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Preferred Shareholder Information

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Series 5 Series 7 Series 9

Series 5

Series 5 - Information
Stock Exchange Listing
The Toronto Stock Exchange
Ticker Symbol: CWB.PR.B
CUSIP Number: 136765500

Short Form Base Self Prospectus
Prospectus Supplement

Shares Outstanding
As at August 18, 2022, there were 5,000,000 Series 5 preferred shares outstanding.
 
Credit Ratings
Click here for CWB’s credit ratings 
Series 5 - Dividends and Dates
Fiscal Year Declaration Date Record Date Payment Date Dividend Declared
2022  Aug 25, 2022 Oct 20, 2022  Oct 31, 2022  $0.2688125 
 May 26, 2022 Jul 22, 2022 Jul 31, 2022   $0.2688125 
 Feb 24, 2022 Apr 22, 2022   Apr 30, 2022  $0.2688125
Dec 2, 2021 Jan 21, 2022 Jan 31, 2022 $0.2688125
Fiscal Year Declaration Date Record Date Payment Date Dividend Declared
2021  Aug 26, 2021  Oct 22, 2021 Oct 31, 2021  $0.2688125
 May 27, 2021 Jul 23, 2021  Jul 31, 2021   $0.2688125  
 Feb 25, 2021 Apr 23, 2021   Apr 30, 2021 $0.2688125  
Dec 3, 2020   Jan 22, 2021 Jan 31, 2021  $0.2688125 
Fiscal Year Declaration Date Record Date Payment Date Dividend Declared
2020 Aug 27, 2020  Oct 23, 2020  Oct 30, 2020  $0.2688125 
 May 28, 2020 Jul 24, 2020 Jul 31, 2020 $0.2688125
 Feb 26, 2020 Apr 23, 2020   Apr 30, 2020 $0.2688125 
Dec 4, 2019 Jan 24, 2020 Jan 31, 2020 $0.2688125
Fiscal Year Declaration Date Record Date Payment Date Dividend Declared
2019 Aug 28, 2019 Oct 24, 2019 Oct 31, 2019 $0.2688125
May 28, 2019 Jul 24, 2019 Jul 31, 2019 $0.2688125
Mar 6, 2019 Apr 23, 2019 Apr 30, 2019 $0.275
Dec 5, 2018 Jan 22, 2019 Jan 31, 2019 $0.275
Fiscal Year Declaration Date Record Date Payment Date Dividend Declared
2018 Aug 29, 2018 Oct 22, 2018 Oct 31, 2018 $0.275
Jun 6, 2018 Jul 23, 2018 Jul 31, 2018

$0.275

Mar 7, 2018 Apr 23, 2018 Apr 30, 2018 $0.275
Dec 6, 2017 Jan 19, 2018 Jan 31, 2018 $0.275
Fiscal Year Declaration Date Record Date Payment Date Dividend Declared
2017 Aug 30, 2017 Oct 20, 2017 Oct 31, 2017 $0.275
May 31,2017 Jul 21, 2017 Jul 31, 2017

$0.275

Mar 1, 2017 Apr 21, 2017 Apr 30, 2017 $0.275
Nov 30, 2016 Jan 20, 2017 Jan 31, 2017 $0.275
Fiscal Year Declaration Date Record Date Payment Date Dividend Declared
2016 Aug 31, 2016 Oct 20, 2016 Oct 31, 2016 $0.275
Jun 1,2016 Jul 21, 2016 Jul 31, 2016

$0.275

Mar 2, 2016 Apr 21, 2016 Apr 30, 2016 $0.275
Dec 2, 2015 Jan 22, 2016 Jan 31, 2016 $0.275
Fiscal Year Declaration Date Record Date Payment Date Dividend Declared
2015 Sep 3, 2015 Oct 21, 2015 Oct 31, 2015 $0.275
Jun 4,2015 Jul 23, 2015 Jul 31, 2015

$0.275

Mar 4, 2015 Apr 23, 2015 Apr 30, 2015 $0.275
Dec 3, 2014 Jan 23, 2015 Jan 31, 2015 $0.275
Fiscal Year Declaration Date Record Date Payment Date Dividend Declared
2014 Aug 27, 2014 Oct 24, 2015 Oct 31, 2015 $0.275
Jun 4,2014 Jul 24, 2015 Jul 31, 2015

$0.275

Mar 5, 2014 Apr 23, 2015 Apr 30, 2015 $0.2381
       


Series 7

Series 7 - Information
Stock Exchange Listing
The Toronto Stock Exchange
Ticker Symbol: CWB.PR.C
CUSIP Number: 136765708

Prospectus Supplement
Shares Outstanding
On July 31, 2021, we redeemed all 5,600,000 outstanding Series 7 Preferred Shares at a redemption price of $25.00 per share for an aggregate total of $140 million.

