| Type |
Form D Funds |
Date |
Sold ($M) |
AUM ($M) |
| Other |
Axiom All Equity Portfolio |
2025-01-29
|
|
12.7 |
| Other |
Axiom Balanced Growth Portfolio |
2025-01-29
|
|
187.1 |
| Other |
Axiom Balanced Income Portfolio |
2025-01-29
|
|
73.5 |
| Other |
Axiom Canadian Growth Portfolio |
2025-01-29
|
|
9.3 |
| Other |
Axiom Diversified Monthly Income Portfolio |
2025-01-29
|
|
83.6 |
| Other |
Axiom Foreign Growth Portfolio |
2025-01-29
|
|
11.4 |
| Other |
Axiom Global Growth Portfolio |
2025-01-29
|
|
62.3 |
| Other |
Axiom Long-Term Growth Portfolio |
2025-01-29
|
|
69.9 |
| LF |
Balanced Income Portfolio T5 |
2025-01-29
|
|
876.4 |
| Other |
CIBC 2025 Investment Grade Bond Fund |
2025-01-29
|
|
1,744.0 |
| Other |
CIBC 2026 Investment Grade Bond Fund |
2025-01-29
|
|
1,090.2 |
| LF |
CIBC 2027 Investment Grade Bond Fund |
2025-01-29
|
|
413.3 |
| Other |
CIBC Asia Pacific Fund |
2025-01-29
|
|
241.1 |
| Other |
CIBC Asia Pacific Index Fund |
2025-01-29
|
|
36.1 |
| Other |
CIBC Balanced ETF Portfolio |
2025-01-29
|
|
79.0 |
| Other |
CIBC Balanced Fund |
2025-01-29
|
|
279.6 |
| LF |
CIBC Balanced Growth ETF Portfolio |
2025-01-29
|
|
134.6 |
| Other |
CIBC Balanced Index Fund |
2025-01-29
|
|
3,711.7 |
| Other |
CIBC Canadian Bond Fund |
2025-01-29
|
|
4,683.7 |
| Other |
CIBC Canadian Bond Index Fund |
2025-01-29
|
|
1,492.9 |
| Other |
CIBC Canadian Equity Fund |
2025-01-29
|
|
854.2 |
| Other |
CIBC Canadian Equity Private Pool |
2025-01-29
|
|
598.4 |
| Other |
CIBC Canadian Equity Value Fund |
2025-01-29
|
|
957.9 |
| Other |
CIBC Canadian Fixed Income Private Pool |
2025-01-29
|
|
435.5 |
| Other |
CIBC Canadian Index Fund |
2025-01-29
|
|
2,332.7 |
| Other |
CIBC Canadian Real Estate Fund |
2025-01-29
|
|
39.6 |
| Other |
CIBC Canadian Resources Fund |
2025-01-29
|
|
25.0 |
| Other |
CIBC Canadian Short-Term Bond Index Fund |
2025-01-29
|
|
950.1 |
| Other |
CIBC Canadian Small-Cap Fund |
2025-01-29
|
|
141.6 |
| LF |
CIBC Canadian T-Bill Fund |
2025-01-29
|
|
0.0 |
| Other |
CIBC Conservative ETF Portfolio |
2025-01-29
|
|
61.6 |
| Other |
CIBC Core Fixed Income Pool |
2025-01-29
|
|
664.0 |
| Other |
CIBC Core Plus Fixed Income Pool |
2025-01-29
|
|
615.5 |
| Other |
CIBC Diversified Fixed Income Fund |
2025-01-29
|
|
395.8 |
| Other |
CIBC Dividend Growth Fund |
2025-01-29
|
|
834.6 |
| Other |
CIBC Dividend Income Fund |
2025-01-29
|
|
217.8 |
| Other |
CIBC Emerging Markets Equity Private Pool |
2025-01-29
|
|
283.9 |
| Other |
CIBC Emerging Markets Fund |
2025-01-29
|
|
965.6 |
| Other |
CIBC Emerging Markets Index Fund |
2025-01-29
|
|
162.1 |
| Other |
CIBC Energy Fund |
2025-01-29
|
|
64.7 |
| Other |
CIBC European Equity Fund |
2025-01-29
|
|
442.5 |
| Other |
CIBC European Index Fund |
2025-01-29
|
|
71.6 |
| Other |
CIBC Financial Companies Fund |
