CA Stock MarketDetailed Quotes

CM Canadian Imperial Bank of Commerce

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  • 95.380
  • +1.120+1.19%
15min DelayMarket Closed Dec 11 16:00 ET
89.88BMarket Cap13.10P/E (TTM)

Canadian Imperial Bank of Commerce Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Oct 31, 2024
(Q4)Oct 31, 2024
(Q3)Jul 31, 2024
(Q2)Apr 30, 2024
(Q1)Jan 31, 2024
(FY)Oct 31, 2023
(Q4)Oct 31, 2023
(Q3)Jul 31, 2023
(Q2)Apr 30, 2023
(Q1)Jan 31, 2023
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-8.77%11.09B
-106.96%-843M
289.21%12.29B
-46.22%3.44B
-2,795.74%-3.8B
-46.49%12.15B
36.56%12.11B
-181.72%-6.5B
-6.88%6.4B
114.49%141M
Net income from continuing operations
41.97%7.15B
26.73%1.88B
25.35%1.8B
3.55%1.75B
299.08%1.73B
-19.29%5.04B
25.32%1.49B
-14.05%1.43B
10.90%1.69B
-76.83%433M
Operating gains losses
48.84%-44M
133.33%5M
88.89%-3M
8.82%-31M
-50.00%-15M
-109.76%-86M
-266.67%-15M
-80.00%-27M
-100.00%-34M
44.44%-10M
Depreciation and amortization
2.36%1.17B
-6.77%289M
15.69%317M
2.13%288M
-0.36%276M
9.17%1.14B
11.51%310M
5.38%274M
10.16%282M
9.49%277M
Provision for loans, leases and other losses
-0.45%2B
-22.55%419M
-34.38%483M
17.35%514M
98.31%585M
90.16%2.01B
24.08%541M
202.88%736M
44.55%438M
293.33%295M
Remuneration paid in stock
23.08%16M
40.00%7M
0.00%3M
33.33%4M
0.00%2M
-45.83%13M
-44.44%5M
0.00%3M
0.00%3M
-77.78%2M
Deferred tax
-190.48%-244M
-583.33%-203M
64.52%-22M
-128.16%-58M
114.44%39M
-82.61%-84M
135.59%42M
-100.00%-62M
2,188.89%206M
-387.23%-270M
Other non cashItems
-200.00%-1.82B
-244.13%-258M
-167.95%-1.08B
20,000.00%201M
-1,250.00%-690M
261.81%1.82B
122.77%179M
669.06%1.58B
-97.78%1M
156.07%60M
Change in working capital
24.38%2.86B
-131.22%-2.98B
203.43%10.79B
-79.67%776M
-786.38%-5.73B
-85.23%2.3B
21.74%9.56B
-271.03%-10.43B
-19.69%3.82B
79.48%-646M
-Change in receivables
44.10%-711M
57.20%-226M
-50.93%53M
15.78%-475M
78.13%-63M
-32.64%-1.27B
0.75%-528M
157.45%108M
-48.42%-564M
-304.26%-288M
-Change in payables and accrued expense
-82.07%452M
-137.97%-180M
-132.02%-130M
-37.57%565M
-73.23%197M
105.29%2.52B
-43.50%474M
82.88%406M
330.95%905M
1,811.63%736M
-Change in loans
40.88%-9.43B
-241.03%-17.87B
1,050.99%9.28B
-46.12%-10.86B
344.89%10.02B
74.66%-15.95B
41.99%-5.24B
106.06%806M
55.56%-7.43B
82.90%-4.09B
-Change in other working capital
-26.19%12.55B
2.96%15.29B
113.54%1.59B
5.83%11.54B
-629.91%-15.88B
-78.27%17B
-10.41%14.85B
-160.70%-11.75B
-49.61%10.91B
-85.50%3B
Cash from discontinued operating activities
Operating cash flow
-8.77%11.09B
-106.96%-843M
289.21%12.29B
-46.22%3.44B
-2,795.74%-3.8B
-46.49%12.15B
36.56%12.11B
-181.72%-6.5B
-6.88%6.4B
114.49%141M
Investing cash flow
Cash flow from continuing investing activities
0.06%-20.75B
75.57%-1.06B
-676.00%-9.34B
72.51%-1.66B
5.18%-8.68B
14.87%-20.76B
-34.50%-4.35B
38.73%-1.2B
37.12%-6.05B
4.29%-9.16B
Net PPE purchase and sale
-7.40%-1.09B
-35.52%-393M
-15.55%-275M
11.67%-212M
15.04%-209M
8.57%-1.01B
26.02%-290M
12.50%-238M
1.64%-240M
-22.39%-246M
Net investment purchase and sale
0.44%-19.66B
83.50%-670M
-838.72%-9.07B
75.02%-1.45B
4.91%-8.47B
2.22%-19.75B
-43.19%-4.06B
42.94%-966M
7.79%-5.81B
4.86%-8.91B
Cash from discontinued investing activities
Investing cash flow
