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CIBC Investment Solutions – Current Issue
 

CIBC Canadian Banks Index Autocallable Notes, Series 31 (F-Class)
Available until September 27, 2018


Linked to

Solactive Canada Bank Index

 

 

Semi-Annual Autocall Feature

 

20.00%  Contingent
Principal Protection

  • Currency: CAD Denominated
  • Call Feature: The Notes will be automatically called by CIBC on the semi-annual anniversary of the Issue Date if the Reference Index Return is greater than or equal to 0.00% on the applicable Valuation Date, subject to the terms set forth below. If the Notes are called by CIBC on any of the Call Dates, Investors will receive a minimum Fixed Return plus 10.00% of the amount, if any, by which the Reference Index Return exceeds such Fixed Return.

Fixed Return: The applicable Fixed Return for the purpose of calculating the Variable Return is set out in the table below:

Valuation Date

Fixed Return

March 2019 Valuation Date

4.25%

September 2019 Valuation Date

8.50%

March 2020 Valuation Date

12.75%

September 2020 Valuation Date

17.00%

March 2021 Valuation Date

21.25%

September 2021 Valuation Date

25.50%

March 2022 Valuation Date

29.75%

September 2022 Valuation Date

34.00%

March 2023 Valuation Date

38.25%

September 2023 Valuation Date

42.50%

 

  • Contingent Principal Protection: 20.00% 
  • Selling Concession: Nil
  • Eligible for registered accounts: RRSPs, RRIFs, RESPs, RDSPs, certain DPSPs, and TFSAs.

Term

Available Until

Issue Date

Maturity Date

Minimum Investment

How To Buy

5 years

27 September 2018

03 October 2018

03 October 2023

$5,000

Wood Gundy SyndNET /
Third Party Fundserv CBL10203


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