CSCB CIBC CIBC Sustainable Conservative Balanced Solution – ETF Series

Asset allocation CAD
Price: $20.27
YTD: 2.80%
MER: 0.80%

Data as of: June 29, 2026

MER
0.80%
Management Fee
Yield
1.78%
Distribution Yield
Price
$20.27
Current Price
Holdings
5
Total Securities
Inception
Jul 2021
Fund Launch

About CSCB

CSCB (CIBC Sustainable Conservative Balanced Solution – ETF Series) is an Asset allocation ETF from CIBC, listed on the TSX. The fund has a management expense ratio (MER) of 0.80%. CIBC rates the risk as low to medium.

Fund Details

Provider CIBC
Category Asset allocation
AUM $10.8M
Exchange TSX
Currency CAD
Distribution Frequency
Last Distribution
Domicile Canada

Cumulative Returns

Period Return
1 Month 2.50%
3 Months 1.10%
6 Months 1.60%
YTD 2.80%
1 Year 8.00%
3 Years
5 Years
10 Years
Since Inception

Annualized Returns

Period Return
1 Year 8.00%
2 Years 9.10%
3 Years 8.10%
5 Years
10 Years
Since Inception 3.20%

Annualized returns represent the average annual return over the period.

Calendar Year Returns

2026 2025 2024 2023 2022
2.80% 6.70% 10.10% 8.30% -13.40%

Performance as of: May 31, 2026

Growth of $10,000

Compare with other ETFs
Initial Investment
$
Monthly Contribution
$

TWR = Time-Weighted Return (measures fund performance). MWRR = Money-Weighted Return (measures your personal return including contribution timing). Past performance does not guarantee future results.

Top Holdings

Latest data
# Name Ticker Weight
1
C
CIBC Sustainable Canadian Cor…
Other
59.69%
2
C
CIBC Sustainable Global Equit…
Other
30.09%
3
C
CIBC Sustainable Canadian Equ…
Other
10.13%
4
C
Cash & Cash Equivalents
Cash
0.35%
5
O
Other Assets, Less Liabilities
Other
-0.26%

Geographic Allocation

1
Canada 63.2%
2
United States 25.4%
3
Japan 1.7%
4
France 1.6%
5
United Kingdom 1.4%
6
Switzerland 1.2%
7
Ireland 0.7%
8
Germany 0.7%
9
Netherlands 0.7%
10
Finland 0.6%

Sector Allocation

1
Technology 26.6%
2
Financial Services 24.6%
3
Industrials 11.9%
4
Healthcare 8.9%
5
Communication Services 7.8%
6
Consumer Cyclical 7.7%
7
Basic Materials 6.2%
8
Consumer Defensive 6.1%
9
Real Estate 0.2%