CI Financial Corp. (T:CIX*CA)

Business Focus: Investment Management & Fund Operators (NEC)

Nov 07, 2024 09:52 am ET
CI Global Asset Management Honoured with 16 LSEG Lipper Fund Awards
CI Global Asset Management (“CI GAM”) announces that its investment funds have earned 16 LSEG Lipper Fund Awards for 2024. The awards highlight mutual funds and exchange-traded funds that have provided consistently strong risk-adjusted performance, relative to peers.
Nov 01, 2024 07:00 am ET
CI Financial Announces Third Quarter Earnings Conference Call and Webcast
CI will hold a conference call with analysts that day at 9:00 a.m. EST, led by Chief Executive Officer Kurt MacAlpine and Chief Financial Officer Amit Muni. A live webcast of the call and slide presentation can be accessed here or through the
Oct 18, 2024 07:00 am ET
CI Financial Reports Total Assets of $518.1 Billion for September 2024
CI Financial Corp. (“CI”) (TSX: CIX) today reported preliminary total assets of $518.1 billion as at September 30, 2024, consisting of asset management assets of $135.4 billion, Canadian wealth management assets of $100.1 billion, Canadian custody assets of $31.9 billion, and U.S. wealth management assets of $250.6 billion.
Oct 16, 2024 07:00 am ET
CI Global Asset Management Announces October 2024 Distributions for the CI ETFs
CI Global Asset Management (“CI GAM”) announces the following regular cash distributions for the month ending October 31, 2024 in respect of the CI ETFs. In all cases, the distribution will be paid on or before October 31, 2024 to unitholders of record on October 25, 2024. The ex-dividend date for all ETFs is October 25, 2024.
Oct 10, 2024 07:00 am ET
CI Global Asset Management Announces Distribution Change for CI Canadian Banks Covered Call Income Mandates, Risk Rating Change for CI Gold Bullion Fund
CI Global Asset Management (“CI GAM”) announced today that the distribution frequency of CI Canadian Banks Covered Call Income Class ETF (TSX: CIC) and CI Canadian Banks Covered Call Income Corporate Class is changing to monthly from quarterly.
Oct 09, 2024 08:00 am ET
Neo Financial Partners with CI Financial to Launch Suite of Cutting-Edge Financial Solutions
Neo Financial is proud to announce a new partnership with CI Financial Corp. (TSX: CIX) to launc
Oct 08, 2024 07:30 am ET
CI Global Asset Management Launches Asset Allocation Mutual Funds, Providing Low-Cost All-in-One Portfolios
CI Global Asset Management (“CI GAM”) today launched a new suite of asset allocation mutual funds, providing Canadian investors with a selection of expertly constructed, low-cost, all-in-one portfolios.
Oct 04, 2024 05:00 pm ET
CI Financial Corp. Announces Final Results of Substantial Issuer Bid
CI Financial Corp. (TSX: CIX) (“CI Financial” or the “Corporation”) today announced the final results of its substantial issuer bid (the “Offer”) under which it has purchased for cancellation 2,157,201 of its common shares (the “Shares”) at the purchase price of $18.25 per Share, for an aggregate purchase price of approximately $39.37 million. Shares purchased under the Offer represent approximately 1.48% of the issued and outstanding Shares at the time that the Offer was commenced. Immediately following the completion of the Offer, there are 143,545,084 Shares issu
Oct 03, 2024 06:59 pm ET
CI Financial Corp. Announces Preliminary Results of Substantial Issuer Bid
CI Financial Corp. (TSX: CIX) (“CI Financial” or the “Corporation”) today announced the preliminary results of its substantial issuer bid (the “Offer”), which expired at 5:00 p.m. (Toronto Time) on October 3, 2024.
Sep 20, 2024 05:00 pm ET
CI Financial Mails Notice of Variation in Connection with Substantial Issuer Bid
CI Financial Corp. (TSX: CIX) (“CI Financial” or the “Corporation”) announced today that the Corporation has mailed a notice of variation and extension (the “Notice”) in connection with its previously announced intention to vary the terms of its substantial issuer bid (the “Offer”). The Offer is being varied to: (i) increase the price to $18.25 per common share (the “Shares”), increasing the total value of the Offer to up to $91.25 million; and (ii) as required by applicable U.S. securities laws, extend the expiry date of the Offer to 5:00 p.m. (Toronto time)
Sep 18, 2024 07:29 pm ET
CI Financial Announces Substantial Issuer Bid Price Increase and Related Extension
CI Financial Corp. (TSX: CIX) (“CI Financial” or the “Corporation”) announced today the Corporation is varying the terms of its previously announced substantial issuer bid (the “Offer”). Under the terms of the Offer, the Corporation offered to purchase up to 5,000,000 of its outstanding common shares (the “Shares”) from its shareholders (“Shareholders”) at a price of $17.50 per Share for a total value of up to $87.5 million and the Offer was scheduled to expire at 5:00 p.m. (Toronto time) on October 1, 2024. The Offer is being varied to: (i) increase the pric
Sep 18, 2024 12:14 am ET
CI Financial Announces Debenture Financing to Refinance Existing Indebtedness
CI Financial Corp. (TSX: CIX) (“CI Financial” or the “Corporation”) announced today that it has entered into an agreement to sell (the “Offering”) debentures with an aggregate principal amount of $325,000,000, carrying an interest rate of 6.00% payable semi-annually, and maturing on September 20, 2027 (the “Debentures”). The Debentures have a provisional rating of Baa3 (Stable) by Moody’s.
