Registration Statement or Annual Report by a Canadian Issuer — Form 40-F — Sect. 12 or 13(a) / 15(d) – SEA’34
Filing Table of Contents
Document/Exhibit Description Pages Size
1: 40-F Registration Statement or Annual Report by a HTML 108K
Canadian Issuer
10: EX-99.B.10 Principal Accountant Fees and Services HTML 84K
11: EX-99.B.12 Tabular Disclosure of Contractual Obligations HTML 140K
2: EX-99.B.3(A) Annual Information Form HTML 292K
3: EX-99.B.3(B) Audited Consolidated Financial Statements for HTML 3.18M
the Year Ended October 31, 2018
4: EX-99.B.3(C) Management's Discussion and Analysis HTML 2.99M
5: EX-99.B.3(D) Other Pages of Cibc's 2018 Annual Report HTML 157K
Incorporated in Annual Information Form
6: EX-99.B.6(A)(1) Certifications Required by Rule 13A-14(A) HTML 94K
7: EX-99.B.6(A)(2) Certifications Required by Rule 13A-14(B) HTML 89K
8: EX-99.B.8 Disclosure Regarding Audit Committee Financial HTML 85K
Expert
9: EX-99.B.9 Disclosure Regarding Code of Ethics HTML 87K
12: EX-99.D.9 Consent of Independent Registered Public HTML 88K
Accounting Firm
19: R1 Document and Entity Information HTML 107K
20: R2 Consolidated balance sheet HTML 197K
21: R3 Consolidated statement of income HTML 215K
22: R4 Consolidated statement of income (Parenthetical) HTML 89K
23: R5 Consolidated statement of comprehensive income HTML 220K
24: R6 Consolidated statement of comprehensive income HTML 90K
(Parenthetical)
25: R7 Consolidated statement of changes in equity HTML 208K
26: R8 Consolidated statement of changes in equity HTML 89K
(Parenthetical)
27: R9 Consolidated statement of cash flows HTML 217K
28: R10 Consolidated statement of cash flows HTML 89K
(Parenthetical)
29: R11 Basis of preparation and summary of significant HTML 338K
accounting policies
30: R12 Fair value measurement HTML 864K
31: R13 Significant transactions HTML 125K
32: R14 Securities HTML 323K
33: R15 Loans HTML 502K
34: R16 Structured entities and derecognition of financial HTML 185K
assets
35: R17 Land, Buildings and Equipment HTML 132K
36: R18 Goodwill, Software and Other Intangible Assets HTML 191K
37: R19 Other assets HTML 97K
38: R20 Deposits HTML 121K
39: R21 Other liabilities HTML 99K
40: R22 Derivative instruments HTML 398K
41: R23 Designated accounting hedges HTML 260K
42: R24 Subordinated indebtedness HTML 153K
43: R25 Common and preferred share capital HTML 229K
44: R26 Capital Trust securities HTML 111K
45: R27 Share-based payments HTML 176K
46: R28 Post-employment benefits HTML 332K
47: R29 Income taxes HTML 282K
48: R30 Earnings per share HTML 106K
49: R31 Commitments, guarantees and pledged assets HTML 147K
50: R32 Contingent liabilities and provision HTML 157K
51: R33 Concentration of credit risk HTML 138K
52: R34 Related-party transactions HTML 112K
53: R35 Investments in equity-accounted associates and HTML 111K
joint ventures
54: R36 Significant subsidiaries HTML 124K
55: R37 Financial instruments - disclosures HTML 126K
56: R38 Offsetting financial assets and liabilities HTML 165K
57: R39 Interest income and expense HTML 106K
58: R40 Segmented and geographic information HTML 322K
59: R41 Future accounting policy changes HTML 101K
60: R42 IFRS 7 Disclosure HTML 822K
61: R43 Basis of preparation and summary of significant HTML 461K
accounting policies (Policies)
62: R44 Basis of preparation and summary of significant HTML 211K
accounting policies (Tables)
63: R45 Fair value measurement (Tables) HTML 821K
64: R46 Significant transactions (Tables) HTML 123K
65: R47 Securities (Tables) HTML 334K
66: R48 Loans (Tables) HTML 516K
