CIBC Canadian Bond Index

NAV

10.63

1-Day Total Return

-0.33
%
CAD | NAV as of 12 Dec 2018 | 1-Day Return as of 12 Dec 2018

TTM Yield

2.33%

Load

None

Fund Size

429.3 mil CAD

MER

1.16%

ShareClass Type

Commission-based Advice

Turnover

20%

Status

Open

Min. Inv.

500

Fixed
Distribution

No

High
Net Worth

No

Category

Canadian Fixed Income

Credit Quality/Interest Rate Sensitivity

High/Extensive

Inception Date

09/22/1997

Since Inception Ret

4.2190%

Growth of $10,000

03/31/200703/08/2012
Fund Returns updated daily. Category and Index returns updated monthly.
The above graph shows the performance of a hypothetical $10,000 investment in the fund/portfolio for the period shown and is not intended to reflect future values of the fund/portfolio or returns on investment in the fund/portfolio.

Performance

Quotes for Nasdaq securities are delayed 15 minutes. Quotes for NYSE, AMEX, TSX and TSX-V securities are delayed 20 minutes.

Contact Information

Telephone 800-465-3863
Website www.cibc.com/mutualfunds

Minimum Investments

  CAD
Initial 500
Additional 25
Closed to All Investors No
Closed to New Investors No

Sale

Country Registered For Sale
Canada
Country Available For Sale
Canada

Advisor Information

Fund Inception 22/09/1997
Name of Issuer Canadian Imperial Bank of Commerce
Fund Advisor(s) CIBC Asset Management Inc
Subadvisor(s)

Management

  Start Date
Jacques Prevost 01/07/1999
Dave Dayaratne 17/03/2008
Yields are not to be confused with the payment of distributions of the fund.
MER / CIBC Weighted Average MER is expressed annually.
Morningstar Ratings reflect performance as of the date displayed above and are subject to change monthly. The ratings are calculated from a fund’s 3, 5, and 10-year returns measured against 91-day Treasury bill and peer group returns. For each time period, the top 10% of funds in a category get five stars. The Overall Rating is a weighted combination of the 3, 5, and 10-year ratings. For greater detail, see www.morningstar.ca.

“*Volatility (low to high): The manager is required to rate the level of risk of the fund on a scale that ranges from low to high. A fund assessed as low risk typically has returns that vary within a narrow range while a fund categorized as high risk typically has returns that can vary more from year to year.  The risk category shown for this fund may change over time. For a description of the specific risks of a fund, see the fund's simplified prospectus.

Other dealers may have different minimum dollar requirements.

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