Sep 17, 2024 07:00 am ET
CI Financial Reports Total Assets of $509.2 Billion for August 2024
CI Financial Corp. (“CI”) (TSX: CIX) today reported preliminary total assets of $509.2 billion as at August 31, 2024, consisting of asset management assets of $133.1 billion, Canadian wealth management assets of $98.5 billion, Canadian custody assets of $31.0 billion, and U.S. wealth management assets of $246.5 billion.
Sep 12, 2024 07:00 am ET
CI Global Asset Management Announces September 2024 Distributions for the CI ETFs
CI Global Asset Management (“CI GAM”) announces the following regular cash distributions for the month or quarter ending September 30, 2024 in respect of the CI ETFs. In all cases, the distribution will be paid on or before September 27, 2024 to unitholders of record on September 23, 2024. The ex-dividend da
Sep 11, 2024 07:05 pm ET
CI Financial Requests Morningstar DBRS to Withdraw Credit Ratings
CI Financial Corp. (“CI”) (TSX: CIX) announces that it has asked Morningstar DBRS to withdraw its issuer credit rating and debenture ratings on CI and its debt.
Sep 10, 2024 07:00 am ET
CI Global Asset Management Launches Global Equity Fund and ETF Mandates Powered by Quality, Dividends and Growth
CI Global Asset Management (“CI GAM”) announces the launch of CI Global Quality Dividend Growth Index Fund and CI Global Quality Dividend Growth Index ETF, which seek to provide exposure to a global portfolio of high-quality, dividend-paying companies with strong earnings growth potential.
Sep 09, 2024 08:00 am ET
CI Global Asset Management Enhances Private Markets Funds, Providing Increased Access and Transparency
CI Global Asset Management (“CI GAM”) today announced a series of significant enhancements to its private markets funds, including eligibility for registered plans and the removal of the lock-up period.
Aug 29, 2024 07:00 am ET
CI Global Asset Management Announces Risk Rating Change for CI Global Unconstrained Bond Fund
CI Global Asset Management (“CI GAM”) today announced that the risk rating of
Aug 26, 2024 07:00 am ET
CI Financial Announces Commencement of Substantial Issuer Bid
CI Financial Corp. (TSX: CIX) (“CI Financial” or the “Corporation”) announced today it has commenced a substantial issuer bid (the “Offer”), pursuant to which the Corporation will offer to purchase up to 5,000,000 (the “Maximum Number of Shares”) of its outstanding common shares (the “Shares”) from holders of Shares (the “Shareholders”) for cash, at a purchase price of $17.50 per Share (the “Purchase Price”). As of August 23, 2024, there were 146,116,685 Shares issued and outstanding (which number includes 414,400 Shares that were previously pur
Aug 19, 2024 07:00 am ET
CI Financial Reports Total Assets of $511.3 Billion for July 2024
CI Financial Corp. (“CI”) (TSX: CIX) today reported preliminary total assets of $511.3 billion as at July 31, 2024, consisting of asset management assets of $133.3 billion, Canadian wealth management assets of $98.2 billion, Canadian custody assets of $30.3 billion, and U.S. wealth management assets of $249.4 billion. This marks the first time t
Aug 15, 2024 07:00 am ET
CI Global Asset Management Announces August 2024 Distributions for the CI ETFs
CI Global Asset Management (“CI GAM”) announces the following regular cash distributions for the month ending August 31, 2024 in respect of the CI ETFs. In all cases, the distribution will be paid on or before August 30, 2024 to unitholders of record on August 26, 2024. The ex-dividend date for all ETFs is August 26, 2024.
Aug 12, 2024 05:00 pm ET
CI Investment Services Inc. to Assume Client Accounts of Discount Brokerage Arm of Laurentian Bank Securities
CI Investment Services Inc. (“CIIS”), a subsidiary of CI Financial Corp., announces it has reached an agreement with Laurentian Bank under which CIIS will assume the client accounts and assets under administration of the discount brokerage division of Laurentian Bank Securities.