67: R49 Structured entities and derecognition of financial HTML 141K
assets (Tables)
68: R50 Land, Buildings and Equipment (Tables) HTML 132K
69: R51 Goodwill, Software and Other Intangible Assets HTML 173K
(Tables)
70: R52 Other assets (Tables) HTML 96K
71: R53 Deposits (Tables) HTML 120K
72: R54 Other liabilities (Tables) HTML 98K
73: R55 Derivative instruments (Tables) HTML 360K
74: R56 Designated accounting hedges (Tables) HTML 277K
75: R57 Subordinated indebtedness (Tables) HTML 151K
76: R58 Common and preferred share capital (Tables) HTML 209K
77: R59 Capital Trust securities (Tables) HTML 105K
78: R60 Share-based payments (Tables) HTML 148K
79: R61 Post-employment benefits (Tables) HTML 320K
80: R62 Income taxes (Tables) HTML 272K
81: R63 Earnings per share (Tables) HTML 106K
82: R64 Commitments, guarantees and pledged assets HTML 129K
(Tables)
83: R65 Contingent liabilities and provision (Tables) HTML 106K
84: R66 Concentration of credit risk (Tables) HTML 136K
85: R67 Related-party transactions (Tables) HTML 100K
86: R68 Investments in equity-accounted associates and HTML 103K
joint ventures (Tables)
87: R69 Significant subsidiaries (Tables) HTML 124K
88: R70 Financial instruments - disclosures (Tables) HTML 118K
89: R71 Offsetting financial assets and liabilities HTML 165K
(Tables)
90: R72 Interest income and expense (Tables) HTML 106K
91: R73 Segmented and geographic information (Tables) HTML 270K
92: R74 Summary of Breakdown of Our Standardized Credit HTML 126K
Risk Exposures by Risk-weight Category (Tables)
93: R75 IFRS 7 Disclosure (Tables) HTML 652K
94: R76 Basis of Preparation and Summary of Significant HTML 188K
Accounting Policies - Reconciliation of Closing
Allowance for Credit Losses in Accordance with IAS
39 (Detail)
95: R77 Basis of Preparation and Summary of Significant HTML 101K
accounting Policies - Additional Information
(Detail)
96: R78 Basis of Preparation and Summary of Significant HTML 101K
accounting Policies - Additional Information1
(Detail)
97: R79 Basis of Preparation and Summary of Significant HTML 307K
Accounting Policies - Reconciliation of Carrying
Amounts Under IAS 39, Net of Tax on Shareholders'
Equity and Total Equity (Detail)
98: R80 Basis of Preparation and Summary of Significant HTML 108K
Accounting Policies - Reconciliation of Carrying
Amounts Under IAS 39, Net of Tax on Shareholders'
Equity and Total Equity (Parenthetical) (Detail)
99: R81 Fair Value Measurement - Fair Value of Financial HTML 291K
Instruments (Detail)
100: R82 Fair Value Measurement - Fair Value of Derivative HTML 208K
Financial Instruments (Detail)
101: R83 Fair Value Measurement - Summary of Assets and HTML 138K
Liabilities Not Carried On Consolidated Balance
Sheet at Fair Value (Detail)
102: R84 Fair Value Measurement - Summary of Financial HTML 243K
Instruments Carried On Consolidated Balance Sheet
at Fair Value (Detail)
103: R85 Fair Value Measurement - Summary of Financial HTML 101K
Instruments Carried On Consolidated Balance Sheet
at Fair Value (Parenthetical) (Detail)
104: R86 Fair Value Measurement- Additional Information HTML 124K
(Detail)
105: R87 Fair Value Measurement - Changes in Fair Value of HTML 368K
Financial Assets and Liabilities in Level 3
(Detail)
106: R88 Fair Value Measurement - Changes in Fair Value of HTML 92K
Financial Assets and Liabilities in Level 3
(Parenthetical) (Detail)
107: R89 Fair Value Measurement - Valuation Techniques and HTML 180K
Quantitative Information About Significant
Non-observable Inputs Used In Level 3 Financial
Instruments (Detail)
