CIBC PRIVATE WEALTH ADVISORS, INC.

CIBC PRIVATE WEALTH ADVISORS, INC. of CHICAGO, IL is an SEC-registered investment adviser (CRD 109644). Regulatory assets under management: $67.8B.

Registration

Business model

Compensation: % of AUM, Fixed.

Clients served: Individuals, High net worth, Pooled vehicles, Charities, Investment cos, Other.

Officers, owners & control persons (60)

Showing 25 of 60 people.

NameRoleLocation
David CrossDIRECTORVANCOUVER, A1
Gary PzegeoCHIEF INVESTMENT OFFICER; CO-CHIEF INVESTMENT OFFICERBoston, MA
Thomas ScottDIRECTOR; DIRECTOR, CHIEF EXECUTIVE OFFICER & CHIEF INVESTMENT OFFICER; DIRECTOR & CHIEF INVESTMENT OFFICERMiami, FL
Thomas M ScottDIRECTOR; DIRECTOR, CHIEF EXECUTIVE OFFICER & CHIEF INVESTMENT OFFICER; DIRECTOR & CHIEF INVESTMENT OFFICERLos Angeles, CA
Thomas E ScottDIRECTOR; DIRECTOR, CHIEF EXECUTIVE OFFICER & CHIEF INVESTMENT OFFICER; DIRECTOR & CHIEF INVESTMENT OFFICERMiami, FL
Henderson S EricELECTED MANAGERColumbus, OH
John Sheehan MarkwalterCHAIRMAN OF THE BOARD, CHIEF EXECUTIVE OFFICER
Gregory Brent CampbellGENERAL COUNSEL & ASST SECRETARY, DIRECTOR
Philip Wayne CecilSECRETARY
Paul CareyCHIEF FINANCIAL OFFICER
Diana Kifarkis VasquezDIRECTOR
Kishore SettyPRESIDENT
Brian DelmanCHIEF COMPLIANCE OFFICERNew York City, NY
Trevor C ChambersDIRECTOR
Daniel Eric FeldmanDIRECTOR
David Lazarus DonabedianCO-CHIEF INVESTMENT OFFICER
Kevin J BurnsDIRECTOR
WARD CLINTON LOUISCHIEF COMPLIANCE OFFICER
BROWN JAMES ROBERTCHIEF FINANCIAL OFFICER
BURNS RONALD JDIRECTOR
ANTUNES MARY ELIZABETHCHIEF COMPLIANCE OFFICER
LOVELL JEFFREY DALEELECTED MANAGER
NEWCOM JENNINGS JAYELECTED MANAGER
MCKENNA KEVIN JDIRECTOR
RIEGEL JOYCE BARBARACHIEF COMPLIANCE OFFICER AND VICE PRESIDENT

Disclosures (85)

