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Name | Symbol | Market | Type |
---|---|---|---|
Canadian Imperial Bank (PK) | USOTC:CNDIF | OTCMarkets | Preference Share |
Price Change | % Change | Price | Bid Price | Offer Price | High Price | Low Price | Open Price | Traded | Last Trade | |
---|---|---|---|---|---|---|---|---|---|---|
0.00 | 0.00% | 19.6042 | 0.00 | 01:00:00 |
FORM SBSE-A
Application for Registration as a Security-based Date: Applicant NFA Number: 225050 | OMB APPROVAL |
OMB Number: 3235-AL05 Estimated average burden hours per response – initial: 34 hours Estimated average burden hours per response – amendment: 1 hour Estimated average additional burden hours for Schedule F – initial: 1.5 hours Estimated average additional burden hours per response – amendment: 1.5 hours |
A. Full name of the applicant | CANADIAN IMPERIAL BANK OF COMMERCE /CAN/ |
B. IRS Empl. Ident. No.: | 00-0000000 |
C. Applicant's NFA ID #: | 225050 |
Applicant's CIK #: | 0001045520 |
Applicant’s UIC # (if any): | 2IGI19DL77OX0HC3ZE78 |
D. Applicant's Main Address: (Do not use a P.O. Box) | |
Street Address 1: | 81 BAY STREET |
Street Address 2: | CIBC SQUARE |
City: | TORONTO |
State/Province/Country: |
ONTARIO, CANADA
|
Zip/ Postal Code: | M5J 0E7 |
E. Mailing Address, if different: | |
Street Address 1: | |
Street Address 2: | |
City: | |
State/Province/Country: | |
Zip/ Postal Code: | |
F. Business Telephone Number: | 4169803096 |
G. Website/URL: | |
H. Contact Employee: | |
Prefix: | |
First Name: | ANDREW |
Middle Name: | |
Last Name: | ROSS |
Suffix: | |
Title: | EXECUTIVE DIRECTOR |
Phone: | 2126674539 |
Email Address: | ANDREW.ROSSII@CIBC.COM |
I. Chief Compliance Officer designated by the applicant in accordance with Exchange Act Section 15F(k): | |
Prefix: | |
First Name: | WILLIAM |
Middle Name: | |
Last Name: | MEEHAN |
Suffix: | |
Title: | SWAP DEALER CHEIF COMPLIANCE OFFICER |
Phone: | 2126674556 |
Email Address: | WILLIAM.MEEHAN@CIBC.COM |
Date | 06-12-2023 |
Name of Applicant | CANADIAN IMPERIAL BANK OF COMMERCE /CAN/ |
By: Signature | William Meehan |
Name of Person Signing on Applicant's behalf | William Meehan |
Title of Person Signing on Applicant's behalf | Swap Dealer Chief Compliance Officer |
FORM SBSE-A
Application for Registration as a Security-based Swap Dealer
and Major Security-based Swap Participant that is Registered
or Registering with the CFTC as a Swap Dealer or Major Swap Participant
Applicant Name:
CANADIAN IMPERIAL BANK OF COMMERCE /CAN/
Date:
Applicant NFA No.:
225050
A. The applicant is registering as a security-based swap dealer: | ☒ Yes ☐ No |
B. The applicant is registering as a major security-based swap participant: | ☐ Yes ☒ No |
A. Is the applicant a foreign security-based swap dealer that intends to: | |
| ☒ Yes ☐ No |
| ☐ Yes ☒ No |
with respect to the requirements of Section 15F of the Exchange Act of 1934 and the rules and regulations thereunder? | |
B. If "yes" to either of the questions in Item 3.A. above, identify the foreign financial regulatory authority that serves as the applicant's primary regulator and for which the Commission has made, or may make, a substituted compliance determination: | Office of the Superintendent of Financial Institutions (OSFI) |
Does the applicant intend to compute capital or margin, or price customer or proprietary positions, using mathematical models? | ☐ Yes ☒ No |
A. The applicant is currently registered with the Commodity Futures Trading Commission as a: | ☒ Swap Dealer ☐ Major Swap Participant |
B. The applicant is registering with the Commodity Futures Trading Commission as a: | ☐ Swap Dealer ☐ Major Swap Participant |
Is the applicant a U.S. branch of a non-resident entity? | ☐ Yes ☒ No |
Briefly describe the applicant's business: | Canadian Imperial Bank of Commerce is a leading North American financial institution operating across Personal and Business Banking, Commercial Banking and Wealth Management, and Capital Markets businesses, with 44,000 employees the Bank provides a full range of financial products and services to 10 million personal banking, business, public sector and institutional clients in globally. Business units include Canadian Personal and Business Banking, Canadian Commercial Banking and Wealth Management, U.S. Commercial Banking and Wealth Management, and Capital Markets. |