108: R90 Significant Transactions - Additional information HTML 175K
(Detail)
109: R91 Significant Transactions - Detailed Information of HTML 102K
Business Acquisition (Detail)
110: R92 Significant Transactions - Detailed Information of HTML 118K
Business Acquisition (Parenthetical) (Detail)
111: R93 Significant Transactions - Disclosure of HTML 129K
Preliminary Fair Values of Identifiable Assets
Acquired and Liabilities Assumed at the
Acquisition Date (Detail)
112: R94 Significant Transactions - Disclosure of HTML 101K
Preliminary Fair Values of Identifiable Assets
Acquired and Liabilities Assumed at the
Acquisition Date (Parenthetical) (Detail)
113: R95 Securities - Summary of Securities (Detail) HTML 110K
114: R96 Securities - Summary of Securities (Parenthetical) HTML 88K
(Detail)
115: R97 Securities - Summary of Residual Term to HTML 293K
Contractual Maturity of Financial Instruments
(Detail)
116: R98 Securities - Summary of Residual Term to HTML 166K
Contractual Maturity of Financial Instruments
(Parenthetical) (Detail)
117: R99 Securities - Schedule of Fair Value of Debt HTML 161K
Securities Measured and Equity Securities
Designated at FVOCI (Detail)
118: R100 Securities - Schedule of Fair Value of Debt HTML 89K
Securities Measured and Equity Securities
Designated at FVOCI (Parenthetical) (Detail)
119: R101 Securities - Additional Information (Detail) HTML 126K
120: R102 Securities - Summary of Profit or Loss Recognized HTML 107K
on FVOCI Securities (Detail)
121: R103 Securities - Summary of Allowance for Losses HTML 118K
measured at FVOCI (Detail)
122: R104 Securities - Summary of Allowance for Losses HTML 98K
measured at FVOCI (Parenthetical) (Detail)
123: R105 Loans - Disclosure of Loans and Receivables HTML 162K
(Detail)
124: R106 Loans - Disclosure of Loans and Receivables HTML 106K
(Parenthetical) (Detail)
125: R107 Loans - Summary of Allowance for Credit Losses HTML 225K
under IFRS 9 (Detail)
126: R108 Loans - Summary of Allowance for Credit Losses HTML 102K
under IFRS 9 (Parenthetical) (Detail)
127: R109 Loans - Summary of Allowance for Credit Losses HTML 158K
under IAS 39 (Detail)
128: R110 Loans - Additional Information (Detail) HTML 119K
129: R111 Loans - Summary of Base Case Forecasts for Select HTML 109K
Forward Looking Information Variables Used to
Estimate our Expected Credit Losses (Detail)
130: R112 Loans - Summary of Carrying Amount of Loans Based HTML 217K
on Internal Risk Rating Grades (Detail)
131: R113 Loans - Summary of Carrying Amount of Loans Based HTML 109K
on Internal Risk Rating Grades (Parenthetical)
(Detail)
132: R114 Loans - Summary of Undrawn Credit Facilities and HTML 209K
Other Off Balance Sheet Exposures (Detail)
133: R115 Loans - Summary of Credit Quality of Net Business HTML 170K
and Government Loans and Acceptances (Detail)
134: R116 Loans - Summary of Credit Quality of Net Business HTML 88K
and Government Loans and Acceptances
(Parenthetical) (Detail)
135: R117 Loans - Summary of Credit Quality of Net Retail HTML 192K
Loans (Detail)
136: R118 Loans - Summary of Impaired Loans (Detail) HTML 140K
137: R119 Loans - Summary of Impaired Loans (Parenthetical) HTML 96K
(Detail)
138: R120 Loans - Summary of Purchased Credit Impaired Loans HTML 104K
(Detail)
139: R121 Loans - Schedule of Loans Past Due But Not HTML 117K
Impaired (Detail)
140: R122 Loans - Schedule of Net Interest Income After HTML 100K
Provision for Credit Losses (Detail)
141: R123 Structured Entities and Derecognition of Financial HTML 141K
Assets - Additional Information (Detail)
142: R124 Structured Entities and Derecognition of Financial HTML 144K
