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Canadian Imperial Bank of Commerce (CM)

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  • 109.520
  • +0.970+0.89%
Close Apr 24 15:59 ET
  • 109.520
  • 0.0000.00%
Post 20:01 ET
100.80BMarket Cap15.65P/E (TTM)

Canadian Imperial Bank of Commerce (CM) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Jan 31, 2026
(FY)Oct 31, 2025
(Q4)Oct 31, 2025
(Q3)Jul 31, 2025
(Q2)Apr 30, 2025
(Q1)Jan 31, 2025
(FY)Oct 31, 2024
(Q4)Oct 31, 2024
(Q3)Jul 31, 2024
(Q2)Apr 30, 2024
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-118.93%-2.15B
24.80%13.84B
-409.13%-4.29B
-52.31%5.86B
-73.45%914M
398.74%11.36B
-8.77%11.09B
-106.96%-843M
289.21%12.29B
-46.22%3.44B
Net income from continuing operations
42.79%3.1B
18.17%8.45B
15.83%2.18B
16.77%2.1B
14.75%2.01B
25.64%2.17B
41.97%7.15B
26.73%1.88B
25.35%1.8B
3.55%1.75B
Operating gains losses
-156.25%-41M
127.27%12M
120.00%11M
933.33%25M
74.19%-8M
-6.67%-16M
48.84%-44M
133.33%5M
88.89%-3M
8.82%-31M
Depreciation and amortization
5.24%301M
0.68%1.18B
12.11%324M
-9.46%287M
-2.43%281M
3.62%286M
2.36%1.17B
-6.77%289M
15.69%317M
2.13%288M
Deferred tax
75.61%144M
-5.33%-257M
40.39%-121M
-581.82%-150M
-17.24%-68M
110.26%82M
-190.48%-244M
-583.33%-203M
64.52%-22M
-128.16%-58M
Other non cashItems
178.82%387M
99.12%-16M
-1.55%-262M
142.51%457M
39.30%280M
28.84%-491M
-200.00%-1.82B
-244.13%-258M
-167.95%-1.08B
20,000.00%201M
Change in working capital
-175.69%-6.62B
-26.32%2.11B
-135.86%-7.04B
-76.05%2.58B
-382.09%-2.19B
252.78%8.75B
24.38%2.86B
-131.22%-2.98B
203.43%10.79B
-79.67%776M
-Change in receivables
-4.57%188M
106.19%44M
-64.60%-372M
516.98%327M
77.26%-108M
412.70%197M
44.10%-711M
57.20%-226M
-50.93%53M
15.78%-475M
-Change in payables and accrued expense
28.40%-300M
-317.48%-983M
111.11%20M
-124.62%-292M
-151.68%-292M
-312.69%-419M
-82.07%452M
-137.97%-180M
-132.02%-130M
-37.57%565M
-Change in loans
15.35%5.73B
-74.58%-16.47B
-37.54%-24.58B
-28.05%6.68B
67.51%-3.53B
-50.44%4.96B
40.88%-9.43B
-241.03%-17.87B
1,050.99%9.28B
-46.12%-10.86B
-Change in other working capital
-405.42%-12.24B
55.48%19.51B
17.00%17.89B
-359.33%-4.13B
-84.94%1.74B
125.23%4.01B
-26.19%12.55B
2.96%15.29B
113.54%1.59B
5.83%11.54B
Cash from discontinued operating activities
Operating cash flow
-118.93%-2.15B
24.80%13.84B
-409.13%-4.29B
-52.31%5.86B
-73.45%914M
398.74%11.36B
-8.77%11.09B
-106.96%-843M
289.21%12.29B
-46.22%3.44B
Investing cash flow
Cash flow from continuing investing activities
136.03%1.98B
72.17%-5.78B
32.46%-718M
111.14%1.04B
64.42%-592M
36.57%-5.51B
0.06%-20.75B
75.57%-1.06B
-676.00%-9.34B
72.51%-1.66B
Net investment purchase and sale
141.97%2.23B
76.27%-4.67B
50.75%-330M
114.59%1.32B
76.17%-346M
37.29%-5.31B
0.44%-19.66B
83.50%-670M
-838.72%-9.07B
75.02%-1.45B
Net PPE purchase and sale
-27.46%-246M
-1.84%-1.11B
1.27%-388M
-2.55%-282M
-16.04%-246M
7.66%-193M
-7.40%-1.09B
-35.52%-393M
-15.55%-275M
11.67%-212M
Cash from discontinued investing activities
Investing cash flow
136.03%1.98B
72.17%-5.78B
32.46%-718M
111.14%1.04B
64.42%-592M
36.57%-5.51B
0.06%-20.75B
75.57%-1.06B
-676.00%-9.34B
72.51%-1.66B
Financing cash flow