Aug 08, 2024 07:00 am ET
CI Financial Reports Financial Results for the Second Quarter of 2024
CI Financial Corp. (“CI”) (TSX: CIX) today released financial results for the quarter ended June 30, 2024.
Aug 07, 2024 12:49 pm ET
CI Financial Announces Quarterly Dividend
CI Financial Corp. (“CI”) (TSX: CIX) announced today that its Board of Directors has declared a regular quarterly dividend of $0.20 per share of CI’s common stock. The dividend will be payable on January 15, 2025 to shareholders of record as of December 31, 2024.
Aug 06, 2024 07:00 am ET
CI Global Asset Management Launches Multi-Sector and Fixed-Income Covered Call Strategies
CI Global Asset Management (“CI GAM”) announces the launch of new covered call mandates – a multi-sector mutual fund and a U.S. fixed-income strategy available in both mutual fund and ETF structures. The three funds are the latest additions to CI GAM’s extensive covered call lineup.
Jul 17, 2024 07:00 am ET
CI Financial Reports Total Assets of $489.1 Billion for June 2024
CI Financial Corp. (“CI”) (TSX: CIX) today reported preliminary total assets of $489.1 billion as at June 30, 2024, consisting of asset management assets of $130.1 billion, Canadian wealth management assets of $95.6 billion, Canadian custody assets of $29.4 billion, and U.S. wealth management assets of $234.1 billion.
Jul 16, 2024 07:20 am ET
CI Global Asset Management Expands Lineup of Global Fixed-Income Mutual Funds and ETF Series Mandates
CI Global Asset Management (“CI GAM”) announces enhancements to its lineup of income solutions, including an expanded selection of actively managed global bond mandates.
Jul 16, 2024 07:00 am ET
CI Global Asset Management Announces July 2024 Distributions for the CI ETFs
CI Global Asset Management (“CI GAM”) announces the following regular cash distributions for the month ending July 31, 2024 in respect of the CI ETFs. In all cases, the distribution will be paid on or before July 31, 2024 to unitholders of record on July 25, 2024. The ex-dividend date for all ETFs is July 25, 2024.
Jul 10, 2024 07:00 am ET
CI Financial Corp. Announces Final Results of Substantial Issuer Bid
CI Financial Corp. (TSX: CIX) (“CI Financial” or the “Corporation”) today announced the final results of its substantial issuer bid (the “Offer”) under which it has purchased for cancellation 5,000,000 of its common shares (the “Shares”) at the purchase price of $15.50 per Share, for an aggregate purchase price of approximately $77.5 million. Shares purchased under the Offer represent approximately 3.3% of the issued and outstanding Shares at the time that the Offer was commenced. Immediately following the completion of the Offer, there are 146,383,085 Shares
Jul 09, 2024 07:05 am ET
CI Financial Renews Normal Course Issuer Bid and Automatic Securities Purchase Plan
CI Financial Corp. (“CI”) (TSX: CIX) announced today that the Toronto Stock Exchange (“TSX”) has accepted its Notice of Intention to make a Normal Course Issuer Bid and Automatic Securities Purchase Plan (“ASPP”).
Jul 09, 2024 07:00 am ET
CI Financial Corp. Announces Preliminary Results of Substantial Issuer Bid
CI Financial Corp. (TSX: CIX) (“CI Financial” or the “Corporation”) today announced the preliminary results of its substantial issuer bid (the “Offer”), which expired at 5:00 p.m. (Toronto Time) on July 8, 2024.
Jul 03, 2024 09:00 am ET
Assante Advisor Tina Tehranchian to receive Lifetime Achievement Award from the International Association of Top Professionals
CI Assante Wealth Management (“Assante”) congratulates Tina Tehranchian, Senior Wealth Advisor in Toronto, for being selected to receive the Lifetime Achievement Award 2024 from the International Association of Top Professionals (“IAOTP”).
Jun 24, 2024 11:26 am ET
CI Financial Opens the Market to celebrate Company's 30th listing anniversary
TORONTO, June 24, 2024 /PRNewswire/ - Chief Executive Officer Kurt MacAlpine and other representatives of CI Financial Corp. (TSX: CIX), joined Loui Anastasoupolos, CEO, Toronto Stock Exchange to open the market and celebrate the 30th anniversary of CI Financial's initial public offering on the Toronto Stock Exchange in June 1994.
Jun 24, 2024 11:26 am ET
CI Financial Opens the Market to celebrate Company's 30th listing anniversary
TORONTO, June 24, 2024 /CNW/ - Chief Executive Officer Kurt MacAlpine and other representatives of CI Financial Corp. (TSX: CIX), joined Loui Anastasoupolos, CEO, Toronto Stock Exchange to open the market and celebrate the 30th anniversary of CI Financial's initial public offering on the Toronto Stock Exchange in June 1994.