2025-01-29
|
|
174.3 |
| Other |
CIBC Global Bond Fund |
2025-01-29
|
|
799.6 |
| Other |
CIBC Global Bond Index Fund |
2025-01-29
|
|
94.4 |
| Other |
CIBC Global Bond Private Pool |
2025-01-29
|
|
553.2 |
| Other |
CIBC Global Equity Fund |
2025-01-29
|
|
50.8 |
| Other |
CIBC Global Growth Balanced Fund |
2025-01-29
|
|
87.0 |
| Other |
CIBC Global Monthly Income Fund |
2025-01-29
|
|
543.7 |
| Other |
CIBC Global Technology Fund |
2025-01-29
|
|
497.4 |
| Other |
CIBC International Equity Fund |
2025-01-29
|
|
2,208.6 |
| Other |
CIBC International Equity Private Pool |
2025-01-29
|
|
379.5 |
| Other |
CIBC International Index Fund |
2025-01-29
|
|
1,438.0 |
| Other |
CIBC International Small Companies Fund |
2025-01-29
|
|
24.1 |
| Other |
CIBC Managed Aggressive Growth Portfolio |
2025-01-29
|
|
412.9 |
| Other |
CIBC Managed Balanced Growth Portfolio |
2025-01-29
|
|
1,975.9 |
| Other |
CIBC Managed Balanced Portfolio |
2025-01-29
|
|
2,843.3 |
| Other |
CIBC Managed Growth Portfolio |
2025-01-29
|
|
878.2 |
| Other |
CIBC Managed Income Plus Portfolio |
2025-01-29
|
|
1,480.9 |
| Other |
CIBC Managed Income Portfolio |
2025-01-29
|
|
1,627.2 |
| Other |
CIBC Managed Monthly Income Balanced Portfolio |
2025-01-29
|
|
465.6 |
| Other |
CIBC Monthly Income Fund |
2025-01-29
|
|
4,286.3 |
| Other |
CIBC Nasdaq Index Fund |
2025-01-29
|
|
3,463.1 |
| Other |
CIBC Precious Metals Fund |
2025-01-29
|
|
61.3 |
| Other |
CIBC Real Assets Private Pool |
2025-01-29
|
|
506.3 |
| Other |
CIBC Short-Term Income Fund |
2025-01-29
|
|
765.5 |
| Other |
CIBC Smart Balanced Growth Solution |
2025-01-29
|
|
3,558.5 |
| Other |
CIBC Smart Balanced Income Solution |
2025-01-29
|
|
3,407.3 |
| Other |
CIBC Smart Balanced Solution |
2025-01-29
|
|
6,202.0 |
| Other |
CIBC Smart Growth Solution |
2025-01-29
|
|
2,140.9 |
| Other |
CIBC Smart Income Solution |
2025-01-29
|
|
1,598.3 |
| Other |
CIBC Sustainable Balanced Growth Solution |
2025-01-29
|
|
15.8 |
| Other |
CIBC US Broad Market Index Fund |
2025-01-29
|
|
2,420.8 |
| Other |
CIBC US Dollar Managed Balanced Portfolio |
2025-01-29
|
|
280.7 |
| Other |
CIBC US Dollar Managed Growth Portfolio |
2025-01-29
|
|
54.1 |
| Other |
CIBC US Dollar Managed Income Portfolio |
2025-01-29
|
|
200.4 |
| Other |
CIBC US Dollar Money Market Fund |
2025-01-29
|
|
1,478.9 |
| Other |
CIBC US Equity Fund |
2025-01-29
|
|
2,660.4 |
| Other |
CIBC US Equity Growth Currency Neutral Fund |
2025-01-29
|
|
29.2 |
| Other |
CIBC US Equity Private Pool |
2025-01-29
|
|
569.1 |
| Other |
CIBC US Index Fund |
2025-01-29
|
|
4,925.2 |
| Other |
CIBC US Small Companies Fund |
2025-01-29
|
|
721.5 |
| Other |
Enhanced Income Portfolio T5 |
2025-01-29
|
|
216.1 |
| Other |
Enhanced Income Portfolio T6 |
2025-01-29
|
|
827.7 |
| Other |