0.06%-20.75B
75.57%-1.06B
-676.00%-9.34B
72.51%-1.66B
5.18%-8.68B
14.87%-20.76B
-34.50%-4.35B
38.73%-1.2B
37.12%-6.05B
4.29%-9.16B
Financing cash flow
Cash flow from continuing financing activities
-20.89%-2.61B
-105.10%-1.25B
-156.61%-1.57B
66.47%-447M
66.33%657M
-34.10%-2.16B
-202.49%-608M
22.50%-613M
-679.57%-1.33B
146.58%395M
Net issuance payments of debt
627.16%427M
2.44%-80M
-632.14%-615M
90.64%-78M
30.72%1.2B
-112.05%-81M
6.82%-82M
-3.70%-84M
-190.84%-833M
1,307.89%918M
Net commonstock issuance
-160.66%-111M
-719.15%-291M
45.24%61M
39.13%64M
14.58%55M
92.63%183M
17.50%47M
-10.64%42M
-6.12%46M
217.07%48M
Net preferred stock issuance
--21M
--0
---152M
--173M
----
--0
--0
--0
--0
----
Cash dividends paid
-30.34%-2.95B
-52.88%-876M
-51.84%-867M
-10.99%-606M
-4.73%-598M
23.92%-2.26B
23.60%-573M
24.37%-571M
25.82%-546M
21.89%-571M
Cash from discontinued financing activities
Financing cash flow
-20.89%-2.61B
-105.10%-1.25B
-156.61%-1.57B
66.47%-447M
66.33%657M
-34.10%-2.16B
-202.49%-608M
22.50%-613M
-679.57%-1.33B
146.58%395M
Net cash flow
Beginning cash position
-33.99%20.82B
-13.74%11.68B
-53.06%10.3B
-61.05%8.91B
-33.99%20.82B
-8.79%31.54B
-47.80%13.55B
5.65%21.94B
-1.65%22.88B
-8.79%31.54B
Current changes in cash
-13.98%-12.27B
-144.12%-3.15B
116.52%1.37B
235.37%1.33B
-37.20%-11.83B
-227.69%-10.77B
31.64%7.15B
-260.09%-8.31B
60.97%-984M
24.30%-8.62B
Effect of exchange rate changes
-55.10%22M
-72.58%34M
114.29%12M
16.33%57M
-102.50%-81M
-80.24%49M
-20.51%124M
-740.00%-84M
63.33%49M
-155.56%-40M
End cash position
-58.85%8.57B
-58.85%8.57B
-13.74%11.68B
-53.06%10.3B
-61.05%8.91B
-33.99%20.82B
-33.99%20.82B
-47.80%13.55B
5.65%21.94B
-1.65%22.88B
Free cash from
-10.24%10B
-110.46%-1.24B
278.43%12.01B
-47.57%3.23B
-3,719.05%-4.01B
-48.44%11.14B
39.45%11.82B
-187.71%-6.73B
-7.07%6.16B
91.06%-105M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Oct 31, 2024(Q4)Oct 31, 2024(Q3)Jul 31, 2024(Q2)Apr 30, 2024(Q1)Jan 31, 2024(FY)Oct 31, 2023(Q4)Oct 31, 2023(Q3)Jul 31, 2023(Q2)Apr 30, 2023(Q1)Jan 31, 2023
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -8.77%11.09B-106.96%-843M289.21%12.29B-46.22%3.44B-2,795.74%-3.8B-46.49%12.15B36.56%12.11B-181.72%-6.5B-6.88%6.4B114.49%141M
Net income from continuing operations 41.97%7.15B26.73%1.88B25.35%1.8B3.55%1.75B299.08%1.73B-19.29%5.04B25.32%1.49B-14.05%1.43B10.90%1.69B-76.83%433M
Operating gains losses 48.84%-44M133.33%5M88.89%-3M8.82%-31M-50.00%-15M-109.76%-86M-266.67%-15M-80.00%-27M-100.00%-34M44.44%-10M
Depreciation and amortization 2.36%1.17B-6.77%289M15.69%317M2.13%288M-0.36%276M9.17%1.14B11.51%310M5.38%274M10.16%282M9.49%277M
Provision for loans, leases and other losses -0.45%2B-22.55%419M-34.38%483M17.35%514M98.31%585M90.16%2.01B24.08%541M202.88%736M44.55%438M293.33%295M
Remuneration paid in stock 23.08%16M40.00%7M0.00%3M33.33%4M0.00%2M-45.83%13M-44.44%5M0.00%3M0.00%3M-77.78%2M
Deferred tax -190.48%-244M-583.33%-203M64.52%-22M-128.16%-58M114.44%39M-82.61%-84M135.59%42M-100.00%-62M2,188.89%206M-387.23%-270M
Other non cashItems -200.00%-1.82B-244.13%-258M-167.95%-1.08B20,000.00%201M-1,250.00%-690M261.81%1.82B122.77%179M669.06%1.58B-97.78%1M156.07%60M