Cash flow from continuing financing activities
-13.74%-1.13B
-65.21%-4.31B
-40.74%-1.76B
-16.97%-1.84B
162.64%280M
-251.75%-997M
-20.89%-2.61B
-105.10%-1.25B
-156.61%-1.57B
66.47%-447M
Net issuance payments of debt
46.67%-72M
-129.98%-128M
7.50%-74M
-75.12%-1.08B
1,584.62%1.16B
-111.25%-135M
627.16%427M
2.44%-80M
-632.14%-615M
90.64%-78M
Net commonstock issuance
-275.41%-916M
-1,313.51%-1.57B
-21.31%-353M
-908.20%-493M
-848.44%-479M
-543.64%-244M
-160.66%-111M
-719.15%-291M
45.24%61M
39.13%64M
Net preferred stock issuance
148.33%966M
6,600.00%1.41B
---304M
576.32%724M
245.66%598M
--389M
--21M
--0
---152M
--173M
Cash dividends paid
-9.28%-1.1B
-35.49%-3.99B
-16.10%-1.02B
-13.73%-986M
-63.04%-988M
-67.56%-1B
-30.34%-2.95B
-52.88%-876M
-51.84%-867M
-10.99%-606M
Net other financing activities
-240.00%-17M
---29M
---7M
---8M
---9M
---5M
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
-13.74%-1.13B
-65.21%-4.31B
-40.74%-1.76B
-16.97%-1.84B
162.64%280M
-251.75%-997M
-20.89%-2.61B
-105.10%-1.25B
-156.61%-1.57B
66.47%-447M
Net cash flow
Beginning cash position
44.53%12.38B
-58.85%8.57B
63.48%19.1B
36.04%14.01B
51.85%13.53B
-58.85%8.57B
-33.99%20.82B
-13.74%11.68B
-53.06%10.3B
-61.05%8.91B
Current changes in cash
-126.79%-1.3B
130.56%3.75B
-114.56%-6.77B
268.68%5.06B
-54.80%602M
141.03%4.85B
-13.98%-12.27B
-144.12%-3.15B
116.52%1.37B
235.37%1.33B
Effect of exchange rate changes
-172.57%-82M
186.36%63M
26.47%43M
133.33%28M
-312.28%-121M
239.51%113M
-55.10%22M
-72.58%34M
114.29%12M
16.33%57M
End cash position
-18.72%11B
44.53%12.38B
44.53%12.38B
63.48%19.1B
36.04%14.01B
51.85%13.53B
-58.85%8.57B
-58.85%8.57B
-13.74%11.68B
-53.06%10.3B
Free cash flow
-121.47%-2.4B
27.30%12.73B
-278.64%-4.68B
-53.56%5.58B
-79.33%668M
378.35%11.16B
-10.24%10B
-110.46%-1.24B
278.43%12.01B
-47.57%3.23B
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Jan 31, 2026(FY)Oct 31, 2025(Q4)Oct 31, 2025(Q3)Jul 31, 2025(Q2)Apr 30, 2025(Q1)Jan 31, 2025(FY)Oct 31, 2024(Q4)Oct 31, 2024(Q3)Jul 31, 2024(Q2)Apr 30, 2024
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -118.93%-2.15B24.80%13.84B-409.13%-4.29B-52.31%5.86B-73.45%914M398.74%11.36B-8.77%11.09B-106.96%-843M289.21%12.29B-46.22%3.44B
Net income from continuing operations 42.79%3.1B18.17%8.45B15.83%2.18B16.77%2.1B14.75%2.01B25.64%2.17B41.97%7.15B26.73%1.88B25.35%1.8B3.55%1.75B
Operating gains losses -156.25%-41M127.27%12M120.00%11M933.33%25M74.19%-8M-6.67%-16M48.84%-44M133.33%5M88.89%-3M8.82%-31M
Depreciation and amortization 5.24%301M0.68%1.18B12.11%324M-9.46%287M-2.43%281M3.62%286M2.36%1.17B-6.77%289M15.69%317M2.13%288M
Deferred tax 75.61%144M-5.33%-257M40.39%-121M-581.82%-150M-17.24%-68M110.26%82M-190.48%-244M-583.33%-203M64.52%-22M-128.16%-58M
Other non cashItems 178.82%387M99.12%-16M-1.55%-262M142.51%457M39.30%280M28.84%-491M-200.00%-1.82B-244.13%-258M-167.95%-1.08B20,000.00%201M
Change in working capital -175.69%-6.62B-26.32%2.11B-135.86%-7.04B-76.05%2.58B-382.09%-2.19B252.78%8.75B24.38%2.86B-131.22%-2.98B203.43%10.79B-79.67%776M
-Change in receivables -4.57%188M106.19%44M-64.60%-372M516.98%327M77.26%-108M412.70%197M44.10%-711M57.20%-226M-50.93%53M15.78%-475M
