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Last Updated: 15-Jan-2019  
CIBC Autocallable Coupon Notes linked to Bank of America Corporation
Series 6 (USD)
FundServ   CBL10096  
ADP   5CHGGF0  
CUSIP   13597ZAJ3  

Secondary Price   88.57 [historical price]
Compounded Annual Total Return   N/A
Currency   USD
 
Issue Date   12-Jul-2018
Maturity Date   13-Jan-2025
 
Maturity Barrier Level   75.00 %
Autocall Level   28.77
Coupon Barrier Level   75.00 %
Cumulative Coupon Payments   $3.50
 
ETC   0.00 %
ETC End Date   10-Oct-2018
Call Dates Call Status
14-Jan-2019 NOT CALLED
12-Jul-2019
13-Jan-2020
13-Jul-2020
12-Jan-2021
12-Jul-2021
12-Jan-2022
12-Jul-2022
12-Jan-2023
12-Jul-2023
12-Jan-2024
12-Jul-2024

Portfolio Initial Values Current Closing Values Return
Bank of America 28.77 26.55 -7.72 %
Average Return   -7.72 %  
Indicative Upcoming Payment   $3.50  
Payment Dates Valuation Dates Payment Amount
14-Jan-2019 04-Jan-2019 $3.50
12-Jul-2019 05-Jul-2019 TBD
13-Jan-2020 03-Jan-2020 TBD
13-Jul-2020 26-Jun-2020 TBD
12-Jan-2021 24-Dec-2020 TBD
12-Jul-2021 02-Jul-2021 TBD
12-Jan-2022 23-Dec-2021 TBD
12-Jul-2022 01-Jul-2022 TBD
12-Jan-2023 30-Dec-2022 TBD
12-Jul-2023 30-Jun-2023 TBD
12-Jan-2024 05-Jan-2024 TBD
12-Jul-2024 05-Jul-2024 TBD
13-Jan-2025 03-Jan-2025 TBD
Download Reference Documents
Offering Document
§ Indicative Bid Price may be subject to an Early Trading Charge (“ETC”). While CIBC World Markets Inc. intends to provide a secondary market, it reserves the right not to do so, in its sole discretion, at any time without prior notice to Investors. Bid prices shown on this site are indicative only and are based on the previous day’s closing prices and therefore may not reflect the actual bid price at time of sale. Please see the relevant Offering Document.

Offering Document means for (i) a Principal at Risk Note offering in Canada, the Short Form Base Shelf Prospectus of CIBC and the Pricing Supplement for the particular Principal at Risk Note offering; (ii) a Principal Protected Note or Market Linked GIC offering in Canada, the Information Statement for the particular offering; and (iii) all Principal at Risk Note, Principal Protected Note or Market Linked GIC offerings outside Canada, the European Medium Term Note Programme of CIBC dated June 12, 2015, and the Final Terms and any Supplementary Prospectus relating to the specific offering.

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