Jun 13, 2024 07:00 am ET
CI Global Asset Management Announces June 2024 Distributions for CI ETFs
CI Global Asset Management (“CI GAM”) announces the following regular cash distributions for the month or quarter ending June 30, 2024 in respect of the CI ETFs. In all cases, the distribution will be paid on or before June 28, 2024 to unitholders of record on June 24, 2024. The ex-dividend date for all ETFs
Jun 12, 2024 07:00 am ET
CI Financial Reports Total Assets of $482.2 Billion for May 2024
CI Financial Corp. (“CI”) (TSX: CIX) today reported preliminary total assets of $482.2 billion as at May 31, 2024, consisting of asset management assets of $129.5 billion, Canadian wealth management assets of $94.1 billion, Canadian custody assets of $28.6 billion, and U.S. wealth management assets of $230.1 billion.
Jun 11, 2024 07:00 am ET
CI Global Asset Management Launches U.S. Dollar Series of CI U.S. Quality Dividend Growth Index ETF
CI Global Asset Management (“CI GAM”) announces that CI U.S. Quality Dividend Growth Index ETF has closed its initial offering of ETF US$ Series Units, which begin trading today on the Toronto Stock Exchange (“TSX”) under the ticker DGR.U.
May 31, 2024 07:30 am ET
CI Financial Announces Commencement of Substantial Issuer Bid
CI Financial Corp. (TSX: CIX) (“CI Financial” or the “Corporation”) announced today it has commenced a substantial issuer bid (the “Offer”), pursuant to which the Corporation will offer to purchase up to 5,000,000 (the “Maximum Number of Shares”) of its outstanding common shares (the “Shares”) from holders of Shares (the “Shareholders”) for cash, at a purchase price of $15.50 per Share (the “Purchase Price”). As of May 30, 2024, there were 151,383,085 Shares issued and outstanding. The Offer would be for approximately 3.3% of the total number of
May 23, 2024 11:00 am ET
Corient Selects Addepar in Transformative Partnership
Collaboration aligns Corient's growth goals and focus on client excellence with Addepar's robust technology, data foundation and scalable infrastructure
May 22, 2024 07:00 am ET
CI Global Asset Management Announces Risk Rating Change for CI ICBCCS S&P China 500 Index ETF
CI Global Asset Management (“CI GAM”) announces that the risk rating of
May 21, 2024 06:55 am ET
CI Financial Reports Total Assets of $467.9 Billion for April 2024
CI Financial Corp. (“CI”) (TSX: CIX) today reported preliminary total assets of $467.9 billion as at April 30, 2024, consisting of asset management assets of $126.8 billion, Canadian wealth management assets of $92.3 billion, Canadian custody assets of $27.7 billion, and U.S. wealth management assets of $221.2 billion.
May 14, 2024 07:00 am ET
CI Global Asset Management Launches Currency Hedged Series of CI U.S. 500 Index ETF
CI Global Asset Management (“CI GAM”) announces that CI U.S. 500 Index ETF has closed its initial offering of Hedged Common Units, which begin trading today on Cboe Canada Inc. under the ticker CUSA.
May 10, 2024 07:00 am ET
CI Financial Reports Financial Results for the First Quarter of 2024
CI Financial Corp. (“CI”) (TSX: CIX) today released financial results for the quarter ended March 31, 2024.
May 07, 2024 07:00 am ET
CI Global Asset Management Launches Actively Managed Artificial Intelligence ETF with Reduced Management Fee
CI Global Asset Management (“CI GAM”) announces that CI Global Artificial Intelligence ETF (“CIAI”) has closed its initial offering of ETF C$ Series Units and begins trading today on the Toronto Stock Exchange under the ticker CIAI.
Apr 15, 2024 09:00 am ET
CI Global Asset Management Completes 11 Fund Mergers
CI Global Asset Management (“CI GAM”) announced today it has completed the merger of 11 mutual funds into other mutual funds. CI GAM also confirmed it has implemented changes to the investment objectives, names and fees of the CI Personal Portfolios, which are now part of the CI Mosaic ETF Portfolios
Apr 15, 2024 07:00 am ET
CI Global Asset Management Announces April 2024 Distributions for the CI ETFs
CI Global Asset Management (“CI GAM”) announces the following regular cash distributions for the month ending April 30, 2024 in respect of the CI ETFs. In all cases, the distribution will be paid on or before April 30, 2024 to unitholders of record on April 24, 2024. The ex-dividend date for all ETFs is April 23, 2024, with the exception of CI
Apr 12, 2024 01:47 pm ET
CI Financial to Hold Annual Meeting Of Shareholders on June 26, 2024
CI Financial Corp. (“CI”) (TSX: CIX) announced today it will hold its Annual Meeting of Shareholders on June 26, 2024 at 2:00 p.m. EDT.