Is the applicant subject to regulation by a prudential regulator, as defined in Section 1a(39) of the Commodity Exchange Act. | ☒ Yes ☐ No |
If "yes," identify the prudential regulator: | ☒ The Federal Reserve Board ☐ The Office of the Comptroller of the Currency ☐ The Federal Deposit Insurance Corporation ☐ The Farm Credit Administration ☐ The Federal Housing Finance Agency |
Is the applicant registered with the Commission as an investment adviser? | ☐ Yes ☒ No |
A. Is the applicant registered with the Commodity Futures Trading Commission in any capacity other than as a swap dealer or major swap participant? | ☐ Yes ☒ No |
Does applicant engage in any other non-securities, financial services industry-related business? | ☒ Yes ☐ No |
If "yes," describe each other business briefly on Schedule B, Section I.
Does the applicant hold or maintain any funds or securities to collateralize counterparty transactions? | ☒ Yes ☐ No |
FORM SBSE-A
Application for Registration as a Security-based Swap Dealer
and Major Security-based Swap Participant that is Registered
or Registering with the CFTC as a Swap Dealer or Major Swap Participant
Applicant Name:
CANADIAN IMPERIAL BANK OF COMMERCE /CAN/
Date:
Applicant NFA No.:
225050
Does the applicant have any arrangement: | |
A. With any other person, firm, or organization under which any books or records of the applicant are kept, maintained, or audited by such other person, firm or organization? | ☐ Yes ☒ No |
B. Under which such other person, firm or organization executes, trades, custodies, clears or settles on behalf of the applicant (including any SRO in which the applicant is a member)? | ☒ Yes ☐ No |
If "yes" to any part of Item 13, complete appropriate items on Schedule B, Section II.
Does any person directly or indirectly control the management or policies of the applicant through agreement or otherwise? | ☐ Yes ☒ No |
If "yes," complete appropriate item on Schedule B, Section II.
Does any person directly or indirectly finance (wholly or partially) the business of the applicant? Do not answer "Yes" to Item 15 if the person finances the business of the applicant through: 1) a public offering of securities made pursuant to the Securities Act of 1933; or 2) credit extended in the ordinary course of business by suppliers, banks, and others. | ☐ Yes ☒ No |
If "yes," complete appropriate item on Schedule B, Section II.
Is the applicant at the time of this filing succeeding to the business of a currently registered SBS Entity? | ☐ Yes ☒ No |
If "yes," complete appropriate items on Schedule B, Section Ill.
Is the applicant registered with a foreign financial regulatory authority? | ☒ Yes ☐ No |
If "yes," list all such registrations on Schedule F, Page 1, Section II.
The applicant has ___ principals who are individuals. | 19 |
Please list all principals who are individuals on Schedule A.
Does any principal not identified in Item 18 and Schedule A effect, or is any principal not identified in Item 18 and Schedule A involved in effecting security-based swaps on behalf of the applicant, or will such principals effect or be involved in effecting such business on the applicant's behalf? | ☐ Yes ☒ No |
If "yes," complete appropriate item on Schedule B, Section IV.
FORM SBSE-A
Application for Registration as a Security-based Swap Dealer
and Major Security-based Swap Participant that is Registered
or Registering with the CFTC as a Swap Dealer or Major Swap Participant
Applicant Name:
CANADIAN IMPERIAL BANK OF COMMERCE /CAN/
Date:
Applicant NFA No.:
225050
Use Schedule A to identify all principals of the applicant who are individuals.
Complete the "Title or Status" column by entering board/management titles;
status as partner, trustee, sole proprietor, or shareholder; and for shareholders,
the class of securities owned (if more than one is issued).
