Canadian Imperial Bank of Commerce (CM)
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[[ session ]] by (Cboe BZX)
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Fiscal Year End Date: 10/31
| 01-2025 | 10-2024 | 07-2024 | 04-2024 | 01-2024 | |
| Assets | |||||
| Cash & Cash Equivalents | 9,515,649 | 6,292,706 | 8,531,657 | 7,585,213 | 6,594,291 |
| Federal Funds Sold | 60,584,370 | 61,509,820 | 57,920,200 | 63,369,930 | 53,801,570 |
| Securities And Investments | 192,029,700 | 186,867,300 | 185,413,800 | 173,467,800 | 168,918,200 |
| Interest Bearing Deposits | 24,109,830 | 29,019,920 | 26,407,680 | 28,608,610 | 27,835,160 |
| Loans Gross | 402,444,400 | 413,050,500 | 404,462,900 | 398,936,300 | 394,813,000 |
| Allowance For Loan Losses | -2,886,343 | -2,877,820 | -2,862,384 | -2,870,877 | -2,975,202 |
| PPE Net | 2,362,385 | 2,467,857 | 2,381,182 | 2,398,044 | 2,423,087 |
| Intangibles | 5,938,665 | 6,078,173 | 5,939,447 | 5,998,056 | 5,945,963 |
| Other assets | 67,198,244 | 63,137,944 | 57,636,918 | 60,301,724 | 61,774,731 |
| Total Assets | $761,296,900 | $765,546,400 | $745,831,400 | $737,794,800 | $719,130,800 |
| Liabilities | |||||
| Total deposits | 550,104,400 | 561,940,400 | 542,864,300 | 539,082,600 | 536,235,800 |
| Federal Funds Purchased | 104,379,600 | 96,829,780 | 101,795,700 | 91,663,310 | 81,224,490 |
| Long Term Debt | 5,273,343 | 5,484,536 | 5,442,911 | 5,741,018 | 5,804,604 |
| Other liabilities | 58,194,557 | 57,939,184 | 53,535,389 | 60,317,172 | 55,659,206 |
| Total Liabilities | $717,951,900 | $722,193,900 | $703,638,300 | $696,804,100 | $678,924,100 |
| Shareholders' Equity | |||||
| Preferred Shares | 3,756,325 | 3,633,826 | 3,613,760 | 3,754,677 | 3,644,992 |
| Common Shares | 11,975,090 | 12,497,980 | 12,354,250 | 12,382,770 | 12,172,420 |
| Additional Paid Capital | 116,748 | 116,817 | 93,466 | 83,961 | 79,931 |
| Retained earnings | 24,169,610 | 24,591,140 | 23,982,690 | 23,560,630 | 23,063,000 |
| Other shareholders' equity | 3,327,307 | 2,512,677 | 2,148,984 | 1,208,602 | 1,246,327 |
| TOTAL | $43,345,080 | $43,352,440 | $42,193,150 | $40,990,640 | $40,206,670 |
| Total Liabilities And Equity | $761,296,980 | $765,546,340 | $745,831,450 | $737,794,740 | $719,130,770 |