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CI Financial Corp: 1 director

A director at CI Financial Corp sold 85,000 shares at 31.245CAD and the significance rating of the trade was 74/100. 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...

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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...

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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...

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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...

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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...

 PRESS RELEASE

CI Financial Reports Financial Results for the Fourth Quarter of 2024

TORONTO--(BUSINESS WIRE)-- . (“CI”) (TSX: CIX) today released financial results for the quarter ended December 31, 2024. Financial highlights CI's results for the quarter on an IFRS basis reflect accounting charges from the take-private transaction, including: (a) the revaluation of the preferred share liability as a result of its expected redemption sooner than originally estimated; (b) higher stock-based compensation as a result of the acceleration of outstanding equity awards upon close of the transaction; and (c) deal-related costs. In addition, currency-related charges increased due t...

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CI Global Asset Management Launches CI Performance Series, an Innovati...

TORONTO--(BUSINESS WIRE)-- (“CI GAM”) today launched CI Performance Series – a ground-breaking new investment solution that emphasizes paying only for outperformance. Instead of a fixed management fee, CI Performance Series charges a performance fee, which will be paid only when an investment pool outperforms its reference benchmark. CI Performance Series consists of new series for seven existing , which are available for purchase starting today. “We believe in the benefits of active management and have strong confidence in the skills and capabilities of our investment professionals,” sai...

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Gestion mondiale d’actifs CI lance la série Performance CI, une soluti...

TORONTO--(BUSINESS WIRE)-- (« GMA CI ») a aujourd’hui lancé la série Performance CI, une nouvelle solution d’investissement novatrice qui repose sur le principe de ne payer que pour un rendement supérieur. Au lieu de frais de gestion fixes, la série Performance CI facture des frais de rendement, qui ne seront payés que lorsqu’un fonds d’investissement surpassera son indice de référence. La série Performance CI propose de nouvelles séries pour sept existants, disponibles à l’achat dès aujourd’hui. « Nous croyons aux avantages de la gestion active et nous avons une grande confiance dans le...

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CI Global Asset Management Files Preliminary Prospectus for CI Galaxy ...

TORONTO--(BUSINESS WIRE)-- (“CI GAM”) announces that it has filed, and obtained a receipt for, a preliminary prospectus for CI Galaxy Solana ETF (“the ETF” or “SOLX”). SOLX’s investment objective is to provide unitholders with exposure to Solana tokens (“SOL”) through an institutional-quality fund platform. The ETF will invest directly in SOL with its SOL holdings priced based on the Bloomberg Galaxy Solana Index (the “Solana Index”), which is designed to measure the performance of a single SOL traded in U.S. dollars. The Solana Index is owned and administered by Bloomberg Index Services Lim...

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CI Financial Obtains Shareholder Approval for Plan of Arrangement with...

TORONTO--(BUSINESS WIRE)-- CI Financial Corp. (“CI” or the “Corporation”) (TSX:CIX) announced that at the special meeting of shareholders held earlier today, an overwhelming majority of CI shareholders voted in favour of the special resolution (the “Arrangement Resolution”) approving the previously announced plan of arrangement under the Business Corporations Act (Ontario), pursuant to which, among other things, an affiliate of funds managed by Mubadala Capital will acquire, directly or indirectly, all of the issued and outstanding common shares of the Corporation (the “Arrangement”). Further ...

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

TORONTO--(BUSINESS WIRE)-- (« GMA CI ») annonce les distributions régulières en espèces suivantes pour le mois se terminant le 28 février 2025 en ce qui concerne les FNB de CI. Dans tous les cas, les distributions seront versées au plus tard le 28 février 2025 aux porteurs de parts inscrits en date du 24 février 2025. La date ex-dividende pour tous les FNB est le 24 février 2025.   Symbole boursier Montant des distributions (par part) FNB Indice des obligations totales du Canada CI (anciennement FNB Indice total des obligations du Canada à rendement amélioré CI) ...

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CI Global Asset Management Announces February 2025 Distributions for t...

TORONTO--(BUSINESS WIRE)-- (“CI GAM”) announces the following regular cash distributions for the month ending February 28, 2025 in respect of the CI ETFs. In all cases, the distribution will be paid on or before February 28, 2025 to unitholders of record on February 24, 2025. The ex-dividend date for all ETFs is February 24, 2025.   Trading Symbol Distribution Amount (per unit) CI Canadian Aggregate Bond Index ETF (formerly CI Yield Enhanced Canada Aggregate Bond Index ETF) CAGG $0.1168 CI Canadian Short-Term Aggregate Bond Index ETF (formerly C...

 PRESS RELEASE

CI Global Asset Management Funds Recognized for Investment Excellence

TORONTO--(BUSINESS WIRE)-- (“CI GAM”) announces it has received 34 FundGrade A+® Awards for 2024. The awards recognize the “best of the best” in Canadian investment funds and CI GAM’s winners include 12 mutual funds, five exchange-traded funds and 17 segregated funds. “We are honoured to once again receive multiple FundGrade A+® Awards, which reflect the strong performance of our funds across a wide range of mandates,” said Marc-André Lewis, President and Chief Investment Officer of CI GAM. “We seek to deliver consistent and attractive risk-adjusted returns through all economic and market...

