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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


September 2019 Valuation Date


March 2020 Valuation Date


September 2020 Valuation Date


March 2021 Valuation Date


September 2021 Valuation Date


March 2022 Valuation Date


September 2022 Valuation Date


March 2023 Valuation Date


September 2023 Valuation Date



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


Available Until

Issue Date

Maturity Date

Minimum Investment

How To Buy

5 years

27 September 2018

03 October 2018

03 October 2023


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.