CIBC Q1 2019 Fixed Income Investor Presentation slide image

CIBC Q1 2019 Fixed Income Investor Presentation

Selected Foreign Currency Senior 46 46 Programme Currency Issued Issue Date Maturity Date Coupon Rate EMTN AUD 100,000,000 25-Jul-13 25-Jul-19 4.75% MJDS USD 1,000,000,000 6-Sep-16 6-Sep-19 1.60% MJDS USD 500,000,000 6-Sep-16 6-Sep-19 LIBOR + 0.52% MJDS USD 1,000,000,000 16-Jun-17 16-Jun-22 2.55% MJDS USD 500,000,000 16-Jun-17 16-Jun-22 LIBOR + 0.72% EMTN/Formosa USD 300,000,000 31-Jul-17 31-Jul-47 0.00% MJDS USD 1,250,000,000 5-Oct-17 5-Oct-20 2.10% MJDS USD 500,000,000 5-Oct-17 5-Oct-20 LIBOR + 0.31% MJDS USD 750,000,000 2-Feb-18 2-Feb-21 2.70% MJDS USD 600,000,000 2-Feb-18 2-Feb-21 LIBOR +0.315% EMTNĀ¹ EUR 1,100,000,000 22-Mar-18 22-Mar-23 0.75% EMTN CHF 430,000,000 19-Jul-18 31-Jul-23 0.15% Issue Spread BBSW 0.93% T + 0.70% 0.52% T + 0.80% 0.72% 3ML + .45% T + 0.55% 0.31% T + 0.50% 0.315% 0.350% 0.2575% MJDS USD 1,000,000,000 13-Sep-18 13-Sep-23 3.50% T + 0.80% MJDS USD 500,000,000 13-Sep-18 13-Sep-23 LIBOR + 0.66% 0.66% EMTN CHF 100,000,000 30-Jan-19 30-Jan-25 0.60% MS + 0.70% AMTN AUD 675,000,000 11-Feb-19 24-Feb-20 3mBBSW + 0.55% 0.55% 1 Includes EUR 350,000,000 re-opening issued 29-Aug-18 CIBC Q1 2019 Fixed Income Investor Presentation CIBC
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