 PRESS RELEASE

Les fonds de Gestion mondiale d’actifs CI reconnus pour leur excellenc...

TORONTO--(BUSINESS WIRE)-- (« GMA CI ») annonce avoir reçu 34 prix FundGrade A+® pour l’année 2024. Ces prix récompensent la « crème de la crème » des fonds d’investissement canadiens et les lauréats de GMA CI comprennent 12 fonds communs de placement, 5 fonds négociés en bourse et 17 fonds distincts. « Nous sommes honorés de recevoir à nouveau plusieurs prix FundGrade A+®, qui reflètent la solide performance de nos fonds à travers une large gamme de mandats », a déclaré Marc-André Lewis, président et directeur principal des placements de GMA CI. « Notre objectif est de fournir des rendem...

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Corient Acquires Rootstock, an Ultra-High-Net-Worth Pittsburgh-Based R...

MIAMI--(BUSINESS WIRE)-- , one of the nation’s largest and fastest-growing national wealth advisors, today announced it has acquired Rootstock Advisors (“Rootstock”), a Pennsylvania-based registered investment advisory firm with approximately $600 million in assets under management (as of January 31, 2025). This acquisition strengthens Corient’s ability to serve ultra-high-net-worth (UHNW) clients and expands its presence in the Pittsburgh region. Since its inception, Rootstock has built a client-centric culture, serving a select group of UHNW and high-net-worth families and households. The ...

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Gestion mondiale d’actifs CI lance le Fonds structuré de rendement sup...

TORONTO--(BUSINESS WIRE)-- (« GMA CI ») annonce aujourd’hui le lancement du (le « Fonds »), une nouvelle solution de revenu conçue pour offrir des rendements améliorés généralement offerts par les billets structurés. Le fonds a pour objectif de placement de fournir aux investisseurs la possibilité de recevoir des distributions régulières en reproduisant le résultat d’un portefeuille géré activement composé de billets structurés diversifiés, au moyen principalement de placements dans des instruments dérivés et/ou des billets structurés qui procurent une exposition à des indices boursiers et...

 PRESS RELEASE

CI Global Asset Management Launches CI Structured Premium Yield Fund, ...

TORONTO--(BUSINESS WIRE)-- (“CI GAM”) announces the launch today of (the “Fund”), a new income solution designed to deliver the enhanced yields typically offered by structured notes. The Fund’s investment objective is to provide investors with the opportunity for regular distributions by replicating the outcome of an actively managed portfolio of diversified structured notes, primarily through investing in derivatives and/or structured notes that provide exposure to North American and/or global equity indexes and securities. Structured notes are debt instruments that pay a return based on ...

 PRESS RELEASE

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

TORONTO--(BUSINESS WIRE)-- (« GMA CI ») annonce les distributions régulières en espèces suivantes pour le mois se terminant le 31 janvier 2025 en ce qui concerne les FNB de CI. Dans tous les cas, les distributions seront versées au plus tard le 31 janvier 2025 aux porteurs de parts inscrits en date du 27 janvier 2025. La date ex-dividende pour tous les FNB est le 27 janvier 2025.   Symbole boursier Montant des distributions (par part) FNB Indice des obligations totales du Canada CI (anciennement FNB Indice total des obligations du Canada à rendement amélioré CI) ...

 PRESS RELEASE

CI Global Asset Management Announces January 2025 Distributions for th...

TORONTO--(BUSINESS WIRE)-- (“CI GAM”) announces the following regular cash distributions for the month ending January 31, 2025 in respect of the CI ETFs. In all cases, the distribution will be paid on or before January 31, 2025 to unitholders of record on January 27, 2025. The ex-dividend date for all ETFs is January 27, 2025.   Trading Symbol Distribution Amount (per unit) CI Canadian Aggregate Bond Index ETF (formerly CI Yield Enhanced Canada Aggregate Bond Index ETF) CAGG $0.0892 CI Canadian Short-Term Aggregate Bond Index ETF (formerly CI Yield ...

 PRESS RELEASE

Corient Acquires Multi-Family Office Business of Geller, Expanding U.S...

MIAMI--(BUSINESS WIRE)-- one of the largest and fastest-growing national wealth advisors in the U.S., today announced it has acquired the multi-family office business of Geller & Company (“Geller MFO”). Geller MFO is a premier New York City-based multi-family office with $10.4 billion in assets under management and advisement. This move reinforces Corient’s presence in one of the nation’s largest markets and deepens the firm’s family office capabilities. Geller & Company LLC was founded in 1984 by Martin Geller, a pioneer in the multi-family office industry. Geller MFO provides a bespoke fa...

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