Apr 08, 2024 07:00 am ET
CI Global Asset Management Completes Eight Mutual Fund and ETF Mergers
CI Global Asset Management (“CI GAM”) announced today that it has completed the mergers of eight mutual funds and exchange-traded funds into other mandates. CI GAM also announced the exchange ratios and the final reinvested distributions related to these mergers.
Apr 05, 2024 07:00 am ET
CI Financial Corp. Announces Final Results of Substantial Issuer Bid
CI Financial Corp. (TSX: CIX) (“CI Financial” or the “Corporation”) today announced the final results of its substantial issuer bid (the “Offer”) under which it has purchased for cancellation 4,857,142 of its common shares (the “Shares”) at the purchase price of $17.50 per Share, for an aggregate purchase price of approximately $85 million. Shares purchased under the Offer represent approximately 3.11% of the issued and outstanding Shares at the time that the Offer was commenced. Immediately following the completion of the Offer, there are 151,383,085 Shares
Apr 04, 2024 05:01 pm ET
CI Financial Announces Approval of Proposed Amendments at Debentureholder Meetings
CI Financial Corp. (TSX: CIX) (“CI Financial” or the “Corporation”) announced today it has successfully obtained approval of certain previously announced amendments (the “Proposed Amendments”) from (i) holders (the “2025 Debentureholders”) of its 3.759% Debentures due 2025 (the “2025 Debentures”) issued under the second supplemental indenture (the “2019 Second Series Supplement”) to the trust indenture dated as of July 22, 2019, and (ii) holders (the “2027 Debentureholders”) of its 3.904% Debentures due 2027 (the “2027 Debentures”) issued
Apr 03, 2024 07:00 am ET
CI Financial Corp. Announces Preliminary Results of Substantial Issuer Bid
CI Financial Corp. (TSX: CIX) (“CI Financial” or the “Corporation”) today announced the preliminary results of its substantial issuer bid (the “Offer”), which expired at 5:00 p.m. (Toronto Time) on April 2, 2024.
Mar 28, 2024 06:14 pm ET
CI Global Asset Management Announces Estimated Reinvested Distributions in Connection with Fund Mergers
CI Global Asset Management (“CI GAM”) announces the following estimated reinvested distributions (the “Estimated Reinvested Distributions”) in respect of the upcoming mergers of the ETFs and ETF Series of mutual funds listed in the table below. The mergers, which will take place on or about April 5, 2024, we
Mar 25, 2024 09:00 am ET
CI Global Asset Management Announces Securityholder Approval of Fund Mergers and Other Product Changes
CI Global Asset Management (“CI GAM”) announces it has received securityholder approval for a series of enhancements to its product lineup, including the merger of 11 mutual funds into other mutual funds and changes to the investment objectives of the CI Personal Portfolios.
Mar 20, 2024 07:00 am ET
CI Financial Announces Meetings of Debentureholders to be Held on April 4, 2024
CI Financial Corp. (TSX: CIX) (“CI Financial” or the “Corporation”) announced today that, in connection with its previously announced consent and proxy solicitation (“Consent and Proxy Solicitation”) seeking approval of certain proposed amendments (“Proposed Amendments”) from (i) holders (the “2025 Debentureholder
Mar 19, 2024 07:00 am ET
CI Global Asset Management Announces Securityholder Approval of Fund Mergers and Other Changes to Enhance Product Lineup
CI Global Asset Management (“CI GAM”) announces that it has received the required securityholder approval of several proposed changes to its product lineup, including the merger of eight mutual funds and exchange-traded funds into other mandates and changes to the investment objectives of two other ETFs.
Mar 18, 2024 07:00 am ET
CI Financial Reports Total Assets of $465.9 Billion for February 2024
CI Financial Corp. (“CI”) (TSX: CIX) today reported preliminary total assets of $465.9 billion as at February 29, 2024, consisting of asset management assets of $128.0 billion, Canadian wealth management assets of $91.9 billion, Canadian custody assets of $27.1 billion, and U.S. wealth management assets of $218.9 billion.
