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CIBC Asset Management announces CIBC ETF cash distributions for May 2026

TORONTO , May 25, 2026 /CNW/ - CIBC (TSX: CM ) (NYSE: CM ) – CIBC Asset Management Inc. today announced the May 2026 cash distributions for CIBC ETFs and ETF Series of the CIBC Fixed Income Pools and CIBC Sustainable Investment Solutions. Unitholders of record on May 29, 2026, will receive cash distributions payable on June 3, 2026. Details of the final "per unit" distribution amounts are as follows: CIBC ETF Ticker Symbols Exchange Cash Distribution Per Unit ($) CIBC Active Investment Grade Floating Rate Bond ETF CFRN TSX $0.050 CIBC Active Investment Grade Corporate Bond ETF CACB TSX $0.073 CIBC Flexible Yield ETF (CAD-Hedged) CFLX TSX $0.079 CIBC Conservative Fixed Income Pool - ETF Series CCNS TSX $0.061 CIBC Core Fixed Income Pool - ETF Series CCRE TSX $0.067 CIBC Core Plus Fixed Income Pool - ETF Series CPLS TSX $0.073 CIBC Canadian Bond Index ETF CCBI TSX $0.050 CIBC Global Bond ex-Canada Index ETF (CAD-Hedged) CGBI TSX $0.044 CIBC Sustainable Canadian Core Plus Bond Fund - ETF Series CSCP CBOE $0.054 CIBC Qx Canadian Low ... Full story available on Benzinga.com

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