Change in working capital 24.38%2.86B-131.22%-2.98B203.43%10.79B-79.67%776M-786.38%-5.73B-85.23%2.3B21.74%9.56B-271.03%-10.43B-19.69%3.82B79.48%-646M
-Change in receivables 44.10%-711M57.20%-226M-50.93%53M15.78%-475M78.13%-63M-32.64%-1.27B0.75%-528M157.45%108M-48.42%-564M-304.26%-288M
-Change in payables and accrued expense -82.07%452M-137.97%-180M-132.02%-130M-37.57%565M-73.23%197M105.29%2.52B-43.50%474M82.88%406M330.95%905M1,811.63%736M
-Change in loans 40.88%-9.43B-241.03%-17.87B1,050.99%9.28B-46.12%-10.86B344.89%10.02B74.66%-15.95B41.99%-5.24B106.06%806M55.56%-7.43B82.90%-4.09B
-Change in other working capital -26.19%12.55B2.96%15.29B113.54%1.59B5.83%11.54B-629.91%-15.88B-78.27%17B-10.41%14.85B-160.70%-11.75B-49.61%10.91B-85.50%3B
Cash from discontinued operating activities
Operating cash flow -8.77%11.09B-106.96%-843M289.21%12.29B-46.22%3.44B-2,795.74%-3.8B-46.49%12.15B36.56%12.11B-181.72%-6.5B-6.88%6.4B114.49%141M
Investing cash flow
Cash flow from continuing investing activities 0.06%-20.75B75.57%-1.06B-676.00%-9.34B72.51%-1.66B5.18%-8.68B14.87%-20.76B-34.50%-4.35B38.73%-1.2B37.12%-6.05B4.29%-9.16B
Net PPE purchase and sale -7.40%-1.09B-35.52%-393M-15.55%-275M11.67%-212M15.04%-209M8.57%-1.01B26.02%-290M12.50%-238M1.64%-240M-22.39%-246M
Net investment purchase and sale 0.44%-19.66B83.50%-670M-838.72%-9.07B75.02%-1.45B4.91%-8.47B2.22%-19.75B-43.19%-4.06B42.94%-966M7.79%-5.81B4.86%-8.91B
Cash from discontinued investing activities
Investing cash flow 0.06%-20.75B75.57%-1.06B-676.00%-9.34B72.51%-1.66B5.18%-8.68B14.87%-20.76B-34.50%-4.35B38.73%-1.2B37.12%-6.05B4.29%-9.16B
Financing cash flow
Cash flow from continuing financing activities -20.89%-2.61B-105.10%-1.25B-156.61%-1.57B66.47%-447M66.33%657M-34.10%-2.16B-202.49%-608M22.50%-613M-679.57%-1.33B146.58%395M
Net issuance payments of debt 627.16%427M2.44%-80M-632.14%-615M90.64%-78M30.72%1.2B-112.05%-81M6.82%-82M-3.70%-84M-190.84%-833M1,307.89%918M
Net commonstock issuance -160.66%-111M-719.15%-291M45.24%61M39.13%64M14.58%55M92.63%183M17.50%47M-10.64%42M-6.12%46M217.07%48M
Net preferred stock issuance --21M--0---152M--173M------0--0--0--0----
Cash dividends paid -30.34%-2.95B-52.88%-876M-51.84%-867M-10.99%-606M-4.73%-598M23.92%-2.26B23.60%-573M24.37%-571M25.82%-546M21.89%-571M
Cash from discontinued financing activities
Financing cash flow -20.89%-2.61B-105.10%-1.25B-156.61%-1.57B66.47%-447M66.33%657M-34.10%-2.16B-202.49%-608M22.50%-613M-679.57%-1.33B146.58%395M
Net cash flow
Beginning cash position -33.99%20.82B-13.74%11.68B-53.06%10.3B-61.05%8.91B-33.99%20.82B-8.79%31.54B-47.80%13.55B5.65%21.94B-1.65%22.88B-8.79%31.54B
Current changes in cash -13.98%-12.27B-144.12%-3.15B116.52%1.37B235.37%1.33B-37.20%-11.83B-227.69%-10.77B31.64%7.15B-260.09%-8.31B60.97%-984M24.30%-8.62B
Effect of exchange rate changes -55.10%22M-72.58%34M114.29%12M16.33%57M-102.50%-81M-80.24%49M-20.51%124M-740.00%-84M63.33%49M-155.56%-40M
End cash position -58.85%8.57B-58.85%8.57B-13.74%11.68B-53.06%10.3B-61.05%8.91B-33.99%20.82B-33.99%20.82B-47.80%13.55B5.65%21.94B-1.65%22.88B
Free cash from -10.24%10B-110.46%-1.24B278.43%12.01B-47.57%3.23B-3,719.05%-4.01B-48.44%11.14B39.45%11.82B-187.71%-6.73B-7.07%6.16B91.06%-105M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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