Ownership Codes are:
NA - less than 5%
A - 5% but less than 10%
B - 10% but less than 25%
C - 25% but less than 50%
D - 50% but less than 75%
E - 75% or more
Schedule A Record: 1 |
Prefix | |
Individuals: Last Name | DODIG |
Individuals: First Name | VICTOR |
Individuals: Middle Name | |
Suffix | |
Title or Status | President and Chief Executive Officer of CIBC group. |
Date Title or Status Acquired(MM/YYYY) | 09/2014 |
Date Individual began working for applicant (MM/YYYY) | 04/2005 |
Does person have an ownership interest in the applicant | ☒ Yes ☐ No |
If yes, include ownership code | ☒ NA - less than 5% ☐ A - 5% but less than 10% ☐ B - 10% but less than 25% ☐ C - 25% but less than 50% ☐ D - 50% but less than 75% ☐ E - 75% or more |
NFA Identification No. | 480894 |
CRD No. | |
IARD No. | |
For individuals not presently registered through NFA, CRD or lARD, describe prior investment-related experience (e.g., for each prior position- employer, job title, and dates of service): |
Schedule A Record: 2 |
Prefix | |
Individuals: Last Name | MEEHAN |
Individuals: First Name | WILLIAM |
Individuals: Middle Name | |
Suffix | |
Title or Status | SWAP DEALER CHIEF COMPLIANCE OFFICER |
Date Title or Status Acquired(MM/YYYY) | 08/2021 |
Date Individual began working for applicant (MM/YYYY) | 08/2021 |
Does person have an ownership interest in the applicant | ☐ Yes ☒ No |
NFA Identification No. | 437625 |
CRD No. | |
IARD No. | |
For individuals not presently registered through NFA, CRD or lARD, describe prior investment-related experience (e.g., for each prior position- employer, job title, and dates of service): |
Schedule A Record: 3 |
Prefix | |
Individuals: Last Name | EXSHAW |
Individuals: First Name | CHRISTIAN |
Individuals: Middle Name | |
Suffix | |
Title or Status | MD & Head of Global Markets & Direct Financial Services |
Date Title or Status Acquired(MM/YYYY) | 09/2019 |
Date Individual began working for applicant (MM/YYYY) | 11/2008 |
Does person have an ownership interest in the applicant | ☒ Yes ☐ No |
If yes, include ownership code | ☒ NA - less than 5% ☐ A - 5% but less than 10% ☐ B - 10% but less than 25% ☐ C - 25% but less than 50% ☐ D - 50% but less than 75% ☐ E - 75% or more |
NFA Identification No. | 448736 |
CRD No. | |
IARD No. | |
For individuals not presently registered through NFA, CRD or lARD, describe prior investment-related experience (e.g., for each prior position- employer, job title, and dates of service): |
Schedule A Record: 4 |
Prefix | |
Individuals: Last Name | PANOSSIAN |
Individuals: First Name | HRATCH |
Individuals: Middle Name | |
Suffix | |
Title or Status | CHIEF FINANCIAL OFFICER |
Date Title or Status Acquired(MM/YYYY) | 01/2011 |
Date Individual began working for applicant (MM/YYYY) | 08/2011 |
Does person have an ownership interest in the applicant | ☒ Yes ☐ No |
If yes, include ownership code | ☒ NA - less than 5% ☐ A - 5% but less than 10% ☐ B - 10% but less than 25% ☐ C - 25% but less than 50% ☐ D - 50% but less than 75% ☐ E - 75% or more |
NFA Identification No. | 526003 |
CRD No. | |
IARD No. | |
For individuals not presently registered through NFA, CRD or lARD, describe prior investment-related experience (e.g., for each prior position- employer, job title, and dates of service): |
Schedule A Record: 5 |
Prefix | |
Individuals: Last Name | BELANGER |
Individuals: First Name | ERIC |
Individuals: Middle Name | |
Suffix | |
Title or Status | MD, Head, Global Distribution & Global Markets International |
Date Title or Status Acquired(MM/YYYY) | 12/2019 |
Date Individual began working for applicant (MM/YYYY) | 02/1994 |
Does person have an ownership interest in the applicant | ☒ Yes ☐ No |
If yes, include ownership code | ☒ NA - less than 5% ☐ A - 5% but less than 10% ☐ B - 10% but less than 25% ☐ C - 25% but less than 50% ☐ D - 50% but less than 75% ☐ E - 75% or more |
NFA Identification No. | |
CRD No. | |
IARD No. | |