Mar 13, 2024 07:00 am ET
CI Global Asset Management Announces March 2024 Distributions for CI ETFs
CI Global Asset Management (“CI GAM”) announces the following regular cash distributions for the month or quarter ending March 31, 2024 in respect of the CI ETFs. In all cases, the distribution will be paid on or before March 28, 2024 to unitholders of record on March 22, 2024. The ex-dividend date for all E
Mar 06, 2024 08:15 am ET
CI Financial Announces Commencement of Consent Solicitation and Notice of Debentureholder Meetings
CI Financial Corp. (TSX: CIX) (“CI Financial” or the “Corporation”) announced today it has called a meeting of the (i) holders (the “2025 Debentureholders”) of its 3.759% Debentures due 2025 (the “2025 Debentures”) issued under the second supplemental indenture (the “2019 Second Series Supplement”) to the trus
Feb 26, 2024 07:00 am ET
CI Financial Announces Commencement of Substantial Issuer Bid
CI Financial Corp. (TSX: CIX) (“CI Financial” or the “Corporation”) announced today it has commenced its previously announced substantial issuer bid (the “Offer”), pursuant to which the Corporation will offer to purchase up to 4,857,142 (the “Maximum Number of Shares”) of its outstanding common shares (the “Shares”) from holders of Shares (the “Shareholders”) for cash, at a purchase price of $17.50 per Share (the “Purchase Price”). As of February 23, 2024, there were 156,240,227 Shares issued and outstanding. The Offer would be for approximately
Feb 23, 2024 07:00 am ET
CI Financial Reports Financial Results for the Fourth Quarter of 2023
CI Financial Corp. (“CI”) (TSX: CIX) today released financial results for the quarter and year ended December 31, 2023.
Feb 21, 2024 09:00 am ET
CI Global Asset Management Expands Alternative Funds Lineup with Launch of CI Auspice Alternative Diversified Corporate Class
CI Global Asset Management (“CI GAM”) announces the launch of CI Auspice Alternative Diversified Corporate Class (“the Fund”), a systematic, trend-following, multi-strategy mandate designed to deliver returns that are uncorrelated with traditional asset classes.
Feb 20, 2024 07:00 am ET
CI Financial Reports Total Assets of $450.8 Billion for January 2024
CI Financial Corp. (“CI”) (TSX: CIX) today reported preliminary total assets of $450.8 billion as at January 31, 2024, consisting of asset management assets of $124.8 billion, Canadian wealth management assets of $89.2 billion, Canadian custody assets of $26.0 billion, and U.S. wealth management assets of $210.7 billion.
Feb 14, 2024 07:00 am ET
CI Global Asset Management Announces February 2024 Distributions for the CI ETFs
CI Global Asset Management (“CI GAM”) announces the following regular cash distributions for the month ending February 29, 2024 in respect of the CI ETFs. In all cases, the distribution will be paid on or before February 29, 2024 to unitholders of record on February 23, 2024. The ex-dividend date for all ETFs is February 22, 2024, with the exc
Feb 02, 2024 08:00 am ET
CI Global Asset Management Funds Recognized for Consistent, Outstanding Investment Performance
CI Global Asset Management (“CI GAM”) announces it has received 35 FundGrade A+® Awards for 2023. The winning CI GAM funds include eight mutual funds, six exchange-traded funds and 21 segregated funds.
Jan 29, 2024 11:44 am ET
CI Financial Announces Fourth Quarter Earnings Conference Call and Webcast
CI Financial Corp. (“CI”) (TSX: CIX) will release its financial results for the fourth quarter of fiscal 2023 on Friday, February 23, 2024.
Jan 23, 2024 11:43 am ET
CI Global Asset Management Launches Equity Fund Suite Focusing on Quality, Dividends and Growth
CI Global Asset Management (“CI GAM”) announces the launch of a suite of equity mutual funds that target dividend-paying companies with high-quality balance sheets and strong earnings growth potential. The funds use the proven investment approach followed by the CI WisdomTree Quality Dividend Growth I
Jan 18, 2024 11:45 am ET
CI Global Asset Management Expands Access to its Private Pools
CI Global Asset Management (“CI GAM”) announces it is reducing the minimum initial investment on its lineup of private pools to $5,000 from $25,000, effective today. The
Jan 17, 2024 07:00 am ET
CI Financial Reports Total Assets of $444.8 Billion for December 2023
CI Financial Corp. (“CI”) (TSX: CIX) today reported preliminary total assets of $444.8 billion as at December 31, 2023, consisting of asset management assets of $125.0 billion, Canadian wealth management assets of $88.0 billion, Canadian custody assets of $25.6 billion, and U.S. wealth management assets of $206.3 billion.
Jan 16, 2024 07:01 am ET
CI Global Asset Management Launches ETFs Targeting U.S. Momentum and Value Stocks
CI Global Asset Management (“CI GAM”) announces the launch of two U.S. equity ETFs. CI U.S. Enhanced Momentum Index ETF and CI U.S. Enhanced Value Index ETF have closed their initial offering of exchange-traded units and begin trading today on the Toronto Stock Exchange (“TSX”) under the
Jan 16, 2024 07:00 am ET
CI Global Asset Management Announces January 2024 Distributions for the CI ETFs
CI Global Asset Management (“CI GAM”) announces the following regular cash distributions for the month ending January 31, 2024 in respect of the CI ETFs. In all cases, the distribution will be paid on or before January 31, 2024 to unitholders of record on January 25, 2024. The ex-dividend date for all ETFs is January 24, 2024, with the excepti
Dec 29, 2023 02:15 pm ET
CI Global Asset Management Announces Reinvested Distributions
CI Global Asset Management (“CI GAM”) announces the following reinvested distributions (the “Reinvested Distributions”) in respect of certain ETFs listed below. In all cases, these Reinvested Distributions will be reinvested on or about January 2, 2024 to unitholders of record on December 29, 2023.
