av/canadian-imperial-bank-of-commerce--big.svg

TSX:CM-PT

CIBC

  • Stock

CAD

Last Close

86.95

01/05 20:00

Market Cap

62.57B

Beta: 1.05

Volume Today

1.61M

Avg: 4.05K

Dividend Yield

5.26%

Payout:45.27%

Preview

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Oct '15
Oct '16
Oct '17
Oct '18
Oct '19
Oct '20
Oct '21
Oct '22
Oct '23
Oct '24
Oct '25
account payables
3.99B
-
4.14B
3.73%
4.95B
19.46%
7.27B
46.90%
8.44B
16.14%
8.66B
2.56%
8.85B
2.23%
11.23B
26.95%
13.24B
17.87%
14.13B
6.75%
14.03B
0.77%
accumulated other comprehensive income loss
1.04B
-
790M
23.89%
452M
42.78%
777M
71.90%
881M
13.38%
1.44B
62.88%
1.07B
25.51%
1.59B
49.11%
1.46B
8.22%
3.15B
115.17%
4.22B
33.99%
cash and cash equivalents
20.03B
-
14.16B
29.27%
14.15B
0.09%
17.69B
25.01%
17.36B
1.88%
62.52B
260.15%
69.27B
10.80%
73.33B
5.86%
63.17B
13.85%
56.03B
11.30%
55.75B
0.51%
cash and short term investments
48.99B
-
53.02B
8.23%
15.84B
70.12%
53.90B
240.26%
30.36B
43.68%
117.07B
285.65%
88.15B
24.71%
92.72B
5.18%
80.52B
13.16%
93.25B
15.82%
92.81B
0.47%
common stock
7.81B
-
8.03B
2.73%
12.55B
56.34%
13.24B
5.54%
13.59B
2.63%
13.91B
2.33%
14.35B
3.19%
14.73B
2.61%
16.08B
9.21%
17.01B
5.78%
16.84B
0.98%
deferred revenue
deferred revenue non current
89.74B
-
105.47B
17.52%
113.92B
8.02%
107.17B
5.93%
deferrred tax liabilities non current
28M
-
21M
25%
30M
42.86%
43M
43.33%
38M
11.63%
33M
13.16%
38M
15.15%
45M
18.42%
40M
11.11%
49M
22.50%
47M
4.08%
goodwill
1.53B
-
1.54B
0.85%
5.37B
248.73%
5.56B
3.67%
5.45B
2.07%
5.25B
3.60%
4.95B
5.69%
5.35B
7.95%
5.42B
1.44%
5.44B
0.33%
5.47B
0.59%
goodwill and intangible assets
2.72B
-
2.95B
8.30%
7.34B
149.07%
7.51B
2.23%
7.42B
1.21%
7.21B
2.75%
6.99B
3.17%
7.94B
13.67%
8.17B
2.86%
8.27B
1.30%
8.37B
1.16%
intangible assets
1.20B
-
1.41B
17.79%
1.98B
40.28%
1.95B
1.67%
1.97B
1.23%
1.96B
0.41%
2.03B
3.57%
2.59B
27.62%
2.74B
5.79%
2.83B
3.21%
2.89B
2.26%
inventory
long term debt
43.52B
-
42.85B
1.53%
44.18B
3.10%
46.69B
5.68%
43.58B
6.66%
45.86B
5.24%
87.94B
91.74%
107.25B
21.95%
116.84B
8.95%
126.78B
8.50%
140.88B
11.12%
long term investments
76.83B
-
88.19B
14.79%
94.13B
6.74%
102.19B
8.56%
121.90B
19.28%
149.70B
22.81%
162.06B
8.25%
176.51B
8.92%
212.02B
20.12%
255.13B
20.33%
874.83B
242.89%
net debt
23.49B
-
28.68B
22.11%
30.02B
4.67%
29.00B
3.43%
26.22B
9.57%
-16.66B
163.52%
94.90B
669.82%
114.13B
20.25%
131.33B
15.07%
152.46B
16.09%
300.07B
96.82%
net receivables
8.52B
-
9.08B
6.55%
8.67B
4.54%
10.41B
20.08%
11.90B
14.36%
8.99B
24.48%
10.40B
15.78%
19.76B
89.88%
13.93B
29.50%
15.13B
8.62%
16.91B
11.78%
other assets
324.35B
-
346.22B
6.74%
437.50B
26.36%
421.30B
3.70%
478.22B
13.51%
483.58B
1.12%
566.80B
17.21%
643.29B
13.50%
657.84B
2.26%
1.04T
58.40%
other current assets
193.75B
-
595M
99.69%
other current liabilities
-66.64B
-
-74.17B
11.29%
-79.07B
6.60%
-76.95B
2.67%
-79.27B
3.01%
-73.59B
7.16%
-85.08B
15.62%
-91.44B
7.48%
-90.90B
0.60%
475.79B
623.44%
619.48B
30.20%
other liabilities
308.47B
-
329.35B
6.77%
375.89B
14.13%
408.08B
8.56%
490.14B
20.11%
608.73B
24.19%
618.79B
1.65%
710.33B
14.79%
714.73B
0.62%
409.66B
42.68%