Imperial Canadian Bond Pool |
2025-01-29
|
|
12,530.7 |
| Other |
Imperial Canadian Dividend Income Pool |
2025-01-29
|
|
8,792.8 |
| Other |
Imperial Canadian Equity Pool |
2025-01-29
|
|
4,923.4 |
| Other |
Imperial Emerging Economies Pool |
2025-01-29
|
|
1,837.1 |
| Other |
Imperial Equity High Income Pool |
2025-01-29
|
|
1,125.4 |
| Other |
Imperial Global Equity Income Pool |
2025-01-29
|
|
2,460.6 |
| Other |
Imperial International Bond Pool |
2025-01-29
|
|
2,829.4 |
| Other |
Imperial International Equity Pool |
2025-01-29
|
|
5,800.3 |
| Other |
Imperial Short-Term Bond Pool |
2025-01-29
|
|
6,919.0 |
| Other |
Imperial US Equity Pool |
2025-01-29
|
|
10,475.9 |
| LF |
Renaissance Canadian All-Cap Equity Fund |
2025-01-29
|
|
330.7 |
| Other |
Renaissance Canadian Balanced Fund |
2025-01-29
|
|
114.3 |
| Other |
Renaissance Canadian Bond Fund |
2025-01-29
|
|
1,063.1 |
| Other |
Renaissance Canadian Core Value Fund |
2025-01-29
|
|
59.6 |
| Other |
Renaissance Canadian Dividend Fund |
2025-01-29
|
|
352.9 |
| Other |
Renaissance Canadian Growth Fund |
2025-01-29
|
|
1,506.9 |
| Other |
Renaissance Canadian Monthly Income Fund |
2025-01-29
|
|
40.4 |
| Other |
Renaissance Canadian Small Cap |
2025-01-29
|
|
70.7 |
| Other |
Renaissance China Plus Fund |
2025-01-29
|
|
25.3 |
| Other |
Renaissance Corporate Bond Fund |
2025-01-29
|
|
5,016.1 |
| Other |
Renaissance Diversified Income Fund |
2025-01-29
|
|
30.9 |
| Other |
Renaissance Emerging Markets Fund |
2025-01-29
|
|
10.9 |
| Other |
Renaissance Flexible Yield Fund |
2025-01-29
|
|
1,183.9 |
| Other |
Renaissance Floating Rate Income Fund |
2025-01-29
|
|
1,551.9 |
| Other |
Renaissance Global Bond Fund |
2025-01-29
|
|
49.9 |
| Other |
Renaissance Global Focus Fund |
2025-01-29
|
|
35.8 |
| Other |
Renaissance Global Growth Currency Neutral |
2025-01-29
|
|
291.3 |
| Other |
Renaissance Global Growth Fund |
2025-01-29
|
|
4,619.5 |
| Other |
Renaissance Global Health Care Fund |
2025-01-29
|
|
729.5 |
| Other |
Renaissance Global Infrastructure Currency Neutral Fund |
2025-01-29
|
|
120.4 |
| Other |
Renaissance Global Infrastructure Fund |
2025-01-29
|
|
1,193.0 |
| Other |
Renaissance Global Markets Fund |
2025-01-29
|
|
53.4 |
| Other |
Renaissance Global Real Estate Fund |
2025-01-29
|
|
90.3 |
| Other |
Renaissance Global Science and Technology Fund |
2025-01-29
|
|
384.2 |
| Other |
Renaissance Global Small-Cap Fund |
2025-01-29
|
|
747.1 |
| Other |
Renaissance High Income Fund |
2025-01-29
|
|
442.1 |
| Other |
Renaissance International Dividend Fund |
2025-01-29
|
|
64.4 |
| Other |
Renaissance International Equity Currency Neutral Fund |
2025-01-29
|
|
64.5 |
| Other |
Renaissance International Equity Fund |
2025-01-29
|
|
1,854.3 |
| Other |
Renaissance Optimal Conservative Income Portfolio |