For individuals not presently registered through NFA, CRD or lARD, describe prior investment-related experience (e.g., for each prior position- employer, job title, and dates of service): | Mr. Belanger joined CIBC Capital Markets in 1994 and is responsible for the global cross-asset capital markets sales, structuring, securitization and quantitative analytics groups that provides Equity, FX, Fixed Income, Commodities, derivatives solutions. |
Schedule A Record: 6 |
Prefix | |
Individuals: Last Name | MAJEWSKI |
Individuals: First Name | ARDEN |
Individuals: Middle Name | |
Suffix | |
Title or Status | MD & HEAD, FICC |
Date Title or Status Acquired(MM/YYYY) | 12/2019 |
Date Individual began working for applicant (MM/YYYY) | 08/2011 |
Does person have an ownership interest in the applicant | ☒ Yes ☐ No |
If yes, include ownership code | ☒ NA - less than 5% ☐ A - 5% but less than 10% ☐ B - 10% but less than 25% ☐ C - 25% but less than 50% ☐ D - 50% but less than 75% ☐ E - 75% or more |
NFA Identification No. | |
CRD No. | |
IARD No. | |
For individuals not presently registered through NFA, CRD or lARD, describe prior investment-related experience (e.g., for each prior position- employer, job title, and dates of service): | Mr. Majewski began working for CIBC Capital Markets in 2011 as Head of Global Commodities Trading, Global Markets. In 2015 his role expanded to include Foreign Exchange Trading operations on a global basis. In 2019 he was promoted to his current role. |
Schedule A Record: 7 |
Prefix | |
Individuals: Last Name | ERDODY |
Individuals: First Name | ANTON |
Individuals: Middle Name | |
Suffix | |
Title or Status | Managing Director and Head, Global Equities |
Date Title or Status Acquired(MM/YYYY) | 01/2019 |
Date Individual began working for applicant (MM/YYYY) | 01/2001 |
Does person have an ownership interest in the applicant | ☒ Yes ☐ No |
If yes, include ownership code | ☒ NA - less than 5% ☐ A - 5% but less than 10% ☐ B - 10% but less than 25% ☐ C - 25% but less than 50% ☐ D - 50% but less than 75% ☐ E - 75% or more |
NFA Identification No. | |
CRD No. | |
IARD No. | |
For individuals not presently registered through NFA, CRD or lARD, describe prior investment-related experience (e.g., for each prior position- employer, job title, and dates of service): | Mr. Erdody joined CIBC Capital Markets, Toronto in 2001 in Equity Derivatives Trading. Becoming Head of Equity Derivatives Trading in Europe in 2008. In 2019 he assumed his current role. |
Schedule A Record: 8 |
Prefix | |
Individuals: Last Name | ZUBROW |
Individuals: First Name | BARRY |
Individuals: Middle Name | |
Suffix | |
Title or Status | DIRECTOR |
Date Title or Status Acquired(MM/YYYY) | 05/2015 |
Date Individual began working for applicant (MM/YYYY) | 05/2015 |
Does person have an ownership interest in the applicant | ☒ Yes ☐ No |
If yes, include ownership code | ☒ NA - less than 5% ☐ A - 5% but less than 10% ☐ B - 10% but less than 25% ☐ C - 25% but less than 50% ☐ D - 50% but less than 75% ☐ E - 75% or more |
NFA Identification No. | 218619 |
CRD No. | |
IARD No. | |
For individuals not presently registered through NFA, CRD or lARD, describe prior investment-related experience (e.g., for each prior position- employer, job title, and dates of service): |
Schedule A Record: 9 |
Prefix | |
Individuals: Last Name | BRINDAMOUR |
Individuals: First Name | CHARLES |
Individuals: Middle Name | |
Suffix | |
Title or Status | DIRECTOR |
Date Title or Status Acquired(MM/YYYY) | 02/2020 |
Date Individual began working for applicant (MM/YYYY) | 02/2020 |
Does person have an ownership interest in the applicant | ☒ Yes ☐ No |
If yes, include ownership code | ☒ NA - less than 5% ☐ A - 5% but less than 10% ☐ B - 10% but less than 25% ☐ C - 25% but less than 50% ☐ D - 50% but less than 75% ☐ E - 75% or more |
NFA Identification No. | 527870 |
CRD No. | |
IARD No. | |
For individuals not presently registered through NFA, CRD or lARD, describe prior investment-related experience (e.g., for each prior position- employer, job title, and dates of service): |
Schedule A Record: 10 |