Dec 28, 2023 07:00 am ET
CI Global Asset Management Announces Confirmed Annual Reinvested Capital Gains Distributions for CI ETFs
CI Global Asset Management (“CI GAM”) announces the confirmed annual reinvested capital gains distributions (the “Reinvested Distributions”) for the 2023 tax year for the CI ETFs listed below.
Dec 27, 2023 05:00 pm ET
CI Financial Reports Total Assets of $438.0 Billion for November 2023
CI Financial Corp. (“CI”) (TSX: CIX) today reported preliminary total assets of $438.0 billion as at November 30, 2023, consisting of asset management assets of $122.8 billion, Canadian wealth management assets of $86.1 billion, Canadian custody assets of $24.8 billion, and U.S. wealth management assets of $204.4 billion.
Dec 21, 2023 07:00 am ET
CI Financial Announces that Darie Urbanky, President, Chief Operating Officer and Head of Asset Management, to Retire in 2024
CI Financial Corp. (“CI”) (TSX: CIX) announces that Darie Urbanky, President, Chief Operating Officer and Head of CI Global Asset Management (“CI GAM”), has decided to retire on or before December 31, 2024.
Dec 20, 2023 05:00 pm ET
CI Financial Corp. Announces Final Results of Substantial Issuer Bid
CI Financial Corp. (TSX: CIX) (“CI Financial” or the “Corporation”) today announced the final results of its substantial issuer bid (the “Offer”) under which it has purchased for cancellation 6,544,502 of its common shares (the “Shares”) at a purchase price of $15.28 per Share, for an aggregate purchase price of approximately $100 million. Shares purchased under the Offer represent approximately 4.0% of the issued and outstanding Shares at the time that the Offer was commenced. Immediately following the completion of the Offer, there are 156,240,227 Shares is
Dec 19, 2023 07:00 am ET
CI Financial Corp. Announces Preliminary Results of Substantial Issuer Bid
CI Financial Corp. (TSX: CIX) (“CI Financial” or the “Corporation”) today announced the preliminary results of its substantial issuer bid (the “Offer”), which expired at 5:00 p.m. (Toronto Time) on December 18, 2023.
Dec 15, 2023 07:00 am ET
CI Global Asset Management Announces Two New ETFs, Fund Mergers and Other Changes to Enhance Product Lineup
CI Global Asset Management (“CI GAM”) announces a series of changes to streamline and enhance its product lineup, including the launch of two U.S. equity ETFs, the mergers of 19 mutual funds and ETFs into other mandates, modifications to the CI Personal Portfolios and two ETFs, and management fee redu
Dec 12, 2023 07:00 am ET
CI Global Asset Management Announces December 2023 Distributions for CI ETFs
CI Global Asset Management (“CI GAM”) announces the following regular cash distributions for the month or quarter ending December 31, 2023 in respect of the CI ETFs. In all cases, the distribution will be paid on or before December 29, 2023 to unitholders of record on December 21, 2023. The ex-dividend date
Nov 29, 2023 05:00 pm ET
CI Financial Announces Exemptive Relief from the Ontario Securities Commission in Substantial Issuer Bid
CI Financial Corp. (TSX: CIX) (“CI Financial” or the “Corporation”) announced today that, in connection with the Corporation’s ongoing substantial issuer bid (the “Offer”), the Ontario Securities Commission has granted an exemptive relief order permitting CI Financial to extend the Offer, if it determines to do so in circumstances where the Offer is undersubscribed, without first taking up any common shares (the “Shares”) previously deposited to the Offer. The relief relates to the “modified Dutch auction” format of the Offer.
Nov 28, 2023 05:00 pm ET
CI Financial Reports Total Assets of $420.7 Billion for October 2023
CI Financial Corp. (“CI”) (TSX: CIX) today reported preliminary total assets of $420.7 billion as at October 31, 2023, consisting of asset management assets of $117.1 billion, Canadian wealth management assets of $80.7 billion, Canadian custody assets of $23.4 billion, and U.S. wealth management assets of $199.4 billion.
Nov 27, 2023 07:00 am ET
CI Global Asset Management Announces Estimated Annual Reinvested Capital Gains Distributions for CI ETFs
CI Global Asset Management (“CI GAM”) announces the estimated annual reinvested capital gains distributions (the “Reinvested Distributions”) for the 2023 tax year for the CI ETFs listed below.
