CM Performance & Benchmarks - 46.2% in 12m
The Total Return for 3m is 16.1%, for 6m 9.9% and YTD 11.7%. Compare with Peer-Group: Diversified Banks
Performance Rating
76.98%
#41 in Peer-Group
Rel. Strength
84.56%
#1185 in Stock-Universe
Total Return 12m
46.18%
#23 in Peer-Group
Total Return 5y
180.72%
#40 in Peer-Group
P/E | Value |
---|---|
P/E Trailing | 12.6 |
P/E Forward | 11.6 |
High / Low | CAD |
---|---|
52 Week High | 101.52 CAD |
52 Week Low | 65.29 CAD |
Sentiment | Value |
---|---|
VRO Trend Strength +-100 | 36.34 |
Buy/Sell Signal +-5 | -1.20 |
Support / Resistance | Levels |
---|---|
Support | |
Resistance |
12m Total Return: CM (46.2%) vs XLF (22%)

5y Drawdown (Underwater) Chart

Top Performer in Diversified Banks
Short Term Performance
Symbol | 1w | 1m | 3m |
---|---|---|---|
CM | -1.58% | 2.79% | 16.1% |
WF | -3.76% | 7.46% | 48.0% |
C | -0.19% | 12.6% | 40.2% |
SHG | -1.17% | 8.85% | 40.6% |
Long Term Performance
Symbol | 6m | 12m | 5y |
---|---|---|---|
CM | 9.93% | 46.2% | 181% |
WF | 72.1% | 64.0% | 256% |
ABN | 62.3% | 69.5% | 411% |
SAN | 70.9% | 85.7% | 396% |
Overall best picks of Peer Group - Selected by proven GARP Predictive Metrics, sorted by Growth Rating
Symbol | 1m | 12m | 5y | P/E | P/E Forward | PEG | EPS Stability | EPS CAGR |
---|---|---|---|---|---|---|---|---|
NWG NYSE Natwest |
-0.49% | 56.4% | 529% | 8.74 | 8.78 | 0.55 | 70.0% | 12.8% |
JYSK CO Jyske Bank |
2.26% | 20.1% | 247% | 8.1 | 7.64 | 0.86 | 69.6% | 24.9% |
SMFG NYSE Sumitomo Mitsui Financial |
1.59% | 16.5% | 248% | 12 | 10.2 | 1.29 | -3.0% | -43.9% |
MFG NYSE Mizuho Financial |
5.94% | 41.9% | 195% | 12.6 | 11 | 1.65 | -1.70% | -42.5% |
BCY XETRA Barclays |
10% | 61.5% | 342% | 10 | 8.76 | 1.54 | 17.0% | 32.6% |
BMO TO Bank of Montreal |
3.06% | 40.9% | 167% | 14.6 | 12 | 1.22 | -89.8% | -7.45% |
WFC NYSE Wells Fargo |
2.07% | 39.6% | 277% | 14.4 | 14.7 | 1.93 | 71.3% | 21.4% |
KBC BR KBC Groep |
5.34% | 35.6% | 150% | 10.7 | 11.4 | 0.85 | -0.60% | -10.4% |
Performance Comparison: CM vs XLF vs S&P 500
XLF (Financial Sector SPDR Fund ETF) is the Sector Benchmark for CM
Total Return (including Dividends) | CM | XLF | S&P 500 |
---|---|---|---|
1 Month | 2.79% | 0.63% | 2.69% |
3 Months | 16.08% | 8.65% | 14.80% |
12 Months | 46.18% | 21.99% | 18.52% |
5 Years | 180.72% | 139.38% | 107.25% |
Trend Stabilty (consistency of price movement) | CM | XLF | S&P 500 |
---|---|---|---|
1 Month | 74.6% | 35% | 91.2% |
3 Months | 95% | 84.1% | 97.5% |
12 Months | 68.9% | 78.1% | 49.7% |
5 Years | 66.9% | 75% | 84% |
Relative Strength (compared with Indexes) | Rank in Peer Group | vs. XLF | vs. S&P 500 |
---|---|---|---|
1 Month | 50 %th | 2.15% | 0.10% |
3 Month | 51 %th | 6.83% | 1.11% |
12 Month | 72 %th | 19.83% | 23.34% |
5 Years | 46 %th | 16.78% | 35.97% |
FAQs
Does Canadian Imperial Bank (CM) outperform the market?
Yes,
over the last 12 months CM made 46.18%, while its related Sector, the Financial Sector SPDR Fund (XLF) made 21.99%.
Over the last 3 months CM made 16.08%, while XLF made 8.65%.
Performance Comparison CM vs Indeces and Sectors
Above 0 means better perfomance compared to Symbol in this Timeframe
CM vs. Indices
Symbol | 1w | 1m | 6m | 12m | |
---|---|---|---|---|---|
US S&P 500 | SPY | -1.6% | 0.1% | 4.4% | 28% |
US NASDAQ 100 | QQQ | -2.3% | -0.2% | 1.1% | 21% |
German DAX 40 | DAX | -1.8% | 1.3% | -1.3% | 15% |
Shanghai Shenzhen CSI 300 | CSI 300 | -0.9% | -2.2% | 0.2% | 21% |
Hongkong Hang Seng | HSI | -2.2% | -2.7% | -18.1% | 3% |
India NIFTY 50 | INDA | 2.1% | 8.1% | 6.5% | 53% |
Brasil Bovespa | EWZ | 0.6% | 9.6% | 2% | 42% |
CM vs. Sectors
Symbol | 1w | 1m | 6m | 12m | |
---|---|---|---|---|---|
Communication Services | XLC | 0.3% | 4.7% | 5% | 19% |
Consumer Discretionary | XLY | -0.1% | 0.1% | 13.8% | 24% |
Consumer Staples | XLP | -0.1% | 3.4% | 7.8% | 40% |
Energy | XLE | -2.6% | -0.6% | 11.1% | 49% |
Financial | XLF | -0.8% | 2.2% | 7.4% | 24% |
Health Care | XLV | -0.1% | 3.2% | 18.1% | 55% |
Industrial | XLI | -0.5% | -0.3% | 0.2% | 24% |
Materials | XLB | 2.1% | 1.6% | 9.6% | 47% |
Real Estate | XLRE | 0% | 1% | 6.8% | 41% |
Technology | XLK | -3.3% | -1.7% | -4.5% | 19% |
Utilities | XLU | -2.5% | -1.6% | -0.4% | 24% |
Aerospace & Defense | XAR | -0.5% | -0.9% | -15% | -2% |
Biotech | XBI | 0.7% | -1.2% | 17.7% | 59% |
Homebuilder | XHB | 2.9% | -1.6% | 16.7% | 58% |
Retail | XRT | 2.7% | -0.2% | 12.2% | 43% |
CM vs. Commodities
Symbol | 1w | 1m | 6m | 12m | |
---|---|---|---|---|---|
Oil | USO | -9.2% | -8.06% | 5.70% | 37% |
Natural Gas | UNG | 1.1% | 15.4% | 27.2% | 51% |
Gold | GLD | 2% | 4.1% | -6.7% | 11% |
Silver | SLV | 4.5% | 0.7% | -6.8% | 16% |
Copper | CPER | 20.2% | 13.5% | 6% | 36% |
CM vs. Bonds
Symbol | 1w | 1m | 6m | 12m | |
---|---|---|---|---|---|
iShares 20+ Years Bond | TLT | -2.5% | 4% | 9.5% | 50% |
iShares High Yield Corp. Bond | HYG | -1.3% | 2.7% | 6.5% | 37% |