Assets - Schedule of Unconsolidated Entity Balance
Sheet Amounts and Maximum Exposure to Loss
(Detail)
143: R125 Structured Entities and Derecognition of Financial HTML 92K
Assets - Schedule of Unconsolidated Entity Balance
Sheet Amounts and Maximum Exposure to Loss
(Parenthetical) (Detail)
144: R126 Structured Entities and Derecognition of Financial HTML 108K
Assets - Schedule of Carrying Amount and Fair
Value of Transferred Financial Assets that did not
Qualify for Derecognition and Associated Financial
Liabilities (Detail)
145: R127 Structured Entities and Derecognition of Financial HTML 92K
Assets - Schedule of Carrying Amount and Fair
Value of Transferred Financial Assets that did not
Qualify for Derecognition and Associated Financial
Liabilities (Parenthetical) (Detail)
146: R128 Land, Buildings and Equipment - Summary of Land, HTML 133K
Buildings and Equipment (Detail)
147: R129 Land, Buildings and Equipment - Summary of Land, HTML 91K
Buildings and Equipment (Parenthetical) (Detail)
148: R130 Land, Buildings and Equipment - Additional HTML 109K
Information (Detail)
149: R131 Land, Buildings and Equipment - Carrying Value of HTML 93K
Finance Lease Property (Detail)
150: R132 Goodwill, Software and Other Intangible Assets - HTML 114K
Summary of Changes in Carrying Amount of Goodwill
by Cash Generating Units (Detail)
151: R133 Goodwill, Software and Other Intangible Assets - HTML 98K
Summary of Changes in Carrying Amount of Goodwill
by Cash Generating Units (Parenthetical) (Detail)
152: R134 Goodwill, Software and Other Intangible Assets - HTML 161K
Additional Information (Detail)
153: R135 Goodwill, Software and Other Intangible Assets - HTML 102K
Schedule of Carrying Amount of Indefinite-lived
Intangible Assets (Detail)
154: R136 Goodwill, Software and Other Intangible Assets - HTML 136K
Schedule of Components of Finite-lived Software
and Other Intangible Assets (Detail)
155: R137 Goodwill, Software and Other Intangible Assets - HTML 97K
Schedule of Components of Finite-lived Software
and Other Intangible Assets (Parenthetical)
(Detail)
156: R138 Other Assets - Summary of Other Assets (Detail) HTML 108K
157: R139 Deposits - Summary of Deposits and Components HTML 139K
(Detail)
158: R140 Deposits - Summary of Deposits and Components HTML 102K
(Parenthetical) (Detail)
159: R141 Other Liabilities - Summary of Other liabilities HTML 107K
(Detail)
160: R142 Derivative Instruments- Summary of Derivative HTML 103K
Instruments (Detail)
161: R143 Derivative Instruments - Summary of Notional HTML 380K
Amounts (Detail)
162: R144 Derivative Instruments - Summary of Notional HTML 93K
Amounts (Parenthetical) (Detail)
163: R145 Derivative Instruments - Summary of Credit HTML 219K
Exposure Arising from Derivatives (Detail)
164: R146 Derivative Instruments - Summary of Credit HTML 96K
Exposure Arising from Derivatives (Parenthetical)
(Detail)
165: R147 Derivative Instruments - Additional Information HTML 89K
(Detail)
166: R148 Designated accounting hedges - Summary of Items HTML 192K
Designated as Hedging Instruments (Detail)
167: R149 Designated Accounting Hedges - Summary of Notional HTML 105K
Amounts and Carrying Value of Our Hedging Related
Derivative Instruments (Detail)
168: R150 Designated Accounting Hedges - Summary of Average HTML 135K
Rate or Price of Hedging Instruments (Detail)
169: R151 Designated Accounting Hedges - Additional HTML 109K
Information (Detail)
170: R152 Designated Accounting Hedges - Summary of Items HTML 142K
Designated as Hedged Items (Detail)
171: R153 Designated Accounting Hedges - Summary of Items HTML 93K