other non current assets
-81.45B
-
-93.04B
14.23%
-103.26B
10.99%
-111.49B
7.97%
-131.13B
17.61%
-159.91B
21.95%
-172.33B
7.76%
-187.83B
8.99%
-223.44B
18.96%
-266.76B
19.39%
118.96B
144.59%
other non current liabilities
-66.64B
-
-74.17B
11.29%
-79.07B
6.60%
-76.95B
2.67%
-43.62B
43.32%
-45.90B
5.23%
-87.98B
91.69%
-15.85B
81.99%
-116.88B
637.58%
-126.83B
8.51%
63.15B
149.79%
othertotal stockholders equity
76M
-
72M
5.26%
137M
90.28%
136M
0.73%
125M
8.09%
117M
6.40%
110M
5.98%
115M
4.55%
109M
5.22%
159M
45.87%
226M
42.14%
preferred stock
1B
-
1B
0%
1.80B
79.70%
2.25B
25.21%
2.83B
25.56%
3.58B
26.55%
4.33B
20.98%
4.92B
13.83%
4.92B
0.04%
4.95B
0.43%
6.37B
28.77%
property plant equipment net
1.90B
-
1.90B
0.05%
1.78B
6.06%
1.79B
0.67%
1.81B
1.00%
3.00B
65.31%
3.29B
9.64%
3.38B
2.77%
3.25B
3.73%
3.36B
3.32%
3.44B
2.50%
retained earnings
11.43B
-
13.58B
18.81%
16.10B
18.53%
18.54B
15.13%
20.97B
13.14%
22.12B
5.47%
25.79B
16.61%
28.82B
11.75%
30.40B
5.48%
33.47B
10.09%
36.47B
8.96%
short term debt
62.65B
-
70.03B
11.77%
74.12B
5.84%
69.68B
5.98%
70.83B
1.64%
64.93B
8.32%
76.23B
17.40%
80.21B
5.21%
77.66B
3.18%
83.40B
7.39%
214.95B
157.74%
short term investments
28.53B
-
37.25B
30.56%
1.69B
95.47%
36.21B
2,043.87%
13.00B
64.10%
54.55B
319.70%
18.88B
65.40%
19.39B
2.71%
17.35B
10.53%
37.22B
114.57%
37.06B
0.43%
tax assets
1.03B
-
tax payables
total assets
463.31B
-
501.36B
8.21%
565.26B
12.75%
597.10B
5.63%
651.60B
9.13%
769.55B
18.10%
837.68B
8.85%
943.60B
12.64%
975.72B
3.40%
1.04T
6.79%
1.12T
7.19%
total current assets
57.51B
-
62.10B
7.98%
24.51B
60.53%
64.31B
162.40%
42.26B
34.29%
126.06B
198.31%
98.55B
21.82%
112.47B
14.13%
94.44B
16.03%
302.13B
219.90%
110.32B
63.49%
total current liabilities
66.64B
-
74.17B
11.29%
79.07B
6.60%
76.95B
2.67%
79.27B
3.01%
73.59B
7.16%
85.08B
15.62%
91.44B
7.48%
90.90B
0.60%
573.32B
530.73%
848.45B
47.99%
total debt
43.52B
-
42.85B
1.53%
44.18B
3.10%
46.69B
5.68%
43.58B
6.66%
45.86B
5.24%
164.17B
257.97%
187.45B
14.18%
194.50B
3.76%
208.49B
7.19%
355.82B
70.66%
total investments
105.36B
-
125.44B
19.06%
94.13B
24.96%
138.40B
47.02%
134.89B
2.53%
204.26B
51.42%
180.94B
11.42%
195.90B
8.27%
229.36B
17.08%
292.35B
27.46%
911.89B
211.92%
total liabilities
441.76B
-
477.68B
8.13%
534.03B
11.80%
561.98B
5.23%
613.02B
9.08%
728.22B
18.79%
791.85B
8.74%
893.22B
12.80%
922.51B
3.28%
982.98B
6.56%
1.05T
7.08%
total liabilities and stockholders equity
463.31B
-
501.36B
8.21%
565.26B
12.75%
597.10B
5.63%
651.60B
9.13%
769.55B
18.10%
837.68B
8.85%
943.60B
12.64%
975.72B
3.40%
1.04T
6.79%
1.12T
7.19%
total non current assets
81.45B
-
93.04B
14.23%
103.26B
10.99%
111.49B
7.97%
131.13B
17.61%
159.91B
21.95%
172.33B
7.76%
187.83B
8.99%
223.44B
18.96%
739.85B
231.13%
1.01T
36.06%
total non current liabilities
66.64B
-
74.17B
11.29%
79.07B
6.60%
76.95B
2.67%
43.62B
43.32%
45.90B
5.23%
87.98B
91.69%
91.44B
3.94%
116.88B
27.82%
204.07B
-
total stockholders equity
21.36B
-
23.47B
9.89%
31.04B
32.22%
34.94B
12.59%
38.39B
9.88%
41.15B
7.19%
45.65B
10.92%
50.18B
9.93%
52.98B
5.58%
58.73B
10.86%
64.13B
9.18%

All numbers in CAD (except ratios and percentages)