Series 7 - Dividends and Dates   
**On July 31, 2021, we redeemed all 5,600,000 outstanding Series 7 Preferred Shares at a redemption price of $25.00 per share for an aggregate total of $140 million.

 

Fiscal Year Declaration Date Record Date Payment Date Dividend Declared
2021  May 27, 2021 Jul 23, 2021   Jul 31, 2021  $0.390625  
 Feb 25, 2021 Apr 23, 2021   Apr 30, 2021  $0.390625 
 Dec 3, 2020  Jan 22, 2021 Jan 31, 2021  $0.390625 
Fiscal Year Declaration Date Record Date Payment Date Dividend Declared
2020 Aug 27, 2020  Oct 23, 2020  Oct 30, 2020  $0.390625
 May 28, 2020  Jul 24, 2020 Jul 31, 2020 $0.390625 
 Feb 26, 2020  Apr 23, 2020  Apr 30, 2020 $0.390625 
Dec 4, 2019 Jan 24, 2020 Jan 31, 2020 $0.390625
Fiscal Year Declaration Date Record Date Payment Date Dividend Declared
2019 Aug 28, 2019 Oct 24, 2019 Oct 31, 2019 $0.390625
May 28, 2019 Jul 24, 2019 Jul 31, 2019 $0.390625
Mar 6, 2019 Apr 23, 2019 Apr 30, 2019 $0.390625
Dec 5, 2018 Jan 22, 2019 Jan 31, 2019 $0.390625
Fiscal Year Declaration Date Record Date Payment Date Dividend Declared
2018 Aug 29, 2018 Oct 22, 2018 Oct 31, 2018 $0.390625
Jun 6,2018 Jul 23, 2018 Jul 31, 2018

$0.390625

Mar 7, 2018 Apr 23, 2018 Apr 30, 2018 $0.390625
Dec 6, 2017 Jan 19, 2018 Jan 31, 2018 $0.39065
Fiscal Year Declaration Date Record Date Payment Date Dividend Declared
2017 Aug 30, 2017 Oct 20, 2017 Oct 31, 2017 $0.390625
May 31,2017 Jul 21, 2017 Jul 31, 2017

$0.390625

Mar 1, 2017 Apr 21, 2017 Apr 30, 2017 $0.390625
Nov 30, 2016 Jan 20, 2017 Jan 31, 2017 $0.390625
Fiscal Year Declaration Date Record Date Payment Date Dividend Declared
2016 Aug 31, 2016 Oct 20, 2016 Oct 31, 2016 $0.390625
Jun 1,2016 Jul 21, 2016 Jul 31, 2016

$0.5223

       
       

Series 9

Series 9 - Information   
Stock Exchange Listing

The Toronto Stock Exchange 
Ticker Symbol: CWB.PR.D
CUSIP Number: 136765880
 
Short Form Base Self Prospectus 
Prospectus Supplement 

Shares Outstanding 

As at August 18, 2022, there were 5,000,000 Series 9 preferred shares outstanding.

Credit Ratings
Click here for CWB’s credit ratings
Series 9 - Dividends and Dates 
Fiscal Year Declaration Date Record Date Payment Date Dividend Declared
2022 Aug 25, 2022  Oct 20, 2022  Oct 31,  2022 $0.375 
May 26, 2022  Jul 22, 2022  Jul 31, 2022     $0.375 
 Feb 24, 2022  Apr 22, 2022  Apr 30, 2022 $0.375 
Dec 2, 2021 Jan 21, 2022 Jan 31 2022 $0.375
Fiscal Year Declaration Date Record Date Payment Date Dividend Declared
2021 Aug 26, 2021   Oct 22, 2021  Oct 31, 2021  $0.375
 May 27, 2021 Jul 23, 2021   Jul 31, 2021  $0.375 
Feb 25, 2021  Apr 23, 2021  Apr 30, 2021  $0.375 
Dec 3, 2020  Jan 22, 2021  Jan 31, 2021  $0.375 
Fiscal Year Declaration Date Record Date Payment Date Dividend Declared
2020 Aug 27, 2020  Oct 23, 2020  Oct 30, 2020  $0.375 
 May 28, 2020 Jul 24, 2020 Jul 31, 2020 $0.375
Feb 26, 2020 Apr 23, 2020   Apr 30, 2020 $0.375 
Dec 4, 2019 Jan 24, 2020 Jan 31, 2020 $0.375
Fiscal Year Declaration Date Record Date Payment Date Dividend Declared
2019 Aug 28, 2019 Oct 24, 2019 Oct 31, 2019 $0.375
May 28, 2019 Jul 24, 2019 Jul 31, 2019 $0.375
Mar 6, 2019 Apr 23, 2019 Apr 30, 2019 $0.3832
       

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