Designated as Hedged Items (Parenthetical)
(Detail)
172: R154 Designated Accounting Hedges - Summary of Hedge HTML 137K
Accounting Impact on the Consolidated Statement of
Comprehensive Income (Detail)
173: R155 Designated Accounting Hedges - Summary of Hedge HTML 104K
Ineffectiveness Gains (Losses) Recognized in
Consolidated Statement of Income (Detail)
174: R156 Designated Accounting Hedges - Summary of Periods HTML 97K
when Cash Flows Designated as Hedged (Detail)
175: R157 Subordinated Indebtedness - Schedule of Terms of HTML 176K
Subordinated Indebtedness (Detail)
176: R158 Subordinated Indebtedness - Schedule of Terms of HTML 132K
Subordinated Indebtedness (Parenthetical) (Detail)
177: R159 Common and Preferred Share Capital - Summary of HTML 136K
Outstanding Shares and Dividends Paid (Detail)
178: R160 Common and Preferred Share Capital - Additional HTML 206K
Information (Detail)
179: R161 Common and Preferred Share Capital - Schedule of HTML 138K
Common Shares Issued (Detail)
180: R162 Common and Preferred Share Capital - Schedule of HTML 95K
Common Shares Issued (Parenthetical) (Detail)
181: R163 Common and Preferred Share Capital - Schedule of HTML 97K
Common Shares Purchased and Cancelled under
Previously Expired NCIB (Detail)
182: R164 Common and Preferred Share Capital - Schedule of HTML 94K
Common Shares Purchased and Cancelled under
Previously Expired NCIB (Parenthetical) (Detail)
183: R165 Common and Preferred Share Capital - Schedule of HTML 105K
Terms of Class A Preferred Shares (Detail)
184: R166 Common and Preferred Share Capital - Schedule of HTML 106K
Regulatory Capital and Ratios (Detail)
185: R167 Capital Trust Securities - Additional Information HTML 109K
(Detail)
186: R168 Capital Trust Securities - Summary of Significant HTML 105K
Terms and Conditions of Notes (Detail)
187: R169 Capital Trust Securities - Summary of Significant HTML 99K
Terms and Conditions of Notes (Parenthetical)
(Detail)
188: R170 Share-based Payments - Additional Information HTML 199K
(Detail)
189: R171 Share-based Payments - Summary of Assumptions Used HTML 99K
to Determine Fair Value of Options Granted
(Detail)
190: R172 Share-based Payments - Summary of Stock Option HTML 123K
Activity and Related Information (Detail)
191: R173 Share-based Payments - Summary of Stock Option HTML 92K
Activity and Related Information (Parenthetical)
(Detail)
192: R174 Share-based payments -Summary of Stock options HTML 126K
outstanding and vested (Detail)
193: R175 Post-Employment Benefits - Additional Information HTML 102K
(Detail)
194: R176 Post-Employment Benefits - Summary of Financial HTML 154K
Position Related to Defined Benefit Pensions and
Other Post Employment Plans (Detail)
195: R177 Post-Employment Benefits - Summary of Financial HTML 90K
Position Related to Defined Benefit Pensions and
Other Post Employment Plans (Parenthetical)
(Detail)
196: R178 Post-Employment Benefits - Summary of Defined HTML 105K
Benefit Assets (Liability) Net of Valuation
Allowance Included in Other Assets and Other
Liabilities (Detail)
197: R179 Post-Employment Benefits - Summary of Defined HTML 94K
Benefit Assets (Liability) Net of Valuation
Allowance Included in Other Assets and Other
Liabilities (Parenthetical) (Detail)
198: R180 Post-Employment Benefits - Summary of Defined HTML 107K
Benefit obligation and Plan Assets by Region
(Detail)
199: R181 Post-Employment Benefits - Summary of Defined HTML 116K
Benefit Plan Expense (Detail)
200: R182 Post-Employment Benefits - Summary of Defined HTML 89K