2025-01-29
|
|
50.6 |
| Other |
Renaissance Optimal Global Equity Portfolio |
2025-01-29
|
|
31.5 |
| Other |
Renaissance Optimal Growth & Income Portfolio |
2025-01-29
|
|
298.3 |
| Other |
Renaissance Optimal Income Portfolio |
2025-01-29
|
|
1,239.9 |
| Other |
Renaissance Optimal Inflation Opportunities Portfolio Fund |
2025-01-29
|
|
11.9 |
| Other |
Renaissance Short-Term Income Fund |
2025-01-29
|
|
246.8 |
| Other |
Renaissance US Dollar Corporate Bond Fund |
2025-01-29
|
|
276.0 |
| Other |
Renaissance US Equity Fund |
2025-01-29
|
|
54.8 |
| Other |
Renaissance US Equity Growth Fund |
2025-01-29
|
|
666.8 |
| Other |
Renaissance US Equity Income Fund |
2025-01-29
|
|
1,473.0 |
| Other |
Renaissance US Equity Value Fund |
2025-01-29
|
|
151.2 |
| Other |
Renaissance US Money Market Fund |
2025-01-29
|
|
186.2 |
| Other |
Rennaissance High Yield Bond Fund |
2025-01-29
|
|
6.6 |
| HF |
CIBC Canadian Small-Cap Fund |
2021-12-14
|
|
131.8 |
| HF |
CIBC Emerging Markets Index Fund |
2021-12-14
|
|
146.6 |
| HF |
CIBC International Index Fund |
2021-12-14
|
|
997.2 |
| HF |
Renaissance Global Growth Fund |
2021-12-14
|
|
2,872.6 |
| HF |
Renaissance Real Assets Private Pool |
2021-12-14
|
|
375.9 |
| Other |
CIBC Multi-Asset Absolute Return Strategy |
2021-09-30
|
|
564.0 |
| HF |
Imperial Overseas Equity Pool |
2021-09-30
|
|
241.2 |
| HF |
Renaissance Canadian All Cap Equity Fund |
2021-09-30
|
|
206.9 |
| HF |
Renaissance Global Real Estate Fund |
2021-09-30
|
|
362.7 |
| HF |
Renaissance Global Science & Technology Fund |
2021-09-30
|
|
242.6 |
| HF |
Renaissance High Yield Bond Fund |
2021-09-30
|
|
767.0 |
| HF |
Renaissance International Equity Fund |
2021-09-30
|
|
1,361.7 |
| HF |
Renaissance US Equity Growth Fund |
2021-09-30
|
|
338.6 |
| HF |
CIBC Asia Pacific Fund |
2021-08-27
|
|
115.1 |
| HF |
CIBC Balanced Fund |
2021-08-27
|
|
283.3 |
| HF |
CIBC Balanced Index Fund |
2021-08-27
|
|
1,852.6 |
| HF |
CIBC Canadian Bond Fund |
2021-08-27
|
|
3,428.2 |
| HF |
CIBC Canadian Bond Index Fund |
2021-08-27
|
|
1,771.3 |
| HF |
CIBC Canadian Equity Fund |
2021-08-27
|
|
528.1 |
| HF |
CIBC Canadian Equity Value Fund |
2021-08-27
|
|
804.3 |
| HF |
CIBC Canadian Index Fund |
2021-08-27
|
|
1,097.9 |
| HF |
CIBC Canadian Short-Term Bond Index Fund |
2021-08-27
|
|
2,466.2 |
| HF |
CIBC Dividend Growth Fund |
2021-08-27
|
|
609.5 |
| HF |
CIBC Emerging Markets Fund |
2021-08-27
|
|
508.8 |
| HF |
CIBC European Equity Fund |
2021-08-27
|
|
301.9 |
| HF |
CIBC European Index Fund |
2021-08-27
|
|
69.5 |
| HF |
CIBC Financial Companies Fund |
2021-08-27
|
|
14.4 |
| HF |
CIBC Global Bond Fund |
2021-08-27
|
|
643.2 |
| HF |
CIBC Global Bond Index Fund |
2021-08-27
|
|
230.1 |
| HF |
CIBC Global Equity Fund |
2021-08-27
|
|
48.8 |
| HF |
