Q2 2019 Fixed Income Investor Presentation
Outstanding Benchmark Covered Issuance
45
45
Series Currency
Issued
Maturity
Type
Maturity
Issue Date
Date
Extended Due for
Payment Date
Coupon Rate
Issue Spread
Fitch/Moody's
CBL3
EUR
1,000,000,000 Soft Bullet
15-Oct-14
15-Oct-19
15-Oct-20
0.375%
MS +0%
AAA/Aaa
CBL5
EUR
1,000,000,000 Soft Bullet
28-Jan-15
28-Jan-20
28-Jan-21
0.25%
MS + 0.05%
AAA/Aaa
CBL6
AUD
300,000,000 Soft Bullet
12-Jun-15
12-Jun-20
12-Jun-21
BBSW +0.65%
BBSW + 0.65%
AAA/Aaa
CBL7
USD
1,200,000,000 Soft Bullet
21-Jul-15
21-Jul-20
21-Jul-21
2.25%
MS + 0.47%
AAA/Aaa
CBL9
CHF
200,000,000 Soft Bullet
22-Dec-15
22-Dec-25
22-Dec-26
0.125%
MS +0%
AAA/Aaa
CBL9-2
CHF
150,000,000
Soft Bullet
22-Dec-15
22-Dec-25
22-Dec-26
0.125%
MS + 0.05%
AAA/Aaa
CBL11
AUD
400,000,000 Soft Bullet
19-Apr-16 19-Apr-21
19-Apr-22
BBSW 1.10%
BBSW 1.10%
AAA/Aaa
CBL12
EUR
1,250,000,000
Soft Bullet
25-Jul-16
25-Jul-22
25-Jul-23
0
MS + 0.06%
AAA/Aaa
CBL15
GBP
325,000,000 Soft Bullet
10-Jan-17
10-Jan-22
10-Jan-23
GBP LIBOR + 0.43%
GBP LIBOR + 0.43%
AAA/Aaa
CBL15-2
GBP
300,000,000 Soft Bullet
11-Jan-18
10-Jan-22
10-Jan-23
GBP LIBOR + 0.43%
GBP LIBOR + 0.21%
AAA/Aaa
CBL16
GBP
525,000,000 Soft Bullet
17-Jul-17
30-Jun-22
30-Jun-23
1.125%
GBP LIBOR + 0.67%
AAA/Aaa
CBL17
USD
1,750,000,000 Soft Bullet
27-Jul-17
27-Jul-22
27-Jul-23
2.350%
MS + 0.47%
AAA/Aaa
CBL18
AUD
700,000,000
Soft Bullet
7-Sep-17
7-Dec-20
7-Dec-21
BBSW +0.55%
BBSW +0.55%
AAA/Aaa
CBL19
EUR
1,250,000,000 Soft Bullet
24-Jan-18
24-Jan-23
24-Jan-24
0.25%
MS - 0.05%
AAA/Aaa
CBL20
CHF
150,000,000 Soft Bullet
30-Apr-18
30-Apr-25
30-Apr-26
0.10%
MS -0.08%
AAA/Aaa
CBL20-2
CHF
100,000,000 Soft Bullet
10-Oct-18
30-Apr-25
30-Apr-26
0.10%
MS - 0.04%
AAA/Aaa
CBL21
USD
1,750,000,000 Soft Bullet
27-Jun-18
27-Jun-21
27-Jun-22
3.15%
MS + 0.30%
AAA/Aaa
CIBC
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