Benefit Plan Expense (Parenthetical) (Detail)
201: R183 Post-Employment Benefits - Summary of Net HTML 111K
Remeasurement Gains (Losses) Recognized in OCI
(Detail)
202: R184 Post-Employment Benefits - Summary of Net HTML 91K
Remeasurement Gains (Losses) Recognized in OCI
(Parenthetical) (Detail)
203: R185 Post-Employment Benefits - Summary of Defined HTML 106K
Benefit Obligation (Detail)
204: R186 Post-Employment Benefits - Summary of Weighted HTML 94K
Average Duration of Defined Benefit Obligation
(Detail)
205: R187 Post-Employment Benefits - Summary of Major HTML 147K
Categories of Defined Benefit Plan Assets (Detail)
206: R188 Post-Employment Benefits - Summary of Major HTML 100K
Categories of Defined Benefit Plan Assets
(Parenthetical) (Detail)
207: R189 Post-Employment Benefits - Summary of Weighted HTML 98K
Average Principal Assumptions Used to Determine
Defined Benefit Obligation (Detail)
208: R190 Post-Employment Benefits - Summary of Weighted HTML 91K
Average Principal Assumptions Used to Determine
Defined Benefit Obligation (Parenthetical)
(Detail)
209: R191 Post-Employment Benefits - Summary of Longevities HTML 99K
Underlying Values of Defined Benefit Obligation
(Detail)
210: R192 Post-Employment Benefits - Summary of Assumed HTML 96K
Health-care Cost Trend Rates (Detail)
211: R193 Post-Employment Benefits - Summary of Affected HTML 109K
Defined Benefit Obligation Due to Reasonable
Possible Changes to Principal Actuarial
Assumptions (Detail)
212: R194 Post-Employment Benefits - Summary of Expected HTML 108K
Future Benefit Payments (Detail)
213: R195 Post-Employment Benefits - Summary of defined HTML 95K
contributions and other plans (Detail)
214: R196 Income Taxes - Total Income Taxes (Detail) HTML 115K
215: R197 Income Taxes - Components of Income Tax (Detail) HTML 104K
216: R198 Income Taxes - Reconciliation of Income Taxes HTML 126K
(Detail)
217: R199 Income Taxes - Sources and Movement in Deferred HTML 226K
Tax Assets and Liabilities (Detail)
218: R200 Income Taxes - Sources and Movement in Deferred HTML 94K
Tax Assets and Liabilities (Parenthetical)
(Detail)
219: R201 Income Taxes - Additional Information (Detail) HTML 136K
220: R202 Earnings per Share - Summary of Earnings Per Share HTML 111K
(Detail)
221: R203 Earnings per Share - Summary of Earnings Per Share HTML 91K
(Parenthetical) (Detail)
222: R204 Commitments, Guarantees and Pledged Assets - HTML 100K
Summary of Contract Amounts of Credit-Related
Arrangements (Detail)
223: R205 Commitments, Guarantees and Pledged Assets - HTML 94K
Summary of Contract Amounts of Credit-Related
Arrangements (Parenthetical) (Detail)
224: R206 Commitments, Guarantees and Pledged Assets - HTML 104K
Additional Information (Detail)
225: R207 Commitments, Guarantees and Pledged Assets - HTML 112K
Summary of Future Minimum Lease Payments and
Receipt for Operating Lease Commitments (Detail)
226: R208 Commitments, Guarantees and Pledged Assets - HTML 91K
Summary of Future Minimum Lease Payments and
Receipt for Operating Lease Commitments
(Parenthetical) (Detail)
227: R209 Commitments, Guarantees and Pledged Assets - HTML 108K
Summary of Future Minimum Lease Payments for
Finance Lease Commitments (Detail)
228: R210 Commitments, Guarantees and Pledged Assets - HTML 89K
Summary of Future Minimum Lease Payments for
Finance Lease Commitments (Parenthetical) (Detail)
229: R211 Commitments, Guarantees and Pledged Assets - HTML 112K
Summary of Asset Pledging Amounts and Related
Activities (Detail)
230: R212 Contingent Liabilities and Provision - Additional HTML 140K
Information (Detail)
