
- CIBC Asset Management announces CIBC ETF cash distributions for April 2024TORONTO, April 23, 2024 /CNW/ - CIBC (TSX:CM) (NYSE:CM) – CIBC Asset Management Inc. today announced the April 2024 cash distributions for CIBC ETFs and ETF Series of the CIBC Fixed Income Pools, which distribute monthly. Unitholders of record on April 30, 2024, will receive cash distributions payable on May 3, 2024. Details of the final "per unit" distribution amounts are as follows: CIBC ETF TickerSymbols Exchange Cash Distribution Per Unit ($) CIBC Active Investment Grade Corporate Bond ETF CACB TSX $0.067 CIBC Active Investment Grade Floating Rate Bond ETF CAFR TSX $0.076
- CIBC Asset Management announces CIBC ETF cash distributions for March 2024TORONTO, March 21, 2024 /CNW/ - CIBC (TSX:CM) (NYSE:CM) – CIBC Asset Management Inc. today announced the March 2024 cash distributions for CIBC ETFs and ETF Series of the CIBC Fixed Income Pools, which distribute monthly and quarterly. Unitholders of record on March 28, 2024, will receive cash distributions payable on April 3, 2024. Details of the final "per unit" distribution amounts are as follows: CIBC ETF TickerSymbols Exchange Cash Distribution Per Unit ($) CIBC Active Investment Grade Corporate Bond ETF CACB TSX $0.066 CIBC Active Investment Grade Floating Rate Bond ETF
- CIBC to redeem Non-cumulative Rate Reset Class A Preferred Shares Series 49 (NVCC)TORONTO, March 21, 2024 /CNW/ - CIBC (TSX:CM) (NYSE:CM) today announced its intention to redeem all of its issued and outstanding Non-cumulative Rate Reset Class A Preferred Shares Series 49 (Non-viability contingent capital (NVCC)) (Series 49 shares) (TSX:CM), for cash. The redemption will occur on April 30, 2024. The redemption price is $25.00 per Series 49 share. The $0.325000 quarterly dividend announced on February 29, 2024 will be the final dividend on the Series 49 shares and will be paid on April 29, 2024, covering the period to April 30, 2024, to shareholders of recor
- CIBC Declares Dividends for the Quarter Ending April 30, 2024TORONTO, Feb. 29, 2024 /CNW/ - CIBC (TSX:CM) (NYSE:CM) announced today that its Board of Directors declared a dividend of $0.90 per share on common shares for the quarter ending April 30, 2024 payable on April 29, 2024 to shareholders of record at the close of business on March 28, 2024. Class A Preferred SharesThe Board of Directors also declared the following dividends per share: For the period ending April 30, 2024 payable on April 29, 2024 to shareholders of record at the close of business on March 28, 2024: Series 39 - $0.232063 Series 41 - $0.244313 Series 43 - $0.19643