InitiatedTypeAllegationsStatusAmount
2024-09-24regulatoryON SEPTEMBER 24, 2024, THE SECURITIES AND EXCHANGE COMMISSION (SEC) ANNOUNCED A JOINT SETTLEMENT WITH CIBC PRIVATE WEALTH ADVISORS, INC. AND CIBC WORLD MARKETS CORP. (COLLECTIVELY FOR PURPOSES OF THIS PARAGRAPH, CIBC) IN WHICH CIBC AGREED TO PAY A CIVIL MONEY PENALTY IN THE AMOUNT OF $12,000,000 FOR…Final$12.0M
2024-09-24regulatoryTHE COMMODITY FUTURES TRADING COMMISSION ("COMMISSION") HAS REASON TO BELIEVE THAT FROM AT LEAST SEPTEMBER 2018 TO THE PRESENT ("RELEVANT PERIOD"), CANADIAN IMPERIAL BANK OF COMMERCE ("CIBC") VIOLATED, AS SET FORTH BELOW, SECTIONS 4S(F)(1)(C), 4S(G)(1) AND (3), AND 4S(H)(1)(B) OF THE COMMODITY EXCHA…Final$30.0M
2023-11-08civilFREDERIC A. MENDELSOHN V. RICHARD K. SHEINER AND CIBC PRIVATE WEALTH ADVISORS, INC. - PLAINTIFF FILED COMPLAINT IN CIRCUIT COURT OF COOK COUNTY ILLINOIS, ASSERTING FOUR COUNTS AGAINST SHEINER AND PWA. COMPLAINT ALLEGES THAT PLAINTIFF AGREED TO SET UP AN ACCOUNT WITH SHEINER/PWA IN THE NAME OF HIS WI…Pending
2023-05-04regulatoryCIBC WORLD MARKETS CORP VIOLATED CBOE RULES 4.2, 5.12, 8.1, 8.2 AND OCC BY LAWS ARTICLE VI SECTION I IN THAT THEY IMPROPERLY USED THE OCC ADJUSTMENT PROCESS. THE FIRM ALSO VIOLATED CBOE RULE 8.16 IN THAT THEY DID NOT ESTABLISH SUFFICIENT SUPERVISORY PROCEDURES REGARDING ITS USE OF THE OCC ADJUSTMENT…Final$80K
2021-09-22civilTHE COMPLAINT ALLEGES THAT CIBC PRIVATE WEALTH ADVISORS, INC. AND ITS ADVISORY AFFILIATE (THE "DEFENDANT") BREACHED THEIR FIDUCIARY DUTY AND FAILED TO EXERCISE REASONABLE CARE AND TO ACT WITH REASONABLE DILIGENCE IN THE COURSE OF PROVIDING DISCRETIONARY INVESTMENT ADVISORY SERVICES TO THE PLAINTIFF.…Final$250K
2019-10-28regulatoryFROM FEBRUARY 2017 THROUGH OCTOBER 2017, CIBC WORLD MARKETS CORP (CIBC) FAILED TO ACCURATELY RECORD THE ORDER RECEIPT AND ORDER TRANSMISSION TIMES OF MANUAL OPTIONS ORDERS IT HAD ROUTED TO THE ISE AND VARIOUS OTHER NATIONS SECURITIES EXCHANGES FOR EXECUTION IN VIOLATION OF RULE 17A-3(A)(6)(I) OF THE…Final$33K
2019-05-06regulatoryTHE CHICAGO BOARD OF OPTIONS, INC. ("CBOE") DETERMINED THAT ON OR ABOUT JUNE 1, 2016, CIBC WORLD MARKETS CORP. ("CIBC") BY AND THROUGH ITS ASSOCIATED PERSON, ACCEPTED A CUSTOMER HELD ORDER TO SELL SPX AND XSP AUGUST PUT OPTIONS AND IN TURN (1) ENGAGED IN ANTICIPATORY HEDGING TRANSACTIONS IN RELATED…Final$100K
2017-02-13regulatoryFROM FEBRUARY 2017 THROUGH OCTOBER 2017, CIBC WORLD MARKETS CORP (CIBC) FAILED TO ACCURATELY RECORD THE ORDER RECEIPT AND ORDER TRANSMISSION TIMES OF MANUAL OPTIONS ORDERS IT HAD ROUTED TO THE ISE AND VARIOUS OTHER NATIONAL SECURITIES EXCHANGES FOR EXECUTION IN VIOLATION OF RULE 17A-3(A)(6)(1) OF TH…Final$33K
2015-02-18regulatoryON JULY 1, 2013 CIBC BROKERED AND ENTERED INTO TWO EXCHANGE FOR RELATED POSITIONS (EFRPS) WHICH DID NOT CONTAIN DOCUMENTATION OF THE RELATED OTC TRANSACTION AND THEREFORE, WERE NOT BONA FIDE EFRPS. THE NYMEX BUSINESS CONDUCT COMMITTEE PANEL FOUND THAT AS A RESULT CIBC VIOLATED LEGACY EXCHANGE RULE 5…Final$15K
2014-10-23regulatory1. OCC MADE A SETTLEMENT REPORT AVAILABLE TO CIBC REFLECTING CIBC'S NET SETTLEMENT OBLIGATION FOR 10/2/2014 IN THE AMOUNT OF $12,969,113. 2. CIBC DESIGNATED CLEARING BANK PURSUANT TO OCC RULE 203 DID NOT ACCEPT THE SETTLEMENT INSTRUCTIONS UNTIL TWO MINUTES AFTER THE SETTLEMENT WAS DUE AS SET FORTH I…Final$25K

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