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Canadian Western Bank (CWB-PB.TO)

Toronto - Toronto Real Time Price. Currency in CAD
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21.88+0.17 (+0.78%)
At close: 04:00PM EDT
Full screen
Previous Close21.71
Open21.85
Bid21.77 x 0
Ask21.89 x 0
Day's Range21.75 - 21.88
52 Week Range16.50 - 22.25
Volume1,700
Avg. Volume12,410
Market Cap3.057B
Beta (5Y Monthly)1.54
PE Ratio (TTM)5.78
EPS (TTM)N/A
Earnings DateN/A
Forward Dividend & Yield1.08 (4.91%)
Ex-Dividend DateJul 24, 2024
1y Target EstN/A
  • CNW Group

    CWB declares dividends in May 2024

    Canadian Western Bank (CWB) today announced that its Board of Directors has declared a quarterly cash dividend of $0.35 per common share (TSX: CWB), payable on June 20, 2024, to shareholders of record on June 6, 2024. This quarterly dividend is up one cent, or 3%, from last quarter and up two cents, or 6%, from the dividend declared one year ago. The Board of Directors also declared quarterly cash dividends for preferred shares of $0.3981875 per Series 5 and $0.4781875 per Series 9, payable on J

  • CNW Group

    CWB reports second quarter 2024 performance

    CWB Financial Group (TSX: CWB) (CWB) announced financial performance for the three and six months ended April 30, 2024, with quarterly common shareholders' net income of $76 million and adjusted earnings per common share(1) (EPS) of $0.81 both up 9% from the prior year. Pre-tax, pre-provision income(1) increased by 15% from the prior year, which reflected strong revenue growth from the expansion of our net interest margin(1) and our continued measures to contain expense growth to drive positive

  • CNW Group

    CWB to redeem Series F NVCC subordinated debentures

    Canadian Western Bank (CWB) today announced its intention to redeem all outstanding $250 million 3.668% Series F Subordinated Debentures (Non-Viability Contingent Capital (NVCC)) due June 11, 2024 for 100 per cent of their principal amount plus accrued interest to, but excluding, the redemption date. The redemption will occur on June 11, 2024. Formal notice will be delivered to the Debenture holders in accordance with the terms and conditions set forth in the related trust indenture.