CIBC Global Technology Fund |
2021-08-27
|
|
111.1 |
| HF |
CIBC International Small Companies Fund |
2021-08-27
|
|
32.2 |
| HF |
CIBC Managed Balanced Portfolio |
2021-08-27
|
|
329.2 |
| HF |
CIBC Managed Growth Portfolio |
2021-08-27
|
|
1,795.3 |
| HF |
CIBC Managed Income Plus Portfolio |
2021-08-27
|
|
2,575.7 |
| HF |
CIBC Managed Income Portfolio |
2021-08-27
|
|
73.9 |
| HF |
CIBC MGD Aggressive Grwth Portfolio |
2021-08-27
|
|
1,517.2 |
| HF |
CIBC MGD Balanced Growth Portfolio |
2021-08-27
|
|
1,852.0 |
| HF |
CIBC MGD Mthly Income Balanced Portfolio |
2021-08-27
|
|
455.0 |
| Other |
CIBC Money Market Fund |
2021-08-27
|
|
3,241.1 |
| HF |
CIBC Monthly Income Fund |
2021-08-27
|
|
3,672.5 |
| HF |
CIBC Precious Metals Fund |
2021-08-27
|
|
46.6 |
| HF |
CIBC Short-Term Income Fund |
2021-08-27
|
|
584.2 |
| HF |
CIBC US Broad Market Index Fund |
2021-08-27
|
|
2,106.7 |
| HF |
CIBC US Small Companies Fund |
2021-08-27
|
|
44.6 |
| HF |
Imperial Canadian Bond Pool |
2021-08-27
|
|
11,310.2 |
| HF |
Imperial Canadian Diversified Income Pool |
2021-08-27
|
|
691.3 |
| HF |
Imperial Canadian Dividend Income Pool |
2021-08-27
|
|
7,808.2 |
| HF |
Imperial Canadian Equity Pool |
2021-08-27
|
|
3,619.3 |
| HF |
Imperial Emerging Economies Pool |
2021-08-27
|
|
806.3 |
| HF |
Imperial Equity High Income Pool |
2021-08-27
|
|
793.6 |
| HF |
Imperial Global Equity Income Pool |
2021-08-27
|
|
3,161.4 |
| HF |
Imperial International Bond Pool |
2021-08-27
|
|
1,711.5 |
| HF |
Imperial International Equity Pool |
2021-08-27
|
|
5,311.4 |
| Other |
Imperial Money Market Pool |
2021-08-27
|
|
1,372.0 |
| HF |
Imperial Short-Term Bond Pool |
2021-08-27
|
|
7,813.0 |
| HF |
Imperial US Equity Pool |
2021-08-27
|
|
6,308.2 |
| HF |
Renaissance Canadian Bond Fund |
2021-08-27
|
|
700.5 |
| HF |
Renaissance Canadian Core Value Fund |
2021-08-27
|
|
55.4 |
| HF |
Renaissance Corporate Bond Fund |
2021-08-27
|
|
4,704.7 |
| HF |
Renaissance Diversified Income Fund |
2021-08-27
|
|
24.5 |
| HF |
Renaissance Flexible Yield Fund |
2021-08-27
|
|
982.3 |
| HF |
Renaissance Floating Rate Income Fund |
2021-08-27
|
|
509.5 |
| HF |
Renaissance Global Health Care Fund |
2021-08-27
|
|
704.3 |
| HF |
Renaissance Global Infrastructure Fund |
2021-08-27
|
|
921.4 |
| HF |
Renaissance Global Markets Fund |
2021-08-27
|
|
58.5 |
| HF |
Renaissance Global Small-Cap Fund |
2021-08-27
|
|
60.4 |
| HF |
Renaissance High Income Fund |
2021-08-27
|
|
225.4 |
| Other |
Renaissance Money Market Fund |
2021-08-27
|
|
82.2 |
| HF |
Renaissance Optimal Income Portfolio |
2021-08-27
|
|
1,512.5 |
| HF |
Renaissance US Dollar Corporate Bond Fund |
2021-08-27
|
|
311.7 |
| HF |
Renaissance US Equity Income Fund |
2021-08-27
|
|
1,805.2 |
| LF |
Renaissance US Money Market Fund |
2021-08-27
|
|
127.8 |