231: R213 Contingent Liabilities and Provision - Disclosure HTML 98K
of Changes in Legal Provisions (Detail)
232: R214 Contingent Liabilities and Provision - Disclosure HTML 98K
of Changes in the Restructuring Provision (Detail)
233: R215 Concentration of Credit Risk - Summary of Credit HTML 162K
Exposure Associated with our On- and Off-Balance
Sheet Financial Instruments (Detail)
234: R216 Concentration of Credit Risk - Summary of Credit HTML 106K
Exposure Associated with our On- and Off-Balance
Sheet Financial Instruments (Parenthetical)
(Detail)
235: R217 Related-Party Transactions - Additional HTML 99K
Information (Detail)
236: R218 Related-Party Transactions - Summary of HTML 104K
Compensation of Key Management Personnel (Detail)
237: R219 Investments in Equity-Accounted Associates and HTML 148K
Joint Ventures - Additional Information (Detail)
238: R220 Investments in Equity-Accounted Associates and HTML 100K
Joint Ventures - Summary of Aggregate Financial
Information Related to Proportionate Interest in
the Equity-accounted Joint Ventures (Detail)
239: R221 Investments in Equity-Accounted Associates and HTML 100K
Joint Ventures - Summary of Aggregate Financial
Information Related to Proportionate Interest in
Equity-Accounted Associates (Detail)
240: R222 Significant Subsidiaries - Additional Information HTML 90K
(Detail)
241: R223 Significant Subsidiaries - Summary List of HTML 211K
Significant Subsidiaries (Detail)
242: R224 Significant Subsidiaries - Summary List of HTML 124K
Significant Subsidiaries (Parenthetical) (Detail)
243: R225 Financial Instruments -Schedule of Balance Sheet HTML 135K
Exposure Credit Risk under Different Basel
Approaches (Detail)
244: R226 Offsetting Financial Assets and Liabilities - HTML 171K
Schedule of Financial Assets and Liabilities
(Detail)
245: R227 Offsetting Financial Assets and Liabilities - HTML 89K
Schedule of Financial Assets and Liabilities
(Parenthetical) (Detail)
246: R228 Interest income and expense - Summary of HTML 113K
Consolidated Interest Income and Expense for Both
Product and Accounting Categories (Detail)
247: R229 Segmented and Geographic Information - Detailed HTML 198K
Report of Segments and Geographic Areas (Detail)
248: R230 Segmented and Geographic Information - Detailed HTML 93K
Report of Segments and Geographic Areas
(Parenthetical) (Detail)
249: R231 Segmented and Geographic Information - Breakdown HTML 126K
of revenue from reporting segments (Detail)
250: R232 Segmented and Geographic Information - Breakdown HTML 93K
of revenue from reporting segments (Parenthetical)
(Detail)
251: R233 IFRS 7 - Disclosure - Credit Risk - Summary of HTML 115K
Risk Measurement (Detail)
252: R234 IFRS 7 - Disclosure - Credit Risk - Summary of PD HTML 107K
Bands to Various Risk Levels (Detail)
253: R235 IFRS 7 - Disclosure - Credit Risk - Summary of HTML 251K
Exposure to Credit Risk (Detail)
254: R236 IFRS 7 - Disclosure - Credit Risk - Additional HTML 116K
Information (Detail)
255: R237 IFRS 7 - Disclosure - Credit Risk - Summary of HTML 158K
Breakdown of Our Standardized Credit Risk
Exposures by Risk-weight Category (Detail)
256: R238 IFRS 7 - Disclosure - Credit Risk - Summary of HTML 104K
Rating Profile of OTC Derivative Mark to Market
(MTM) Receivables (Detail)
257: R239 IFRS 7 - Disclosure - Credit Risk- Summary of HTML 140K
Geographic Distribution of Business and Government
Exposures Under the AIRB Approach (Detail)
258: R240 IFRS 7 - Disclosure - Credit Risk - Summary of HTML 257K
Industry-wide Breakdown of Business and Government
Exposure (Detail)
