NEW ISSUE: Canadian Imperial Bank of Commerce € bmk 6.25yr CB; MS+35a
IGC European Market: Deal Flow - General
Issuer
Term
Maturity
Size
Ranking
Type
Guidance
ISIN
Canadian Imperial Bank of Commerce
6.25yr
10-Sep-32
bmk
CB
Fixed
MS+35a
XS3401887057
Guidance: 6.25yr: MS+35a
Issuer:Canadian Imperial Bank of Commerce (Ticker: CM)
LEI: 2IGI19DL77OX0HC3ZE78
Guarantor: CIBC Covered Bond (Legislative) Guarantor Limited Partnership
Issue type: Canadian legislative covered bond backed by Canadian prime residential mortgages
Expected issue ratings: Aaa/AAA (Moody's/Fitch)
Format: Reg S, Bearer, Covered Bonds in NGN form
Size: € Benchmark
Trade Date: 03-Jun-26
Settlement Date: 10-Jun-26 (T+5)
Maturity Date: 10-Sep-32
Coupon: Fixed, Annual, Act/Act (ICMA), short first coupon
Guidance: MS+35bps area
Redemption price: 100%
Governing Law: Province of Ontario and Canada
Business days: London, New York, Toronto, T2
Listing: Regulated Market of the Luxembourg Stock Exchange
Denomination: €100k and integral multiples of €1k in excess thereof up to (and including) €199k
Clearing: Euroclear / Clearstream, Luxembourg
Joint Lead Managers: CIBC Capital Markets, Commerzbank, Crédit Agricole CIB, Erste Group, ING and Natixis
ISIN: XS3401887057
Target Market: Professional Clients and Eligible Counterparties (EU MiFID and UK MiFIR Product Governance) – all distribution channels / No EEA PRIIPs KID or UK CCI disclosure document required as not available to EU or UK retail investors.
Documentation: Under the Issuer's CAD 60,000,000,000 Global Legislative Covered Bond Programme
Fees: The Banks will be paid a fee by the Issuer in respect of the placement of the securities