1 day+1.75%
1 week+1.75%
Current month+7.41%
1 month+7.41%
3 months+13.17%
6 months+52.27%
Current year+51.72%
1 week 11.6
Extreme 11.6
11.6
1 month 11.2
Extreme 11.2
11.6
Current year 6.95
Extreme 6.95
11.6
1 year 4.74
Extreme 4.736363
11.6
3 years 0.55
Extreme 0.545454
11.6
5 years 0.55
Extreme 0.545454
11.6
10 years 0.27
Extreme 0.272727
11.6
Manager TitleAgeSince
Chief Executive Officer - 2014-01-30
Director of Finance/CFO - -
Corporate Officer/Principal - -
Director TitleAgeSince
Director/Board Member - 2014-01-30
Director/Board Member - 2014-02-09
Director/Board Member - -
Date Insider Type Main position Quantity % Market Cap.
1/8/20 Tax

Director

8,421 1.0290%
Change 5-day change 1-year change 3-year change Capi.($)
+1.75%+1.75%+138.95%+874.05% 7.2M
+1.89%+4.74%+1.97%+70.04% 183B
-0.37%+1.02%+36.50%+114.03% 164B
-0.42%+2.16%+59.21%+252.64% 110B
+0.71%+1.85%+3.35%+103.96% 103B
+2.44%+4.47%-9.60%+64.54% 89.12B
-0.14%+2.67%+70.27%+157.67% 52.15B
+0.99%+1.94%+12.06%+65.69% 50.41B
-1.17%-3.17%-31.95%+45.74% 37.6B
-0.44%+3.44%+51.21%+138.37% 34.85B
Average +0.52%+1.94%+33.20%+188.67% 82.42B
Weighted average by Cap. +0.62%+2.56%+20.88%+113.88%
Logo New Commerce Split Fund
New Commerce Split Corp. (the Fund) invests primarily in common shares of Canadian Imperial Bank of Commerce. It offers three types of shares, a Capital share (YCM), a Class I Preferred (YCM.PR.A) and a Class II Preferred (YCM.PR.B). Capital shares (YCM) will participate in any net asset value growth over $10.00 per unit and dividends will be reinstated when the net asset value per unit exceeds $15.00. Each Class I Preferred share (YCM.PR.A) pays fixed cumulative preferential monthly cash dividends in the amount of $0.025 per Class I Preferred share to yield 6.00% per annum on the Class I Preferred share repayment amount of $5.00. Each Class II Preferred share (YCM.PR.B) pays fixed cumulative preferential monthly cash dividends in the amount of $0.03125 per Class II Preferred share to yield 7.50% per annum on the Class II Preferred share repayment amount of $5.00, when the net asset value per unit exceeds $10.00. The investment manager of the Fund is Quadravest Capital Management Inc.
Employees
-
Date Price Change Volume
26-08-12 $11.60 +1.75% 100