Prefix | |
Individuals: Last Name | LARSEN |
Individuals: First Name | CHRISTINE |
Individuals: Middle Name | |
Suffix | |
Title or Status | DIRECTOR |
Date Title or Status Acquired(MM/YYYY) | 04/2016 |
Date Individual began working for applicant (MM/YYYY) | 04/2016 |
Does person have an ownership interest in the applicant | ☒ Yes ☐ No |
If yes, include ownership code | ☒ NA - less than 5% ☐ A - 5% but less than 10% ☐ B - 10% but less than 25% ☐ C - 25% but less than 50% ☐ D - 50% but less than 75% ☐ E - 75% or more |
NFA Identification No. | 494916 |
CRD No. | |
IARD No. | |
For individuals not presently registered through NFA, CRD or lARD, describe prior investment-related experience (e.g., for each prior position- employer, job title, and dates of service): |
Schedule A Record: 11 |
Prefix | |
Individuals: Last Name | STEVENSON |
Individuals: First Name | KATHERINE |
Individuals: Middle Name | |
Suffix | |
Title or Status | DIRECTOR |
Date Title or Status Acquired(MM/YYYY) | 12/2012 |
Date Individual began working for applicant (MM/YYYY) | 12/2012 |
Does person have an ownership interest in the applicant | ☒ Yes ☐ No |
If yes, include ownership code | ☒ NA - less than 5% ☐ A - 5% but less than 10% ☐ B - 10% but less than 25% ☐ C - 25% but less than 50% ☐ D - 50% but less than 75% ☐ E - 75% or more |
NFA Identification No. | 448730 |
CRD No. | |
IARD No. | |
For individuals not presently registered through NFA, CRD or lARD, describe prior investment-related experience (e.g., for each prior position- employer, job title, and dates of service): |
Schedule A Record: 12 |
Prefix | |
Individuals: Last Name | KELLY |
Individuals: First Name | KEVIN |
Individuals: Middle Name | |
Suffix | |
Title or Status | DIRECTOR |
Date Title or Status Acquired(MM/YYYY) | 05/2013 |
Date Individual began working for applicant (MM/YYYY) | 05/2013 |
Does person have an ownership interest in the applicant | ☒ Yes ☐ No |
If yes, include ownership code | ☒ NA - less than 5% ☐ A - 5% but less than 10% ☐ B - 10% but less than 25% ☐ C - 25% but less than 50% ☐ D - 50% but less than 75% ☐ E - 75% or more |
NFA Identification No. | 310352 |
CRD No. | |
IARD No. | |
For individuals not presently registered through NFA, CRD or lARD, describe prior investment-related experience (e.g., for each prior position- employer, job title, and dates of service): |
Schedule A Record: 13 |
Prefix | |
Individuals: Last Name | DESJARDINS |
Individuals: First Name | LUC |
Individuals: Middle Name | |
Suffix | |
Title or Status | DIRECTOR |
Date Title or Status Acquired(MM/YYYY) | 12/2012 |
Date Individual began working for applicant (MM/YYYY) | 12/2012 |
Does person have an ownership interest in the applicant | ☒ Yes ☐ No |
If yes, include ownership code | ☒ NA - less than 5% ☐ A - 5% but less than 10% ☐ B - 10% but less than 25% ☐ C - 25% but less than 50% ☐ D - 50% but less than 75% ☐ E - 75% or more |
NFA Identification No. | 448714 |
CRD No. | |
IARD No. | |
For individuals not presently registered through NFA, CRD or lARD, describe prior investment-related experience (e.g., for each prior position- employer, job title, and dates of service): |
Schedule A Record: 14 |
Prefix | |
Individuals: Last Name | TURCOTTE |
Individuals: First Name | MARTINE |
Individuals: Middle Name | |
Suffix | |
Title or Status | DIRECTOR |
Date Title or Status Acquired(MM/YYYY) | 02/2014 |
Date Individual began working for applicant (MM/YYYY) | 02/2014 |
Does person have an ownership interest in the applicant | ☒ Yes ☐ No |
If yes, include ownership code | ☒ NA - less than 5% ☐ A - 5% but less than 10% ☐ B - 10% but less than 25% ☐ C - 25% but less than 50% ☐ D - 50% but less than 75% ☐ E - 75% or more |
NFA Identification No. | 472020 |
CRD No. | |
IARD No. | |
For individuals not presently registered through NFA, CRD or lARD, describe prior investment-related experience (e.g., for each prior position- employer, job title, and dates of service): |
Schedule A Record: 15 |
Prefix | |
Individuals: Last Name | MAHER |
