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CIBC Investment Solutions – Current Issue

CIBC Monthly Income Fund-linked GICs (3 Year) due October 5, 2020
Available until September 29, 2017

Monthly Income Fund Linked GICs

  • Portfolio: Class A Units of the CIBC Monthly Income Fund where the number of Units of the Fund in the Portfolio will increase during the term of the GICs to reflect reinvested distributions
  • Professional Investment Management: Investors can gain access to the knowledge and skills of a professional investment manager
  • Variable Interest:

If any, will be paid at maturity and determined by multiplying your Principal Amount by a specified Participation Rate of the Fund Return.

The Fund Return will be equal to the average percentage increase or decrease in the Portfolio Value measured from the Issue Date to each of twenty quarterly Valuation Dates during the term of the GICs

The Portfolio Value will be on any day, a number, rounded to 4 decimal places, equal to the number of Units of the Fund in the Portfolio multiplied by the NAV on such day

Monthly Income Fund Linked
Maturity Date
Participation Rate
FundServ Code
Monthly Income Fund Linked
Oct 5, 2020
3 years

A copy of the Offering Document may be obtained by clicking on the link below or contacting your investment advisor.