259: R241 IFRS 7 - Disclosure - Credit Risk - Summary of HTML 94K
Industry-wide Breakdown of Business and Government
Exposure (Parenthetical) (Detail)
260: R242 IFRS 7 - Disclosure - Credit Risk - Summary of HTML 182K
Credit Quality of Risk-rated Portfolios Exposure
(Detail)
261: R243 IFRS 7 - Disclosure - Credit Risk - Summary of HTML 139K
Credit Quality of Retail Portfolios (Detail)
262: R244 IFRS 7 - Disclosure - Credit Risk - Summary of HTML 104K
Securitization Exposures (Detail)
263: R245 IFRS 7 - Disclosure - Credit Risk - Summary of HTML 91K
Securitization Exposures (Parenthetical) (Detail)
264: R246 IFRS 7 - Disclosure - Market Risk - Additional HTML 118K
Information (Detail)
265: R247 IFRS 7 - Disclosure - Market Risk - Summary of HTML 129K
Market Risks by Type of Risks (Detail)
266: R248 IFRS 7 - Disclosure - Market Risk - Summary of HTML 129K
Stressed Value At Risk by Trading Activities
(Detail)
267: R249 IFRS 7 - Disclosure - Market Risk - Summary of HTML 105K
Incremental Risk Charge by Trading Activities
(Detail)
268: R250 IFRS 7 - Disclosure - Market Risk - Summary of HTML 101K
Structural Interest Rate Sensitivity - Measures
(Detail)
269: R251 IFRS 7 - Disclosure - Market Risk - Summary of HTML 106K
Amortized Cost and Fair Values of Non-trading
Equities (Detail)
270: R252 IFRS 7 - Disclosure - Liquidity Risk - Summary of HTML 127K
Encumbered and Unencumbered Assets from On- and
Off-Balance Sheet Sources (Detail)
271: R253 IFRS 7 - Disclosure - Liquidity Risk - Additional HTML 88K
Information (Detail)
272: R254 IFRS 7 - Disclosure - Liquidity Risk - Summary of HTML 255K
Contractual Maturity Profile of On-Balance Sheet
Assets, Liabilities and Equity at their Carrying
Values (Detail)
273: R255 IFRS 7 - Disclosure - Liquidity Risk - Summary of HTML 104K
Contractual Maturity Profile of On-Balance Sheet
Assets, Liabilities and Equity at their Carrying
Values (Parenthetical) (Detail)
274: R256 IFRS 7 - Disclosure - Liquidity Risk - Summary of HTML 172K
Credit Related Commitments (Detail)
275: R257 IFRS 7 - Disclosure - Liquidity Risk - Summary of HTML 95K
Credit Related Commitments (Parenthetical)
(Detail)
276: R258 IFRS 7 - Disclosure - Liquidity Risk - Summary of HTML 161K
Contractual Maturities of Other Contractual
Obligations Affecting Our Funding Needs (Detail)
278: XML IDEA XML File -- Filing Summary XML 577K
277: EXCEL IDEA Workbook of Financial Reports XLSX 515K
13: EX-101.INS XBRL Instance -- cm-20181031 XML 23.36M
15: EX-101.CAL XBRL Calculations -- cm-20181031_cal XML 807K
16: EX-101.DEF XBRL Definitions -- cm-20181031_def XML 4.27M
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18: EX-101.PRE XBRL Presentations -- cm-20181031_pre XML 5.30M
14: EX-101.SCH XBRL Schema -- cm-20181031 XSD 1.22M
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‘R195’ — Post-Employment Benefits – Summary of defined contributions and other plans (Detail)
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- DefinitionThe amount of post-employment benefit expense relating to defined contribution plans. Defined contribution plans are post-employment benefit plans under which an entity pays fixed contributions into a separate entity (a fund) and will have no legal or constructive obligation to pay further contributions if the fund does not hold sufficient assets to pay all employee benefits relating to employee service in the current and prior periods.
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Dates Referenced Herein and Documents Incorporated by Reference
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