Individuals: First Name | MARY |
Individuals: Middle Name | |
Suffix | |
Title or Status | DIRECTOR |
Date Title or Status Acquired(MM/YYYY) | 04/2021 |
Date Individual began working for applicant (MM/YYYY) | 04/2021 |
Does person have an ownership interest in the applicant | ☒ Yes ☐ No |
If yes, include ownership code | ☒ NA - less than 5% ☐ A - 5% but less than 10% ☐ B - 10% but less than 25% ☐ C - 25% but less than 50% ☐ D - 50% but less than 75% ☐ E - 75% or more |
NFA Identification No. | 538501 |
CRD No. | |
IARD No. | |
For individuals not presently registered through NFA, CRD or lARD, describe prior investment-related experience (e.g., for each prior position- employer, job title, and dates of service): |
Schedule A Record: 16 |
Prefix | |
Individuals: Last Name | CALDWELL |
Individuals: First Name | NANCI |
Individuals: Middle Name | |
Suffix | |
Title or Status | DIRECTOR |
Date Title or Status Acquired(MM/YYYY) | 01/2016 |
Date Individual began working for applicant (MM/YYYY) | 01/2016 |
Does person have an ownership interest in the applicant | ☒ Yes ☐ No |
If yes, include ownership code | ☒ NA - less than 5% ☐ A - 5% but less than 10% ☐ B - 10% but less than 25% ☐ C - 25% but less than 50% ☐ D - 50% but less than 75% ☐ E - 75% or more |
NFA Identification No. | 492384 |
CRD No. | |
IARD No. | |
For individuals not presently registered through NFA, CRD or lARD, describe prior investment-related experience (e.g., for each prior position- employer, job title, and dates of service): |
Schedule A Record: 17 |
Prefix | |
Individuals: Last Name | DANIEL |
Individuals: First Name | PATRICK |
Individuals: Middle Name | |
Suffix | |
Title or Status | DIRECTOR |
Date Title or Status Acquired(MM/YYYY) | 12/2012 |
Date Individual began working for applicant (MM/YYYY) | 12/2012 |
Does person have an ownership interest in the applicant | ☒ Yes ☐ No |
If yes, include ownership code | ☒ NA - less than 5% ☐ A - 5% but less than 10% ☐ B - 10% but less than 25% ☐ C - 25% but less than 50% ☐ D - 50% but less than 75% ☐ E - 75% or more |
NFA Identification No. | 448712 |
CRD No. | |
IARD No. | |
For individuals not presently registered through NFA, CRD or lARD, describe prior investment-related experience (e.g., for each prior position- employer, job title, and dates of service): |
Schedule A Record: 18 |
Prefix | |
Individuals: Last Name | ALJOUNDI |
Individuals: First Name | AMMAR |
Individuals: Middle Name | |
Suffix | |
Title or Status | DIRECTOR |
Date Title or Status Acquired(MM/YYYY) | 04/2022 |
Date Individual began working for applicant (MM/YYYY) | 04/2022 |
Does person have an ownership interest in the applicant | ☐ Yes ☒ No |
NFA Identification No. | 547686 |
CRD No. | |
IARD No. | |
For individuals not presently registered through NFA, CRD or lARD, describe prior investment-related experience (e.g., for each prior position- employer, job title, and dates of service): |
Schedule A Record: 19 |
Prefix | |
Individuals: Last Name | MORNEAU |
Individuals: First Name | WILLIAM |
Individuals: Middle Name | FRANCIS |
Suffix | |
Title or Status | DIRECTOR |
Date Title or Status Acquired(MM/YYYY) | 11/2022 |
Date Individual began working for applicant (MM/YYYY) | 11/2022 |
Does person have an ownership interest in the applicant | ☐ Yes ☒ No |
NFA Identification No. | 437625 |
CRD No. | |
IARD No. | |
For individuals not presently registered through NFA, CRD or lARD, describe prior investment-related experience (e.g., for each prior position- employer, job title, and dates of service): |
FORM SBSE-A
Application for Registration as a Security-based Swap Dealer
and Major Security-based Swap Participant that is Registered
or Registering with the CFTC as a Swap Dealer or Major Swap Participant
Applicant Name:
CANADIAN IMPERIAL BANK OF COMMERCE /CAN/
Date:
Applicant NFA No.:
225050
Use this Schedule B to report details for items listed below. Report only new information or changes/updates to previously submitted details. Do not repeat previously submitted information.
