Bond CBIC 9% ( XS2199326187 ) in GBP
Issuer | CBIC | ||
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ISIN code |
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Interest rate | 9% per year ( payment 1 time a year) | ||
Maturity | 15/07/2027 | ||
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Minimal amount | 1 000 GBP | ||
Total amount | 12 920 740 GBP | ||
Next Coupon | 15/07/2026 ( In 314 days ) | ||
Detailed description |
CIBC is a leading North American financial institution offering a wide range of financial products and services to personal and business clients, including banking, wealth management, and capital markets. An in-depth analysis of a bond issuance reveals specific details concerning a fixed-income instrument identified by the ISIN code XS2199326187. This bond is issued by CIBC, formally known as the Canadian Imperial Bank of Commerce, a major Canadian multinational banking and financial services corporation headquartered in Toronto. As one of Canada's "Big Five" banks, CIBC provides a comprehensive suite of financial products and services to personal, business, and institutional clients globally, establishing itself as a significant player in the international financial markets. The bond originated from Canada and is denominated in Great British Pounds (GBP), indicating its specific currency of issuance and payment. Currently trading at 100% of its par value, this debt instrument offers a notable annual interest rate of 9%. The total volume of this particular bond issuance stands at 12,920,740 GBP, with a minimum investment threshold set at 1,000 GBP, making it accessible to a range of investors. The bond features a maturity date of July 15, 2027, signifying the date when the principal amount will be repaid to bondholders. Interest payments are scheduled with a frequency of one per year, ensuring regular returns for investors throughout the bond's term. |