Franklin Resources
CM icon

Franklin Resources’s Canadian Imperial Bank of Commerce CM Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$85.1M Buy
1,198,266
+58,893
+5% +$4.18M 0.02% 459
2025
Q1
$64.1M Buy
1,139,373
+161,212
+16% +$9.07M 0.02% 529
2024
Q4
$61.8M Buy
978,161
+97,323
+11% +$6.15M 0.02% 546
2024
Q3
$54.6M Buy
880,838
+37,419
+4% +$2.32M 0.02% 569
2024
Q2
$40.1M Buy
843,419
+105,927
+14% +$5.04M 0.01% 617
2024
Q1
$37.4M Buy
737,492
+88,403
+14% +$4.48M 0.01% 665
2023
Q4
$31.3M Sell
649,089
-851,892
-57% -$41M 0.01% 642
2023
Q3
$57.9M Sell
1,500,981
-4,085
-0.3% -$158K 0.03% 454
2023
Q2
$64.2M Buy
1,505,066
+64,882
+5% +$2.77M 0.03% 458
2023
Q1
$61.1M Buy
1,440,184
+45,670
+3% +$1.94M 0.03% 472
2022
Q4
$56.4M Sell
1,394,514
-387,658
-22% -$15.7M 0.03% 497
2022
Q3
$77.9M Sell
1,782,172
-32,550
-2% -$1.42M 0.04% 423
2022
Q2
$88.1M Buy
1,814,722
+974,169
+116% +$47.3M 0.04% 414
2022
Q1
$102M Sell
840,553
-206,890
-20% -$25.1M 0.04% 429
2021
Q4
$122M Sell
1,047,443
-109,682
-9% -$12.8M 0.04% 414
2021
Q3
$129M Buy
1,157,125
+12,062
+1% +$1.34M 0.05% 399
2021
Q2
$130M Sell
1,145,063
-39,050
-3% -$4.44M 0.05% 397
2021
Q1
$116M Sell
1,184,113
-54,986
-4% -$5.38M 0.05% 399
2020
Q4
$106M Sell
1,239,099
-74,338
-6% -$6.35M 0.04% 412
2020
Q3
$98.1M Sell
1,313,437
-49,755
-4% -$3.72M 0.05% 391
2020
Q2
$94.2M Sell
1,363,192
-322,605
-19% -$22.3M 0.05% 388
2020
Q1
$98M Sell
1,685,797
-1,152,174
-41% -$67M 0.07% 300
2019
Q4
$236M Sell
2,837,971
-183,226
-6% -$15.3M 0.12% 208
2019
Q3
$250M Buy
3,021,197
+102,171
+4% +$8.44M 0.14% 190
2019
Q2
$230M Sell
2,919,026
-1,042,263
-26% -$82M 0.12% 206
2019
Q1
$313M Sell
3,961,289
-64,899
-2% -$5.13M 0.17% 159
2018
Q4
$300M Sell
4,026,188
-106,953
-3% -$7.97M 0.18% 158
2018
Q3
$387M Sell
4,133,141
-341,626
-8% -$32M 0.19% 144
2018
Q2
$389M Sell
4,474,767
-184,579
-4% -$16.1M 0.2% 132
2018
Q1
$411M Sell
4,659,346
-609,537
-12% -$53.7M 0.21% 131
2017
Q4
$514M Sell
5,268,883
-92,595
-2% -$9.03M 0.25% 111
2017
Q3
$469M Buy
5,361,478
+74,364
+1% +$6.51M 0.23% 118
2017
Q2
$430M Sell
5,287,114
-34,182
-0.6% -$2.78M 0.21% 124
2017
Q1
$459M Sell
5,321,296
-69,985
-1% -$6.03M 0.23% 123
2016
Q4
$440M Buy
5,391,281
+64,083
+1% +$5.23M 0.23% 123
2016
Q3
$412M Sell
5,327,198
-143,369
-3% -$11.1M 0.22% 123
2016
Q2
$411M Sell
5,470,567
-1,584,139
-22% -$119M 0.22% 123
2016
Q1
$527M Sell
7,054,706
-507,483
-7% -$37.9M 0.28% 102
2015
Q4
$498M Buy
7,562,189
+253,094
+3% +$16.7M 0.25% 110
2015
Q3
$525M Sell
7,309,095
-412,486
-5% -$29.6M 0.26% 107
2015
Q2
$569M Sell
7,721,581
-436,919
-5% -$32.2M 0.26% 102
2015
Q1
$592M Buy
8,158,500
+634,311
+8% +$46M 0.27% 99
2014
Q4
$647M Buy
7,524,189
+98,413
+1% +$8.46M 0.29% 90
2014
Q3
$667M Sell
7,425,776
-136,371
-2% -$12.3M 0.3% 93
2014
Q2
$689M Buy
7,562,147
+389,086
+5% +$35.4M 0.3% 92
2014
Q1
$618M Buy
7,173,061
+106,357
+2% +$9.16M 0.29% 95
2013
Q4
$604M Buy
7,066,704
+506,362
+8% +$43.2M 0.3% 96
2013
Q3
$523M Buy
6,560,342
+506,158
+8% +$40.3M 0.28% 102
2013
Q2
$430M Buy
+6,054,184
New +$430M 0.25% 114