This is an INITIAL / AMENDED detail filing for the Form SBSE-A items checked below: | ☒ Initial ☐ Amended |
UIC (if any), or other Unique Identification Number(s): | 0010 |
Assigning Regulator(s)/Entity(s): | Office of the Superintendent of Financial Institutions |
Briefly describe any other financial services industry-related, non-securities business in which the applicant is engaged: | Canadian Imperial Bank of Commerce is a leading North American financial institution operating across Personal and Business Banking, Commercial Banking and Wealth Management, and Capital Markets businesses, with 44,000 employees the Bank provides a full range of financial products and services to 10 million personal banking, business, public sector and institutional clients in globally. Business units include Canadian Personal and Business Banking, Canadian Commercial Banking and Wealth Management, U.S. Commercial Banking and Wealth Management, and Capital Markets. |
UIC (if any), or other Unique Identification Number(s): | |
Assigning Regulator(s)/Entity(s): | Canada Deposit Insurance Corporation (CDIC) |
Briefly describe any other financial services industry-related, non-securities business in which the applicant is engaged: | Canadian Imperial Bank of Commerce is a leading North American financial institution operating across Personal and Business Banking, Commercial Banking and Wealth Management, and Capital Markets businesses, with 44,000 employees the Bank provides a full range of financial products and services to 10 million personal banking, business, public sector and institutional clients in globally. Business units include Canadian Personal and Business Banking, Canadian Commercial Banking and Wealth Management, U.S. Commercial Banking and Wealth Management, and Capital Markets. |
(Check one) | ☐ Item 13A ☒ Item 13B ☐ Item 14 ☐ Item 15 |
Applicant must complete a separate Schedule B Page 1 for each affirmative response in this section including any multiple responses to any item. Complete the "Effective Date" box with the Month, Day and Year that the arrangement or agreement became effective. When reporting a change or termination of an arrangement, enter the effective date of the change.
Firm or Individual? | ☐ Firm ☐ Individual |
Briefly describe the nature of the arrangement with respect to books or records (ITEM 13A); the nature of the execution, trading, custody, clearing or settlement arrangement (ITEM 13B); the nature of the control or agreement (ITEM 14); or the method and amount of financing (ITEM 15). |
(Check one) | ☐ Item 13A ☒ Item 13B ☐ Item 14 ☐ Item 15 |
Applicant must complete a separate Schedule B Page 1 for each affirmative response in this section including any multiple responses to any item. Complete the "Effective Date" box with the Month, Day and Year that the arrangement or agreement became effective. When reporting a change or termination of an arrangement, enter the effective date of the change.
Firm or Individual? | ☐ Firm ☐ Individual |
Briefly describe the nature of the arrangement with respect to books or records (ITEM 13A); the nature of the execution, trading, custody, clearing or settlement arrangement (ITEM 13B); the nature of the control or agreement (ITEM 14); or the method and amount of financing (ITEM 15). |
FORM SBSE-A
Application for Registration as a Security-based Swap Dealer
and Major Security-based Swap Participant that is Registered
or Registering with the CFTC as a Swap Dealer or Major Swap Participant
Applicant Name:
CANADIAN IMPERIAL BANK OF COMMERCE /CAN/
Date:
Applicant NFA No.:
225050
Each nonresident security-based swap dealer and non-resident security-based swap participant shall use Schedule F to identify
its United States agent for service of process and the certify that it can as a matter of law, and will -
(3) provide the Commission with prompt access to its books and records, and
(4) submit to onsite inspection and examination by the Commission.
