CIX. CI Financial Corp.

CI Financial Reports Record Total Assets of $400.9 Billion for May 2023

. (“CI”) (TSX: CIX) today reported preliminary total assets of $400.9 billion as at May 31, 2023, representing a record for the firm. Total assets consisted of asset management assets of $120.8 billion, Canadian wealth management assets of $81.1 billion, and U.S. wealth management assets of $198.9 billion.

As previously reported, CI acquired Avalon Advisors, LLC of Houston, a registered investment advisor managing approximately US$8.2 billion in client assets, effective May 1, 2023. The firm is now operating as CI Avalon Private Wealth.

CI FINANCIAL CORP.

May 31, 2023

PRELIMINARY MONTH-END ASSETS (C$ Billions)

ENDING ASSETS

May

2023

April

2023

% Change

May

2022

% Change

Asset management (1)

$120.8

$123.4

-2.1%

$124.3

-2.8%

Canada wealth management

$81.1

$82.6

-1.8%

$78.2

3.7%

U.S. wealth management (2)

$198.9

$188.9

5.3%

$147.2

35.1%

TOTAL ASSETS

$400.9

$394.9

1.5%

$349.6

14.7%

ASSET MANAGEMENT – AVERAGE AUM

May

2022

April

2023

March

2023

Fiscal

2022

% Change

Monthly average

$122.1

$122.6

-

-

-0.4%

Quarter-to-date average

$122.3

-

$121.9

-

0.3%

Year-to-date average

$122.1

-

-

$125.0

-2.3%

  1. Includes $32.5 billion of assets managed by CI and held by clients of advisors with Assante, CIPC and Aligned Capital as at May 31, 2023 ($33.2 billion at April 30, 2023 and $32.7 billion at May 31, 2022).
  2. Month-end USD/CAD exchange rates of 1.3575, 1.3548 and 1.2648 for May 2023, April 2023 and May 2022, respectively.

About CI Financial

CI Financial Corp. is a diversified global asset and wealth management company operating primarily in Canada, the United States and Australia. Founded in 1965, CI has developed world-class portfolio management talent, extensive capabilities in all aspects of wealth planning, and a comprehensive product suite.

CI operates in three segments:

  • Asset Management, which includes CI Global Asset Management, which operates in Canada, and GSFM Pty Ltd., which operates in Australia.
  • Canadian Wealth Management, which includes the operations of CI Assante Wealth Management, Aligned Capital Partners, CI Private Wealth (Canada), Northwood Family Office, CI Direct Investing and CI Investment Services.
  • U.S. Wealth Management, which includes CI Private Wealth (U.S.), an integrated wealth management firm providing comprehensive solutions to ultra-high-net-worth and high-net-worth clients across the United States.

CI is headquartered in Toronto and listed on the Toronto Stock Exchange (TSX: CIX). To learn more, visit CI’s or .

CI Global Asset Management is a registered business name of CI Investments Inc., a wholly owned subsidiary of CI Financial Corp.

EN
21/06/2023

Underlying

To request access to management, click here to engage with our
partner Phoenix-IR's CorporateAccessNetwork.com

Reports on CI Financial Corp.

CI Financial Corp: 2 directors

A director at CI Financial Corp sold 50,000 shares at 31.200CAD and the significance rating of the trade was 72/100. Is that information sufficient for you to make an investment decision? This report gives details of those trades and adds context and analysis to them such that you can judge whether these trading decisions are ones worth following. Included in the report is a detailed share price chart which plots discretionary trades by all the company's directors over the last two years clear...

 PRESS RELEASE

Gestion mondiale d’actifs CI annonce l’approbation par les porteurs de...

TORONTO--(BUSINESS WIRE)-- (« GMA CI ») annonce avoir obtenu l’approbation requise des porteurs de titres pour procéder à la fusion de six fonds communs de placement et de deux FNB avec d’autres mandats. Les fusions seront mises en œuvre après la fermeture des bureaux le 4 avril 2025, ou aux alentours de cette date, à l’exception des fusions du Fonds d’obligations canadiennes de base améliorées CI et du Fonds mondial d’actions et de revenu CI, qui seront mises en œuvre aux alentours du 2 mai 2025. Les fusions ont été pour la première fois le 18 novembre 2024 et, pour celles nécessitant l’ap...

 PRESS RELEASE

CI Global Asset Management Announces Securityholder Approval of Fund M...

TORONTO--(BUSINESS WIRE)-- (“CI GAM”) announces that it has received the required securityholder approval to proceed with the merger of six mutual funds and two ETFs into other mandates. The mergers will be implemented after the close of business on or about April 4, 2025, except for the mergers of CI Canadian Core Plus Bond Fund and CI Global Equity & Income Fund, which will be implemented on or about May 2, 2025. The mergers were first on November 18, 2024 and, for those requiring securityholder approval, were approved by securityholders at meetings held on March 19, 2025. CI GAM is unde...

 PRESS RELEASE

Gestion mondiale d’actifs CI annonce les distributions de mars 2025 po...

TORONTO--(BUSINESS WIRE)-- (« GMA CI ») annonce les distributions régulières en espèces suivantes pour le mois ou trimestre se terminant le 31 mars 2025 à l’égard des FNB CI. Dans tous les cas, la distribution sera versée au plus tard le 31 mars 2025 aux porteurs de parts inscrits le 25 mars 2025. La date ex-dividende pour tous les FNB est le 25 mars 2025.   Symbole boursier Montant de la distribution (par part) FNB indice des obligations gouvernementales coupons détachés échelonnées 1 à 5 ans CI BXF 0,0831 $ FNB Indice des obligations totales du Canada CI CAGG...

 PRESS RELEASE

CI Global Asset Management Announces March 2025 Distributions for the ...

TORONTO--(BUSINESS WIRE)-- (“CI GAM”) announces the following regular cash distributions for the month or quarter ending March 31, 2025 in respect of the CI ETFs. In all cases, the distribution will be paid on or before March 31, 2025 to unitholders of record on March 25, 2025. The ex-dividend date for all ETFs is March 25, 2025.   Trading Symbol Distribution Amount (per unit) CI 1-5 Year Laddered Government Strip Bond Index ETF BXF $0.0831 CI Canadian Aggregate Bond Index ETF CAGG $0.1156 CI Canadian Short-Term Aggregate Bond Index ETF CAGS $0.04...

ResearchPool Subscriptions

Get the most out of your insights

Get in touch