-Change in payables and accrued expense 28.40%-300M-317.48%-983M111.11%20M-124.62%-292M-151.68%-292M-312.69%-419M-82.07%452M-137.97%-180M-132.02%-130M-37.57%565M
-Change in loans 15.35%5.73B-74.58%-16.47B-37.54%-24.58B-28.05%6.68B67.51%-3.53B-50.44%4.96B40.88%-9.43B-241.03%-17.87B1,050.99%9.28B-46.12%-10.86B
-Change in other working capital -405.42%-12.24B55.48%19.51B17.00%17.89B-359.33%-4.13B-84.94%1.74B125.23%4.01B-26.19%12.55B2.96%15.29B113.54%1.59B5.83%11.54B
Cash from discontinued operating activities
Operating cash flow -118.93%-2.15B24.80%13.84B-409.13%-4.29B-52.31%5.86B-73.45%914M398.74%11.36B-8.77%11.09B-106.96%-843M289.21%12.29B-46.22%3.44B
Investing cash flow
Cash flow from continuing investing activities 136.03%1.98B72.17%-5.78B32.46%-718M111.14%1.04B64.42%-592M36.57%-5.51B0.06%-20.75B75.57%-1.06B-676.00%-9.34B72.51%-1.66B
Net investment purchase and sale 141.97%2.23B76.27%-4.67B50.75%-330M114.59%1.32B76.17%-346M37.29%-5.31B0.44%-19.66B83.50%-670M-838.72%-9.07B75.02%-1.45B
Net PPE purchase and sale -27.46%-246M-1.84%-1.11B1.27%-388M-2.55%-282M-16.04%-246M7.66%-193M-7.40%-1.09B-35.52%-393M-15.55%-275M11.67%-212M
Cash from discontinued investing activities
Investing cash flow 136.03%1.98B72.17%-5.78B32.46%-718M111.14%1.04B64.42%-592M36.57%-5.51B0.06%-20.75B75.57%-1.06B-676.00%-9.34B72.51%-1.66B
Financing cash flow
Cash flow from continuing financing activities -13.74%-1.13B-65.21%-4.31B-40.74%-1.76B-16.97%-1.84B162.64%280M-251.75%-997M-20.89%-2.61B-105.10%-1.25B-156.61%-1.57B66.47%-447M
Net issuance payments of debt 46.67%-72M-129.98%-128M7.50%-74M-75.12%-1.08B1,584.62%1.16B-111.25%-135M627.16%427M2.44%-80M-632.14%-615M90.64%-78M
Net commonstock issuance -275.41%-916M-1,313.51%-1.57B-21.31%-353M-908.20%-493M-848.44%-479M-543.64%-244M-160.66%-111M-719.15%-291M45.24%61M39.13%64M
Net preferred stock issuance 148.33%966M6,600.00%1.41B---304M576.32%724M245.66%598M--389M--21M--0---152M--173M
Cash dividends paid -9.28%-1.1B-35.49%-3.99B-16.10%-1.02B-13.73%-986M-63.04%-988M-67.56%-1B-30.34%-2.95B-52.88%-876M-51.84%-867M-10.99%-606M
Net other financing activities -240.00%-17M---29M---7M---8M---9M---5M----------------
Cash from discontinued financing activities
Financing cash flow -13.74%-1.13B-65.21%-4.31B-40.74%-1.76B-16.97%-1.84B162.64%280M-251.75%-997M-20.89%-2.61B-105.10%-1.25B-156.61%-1.57B66.47%-447M
Net cash flow
Beginning cash position 44.53%12.38B-58.85%8.57B63.48%19.1B36.04%14.01B51.85%13.53B-58.85%8.57B-33.99%20.82B-13.74%11.68B-53.06%10.3B-61.05%8.91B
Current changes in cash -126.79%-1.3B130.56%3.75B-114.56%-6.77B268.68%5.06B-54.80%602M141.03%4.85B-13.98%-12.27B-144.12%-3.15B116.52%1.37B235.37%1.33B
Effect of exchange rate changes -172.57%-82M186.36%63M26.47%43M133.33%28M-312.28%-121M239.51%113M-55.10%22M-72.58%34M114.29%12M16.33%57M
End cash position -18.72%11B44.53%12.38B44.53%12.38B63.48%19.1B36.04%14.01B51.85%13.53B-58.85%8.57B-58.85%8.57B-13.74%11.68B-53.06%10.3B
Free cash flow -121.47%-2.4B27.30%12.73B-278.64%-4.68B-53.56%5.58B-79.33%668M378.35%11.16B-10.24%10B-110.46%-1.24B278.43%12.01B-47.57%3.23B
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------
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