Name | Canadian Imperial Bank of Commerce, New York Branch |
Street Address 1 | 300 MADISON AVENUE |
Street Address 2 | |
City | NEW YORK |
State |
NEW YORK
|
Zip/Postal Code | 10017 |
The above identified agent for service of process may be served any process, pleadings, subpoenas, or other papers in
(a) any investigation or administrative proceeding conducted by the Commission that relates to the applicant or about which the
applicant may have information; and
(b) any civil or criminal suit or action or proceeding brought against the applicant or to which the applicant has been joined as
defendant or respondent, in any appropriate court in any place subject to the jurisdiction of any state or of the United States or of
any of its territories or possessions or of the District of Columbia, to enforce the Exchange Act. The applicant has stipulated and
agreed that any such suit, action or administrative proceeding may be commenced by the service of process upon, and that
service of an administrative subpoena shall be effected by service upon the above-named Agent for Service of Process, and that
service as aforesaid shall be taken and held in all courts and administrative tribunals to be valid and binding as if personal
service thereof had been made.
Applicant can as a matter of law, and will;
(3) provide the Commission with prompt access to its books and records, and
(4) submit to onsite inspection and examination by the Commission.
Applicant must attach to this Form SBSE a copy of the opinion of counsel it is required to obtain in accordance with
paragraph (c)(2) or (c)(3) of Exchange Act Rule 15Fb2-4, as appropriate [paragraphs (c)(2) or (c)(3) of 17 CFR
240. 15Fb2-4].
Signature: | Ron Hoover |
Name: | Ron Hoover |
Title: | MD & Head of Regulatory Change Management |
Date: | 10-29-2021 |
Complete this Section for Registration with Foreign Financial Regulatory Authorities relating to ITEM 17. Each security based swap dealer and major security-based swap participant that is registered with a foreign financial regulatory authority must list on Section II of this Schedule F, for each foreign financial regulatory authority with which it is registered, the following information:
English Name of Foreign Financial Regulatory Authority | Office of the Superintendent of Financial Institutions |
Foreign Registration No. (if any) | 0010 |
English Name of Country: |
CANADA (FEDERAL LEVEL)
|
English Name of Foreign Financial Regulatory Authority | Monetary Authority of Singapore |
Foreign Registration No. (if any) | |
English Name of Country: |
SINGAPORE
|
English Name of Foreign Financial Regulatory Authority | China Banking and Insurance Regulatory Commission |
Foreign Registration No. (if any) | |
English Name of Country: |
CHINA
|
English Name of Foreign Financial Regulatory Authority | Hong Kong Monetary Authority (HKMA) |
Foreign Registration No. (if any) | |
English Name of Country: |
HONG KONG
|
English Name of Foreign Financial Regulatory Authority | Australian Prudential Regulation Authority (APRA) |
Foreign Registration No. (if any) | |
English Name of Country: |
AUSTRALIA
|
English Name of Foreign Financial Regulatory Authority | Canada Deposit Insurance Corporation (CDIC) |
Foreign Registration No. (if any) | |
English Name of Country: |
CANADA (FEDERAL LEVEL)
|
English Name of Foreign Financial Regulatory Authority | Financial Transactions and Reports Analysis Centre of Canada (FINTRAC) |
Foreign Registration No. (if any) | |
English Name of Country: |
CANADA (FEDERAL LEVEL)
|
English Name of Foreign Financial Regulatory Authority | Financial Consumer Agency of Canada (FCAC) |
Foreign Registration No. (if any) | |
English Name of Country: |
CANADA (FEDERAL LEVEL)
|
English Name of Foreign Financial Regulatory Authority | Financial Conduct Authority (FCA) |
Foreign Registration No. (if any) | |
English Name of Country: |
UNITED KINGDOM
|
English Name of Foreign Financial Regulatory Authority | Prudential Regulation Authority (PRA) |
Foreign Registration No. (if any) | |
English Name of Country: |
UNITED KINGDOM
|
If applicant has more than 3 Foreign Financial Regulatory Authorities to report, complete additional Schedule F Page 1s.
1 Year Canadian Imperial Bank (PK) Chart |
1 Month Canadian Imperial Bank (PK) Chart |
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