Nov 27, 2023 07:00 am ET
CI Global Asset Management Announces Estimated Annual Reinvested Distributions for JFT Strategies Fund
CI Global Asset Management (“CI GAM”) announces the estimated reinvested distributions (the “Estimated Reinvested Distributions”) for JFT Strategies Fund (the “Fund”), a closed-end fund, for the year ending December 31, 2023.
Nov 24, 2023 11:00 am ET
CI Global Asset Management Updates Responsible Investing Policy
CI Global Asset Management (“CI GAM”) announces that it has updated its Responsible Investing Policy (“Policy”) in accordance with guidance from staff of the Ontario Securities Commission on ESG-related investment fund disclosure. The update clarifies that the Policy covers all in-house actively manag
Nov 15, 2023 07:00 am ET
CI Global Asset Management Announces November 2023 Distributions for the CI ETFs
CI Global Asset Management (“CI GAM”) announces the following regular cash distributions for the month ending November 30, 2023 in respect of the CI ETFs. In all cases, the distribution will be paid on or before November 30, 2023 to unitholders of record on November 24, 2023. The ex-dividend date for all ETFs is November 23, 2023, with the exc
Nov 10, 2023 11:45 am ET
CI Global Asset Management Investment Performance Recognized With 19 LSEG Lipper Fund Awards
CI Global Asset Management (“CI GAM”) announces that its investment funds have been recognized with 19 LSEG Lipper Fund Awards for 2023. The awards identify mutual funds and exchange-traded funds that have provided consistently strong risk-adjusted performance, relative to peers.
Nov 10, 2023 07:30 am ET
CI Financial Announces Commencement of Substantial Issuer Bid
CI Financial Corp. (TSX: CIX) (“CI Financial” or the “Corporation”) announced today it has commenced its previously announced substantial issuer bid (the “Offer”), pursuant to which the Corporation will offer to purchase up to $100 million in value of its outstanding common shares (the “Shares”) from holders of Shares (the “Shareholders”) for cash, at a single price per Share (not less than $13.64 per Share and not more than $15.28 per Share) (the “Purchase Price”). As of November 9, 2023, there were 162,784,729 Shares issued and outstanding. The Offer
Nov 09, 2023 07:00 am ET
CI Financial Reports Financial Results for the Third Quarter of 2023
CI Financial Corp. (“CI”) (TSX: CIX) today released financial results for the quarter ended September 30, 2023.
Nov 08, 2023 09:00 am ET
CI Global Asset Management Announces New Series of CI Emerging Markets Bond Fund
CI Global Asset Management (“CI GAM”) today announced the launch of new series of CI Emerging Markets Bond Fund (the “Fund”), providing individual investors with expanded access to this distinct asset class.
Nov 01, 2023 02:54 pm ET
CI Global Asset Management Announces Enhancements to Selected Bond and Canadian Balanced Funds
CI Global Asset Management (“CI GAM”) announces enhancements to its mutual fund lineup, including management fee reductions on several fixed-income funds and changes to the investment strategies of a key Canadian balanced mandate.
Oct 24, 2023 07:00 am ET
CI Financial Reports Total Assets of $421.0 Billion for September 2023
CI Financial Corp. (“CI”) (TSX: CIX) today reported preliminary total assets of $421.0 billion as at September 30, 2023, consisting of asset management assets of $119.0 billion, Canadian wealth management assets of $81.5 billion, Canadian custody assets of $23.4 billion, and U.S. wealth management assets of $197.0 billion.
Oct 19, 2023 11:40 am ET
CI Financial Announces Third Quarter Earnings Conference Call and Webcast
CI Financial Corp. (“CI”) (TSX: CIX) will release its financial results for the third quarter of fiscal 2023 on Thursday, November 9, 2023.
Oct 16, 2023 07:00 am ET
CI Global Asset Management Announces October 2023 Distributions for the CI ETFs
CI Global Asset Management (“CI GAM”) announces the following regular cash distributions for the month ending October 31, 2023 in respect of the CI ETFs. In all cases, the distribution will be paid on or before October 31, 2023 to unitholders of record on October 25, 2023. The ex-dividend date for all ETFs is October 24, 2023, with the excepti
Oct 02, 2023 10:00 am ET
CI Global Asset Management Now Offering First Home Savings Account
CI Global Asset Management (“CI GAM”) announces that it is offering the First Home Savings Account (“FHSA”), effective today.
Sep 27, 2023 07:00 am ET
CI Financial Reports Total Assets of $431.9 Billion for August 2023
CI Financial Corp. (“CI”) (TSX: CIX) today reported preliminary total assets of $431.9 billion as at August 31, 2023, consisting of asset management assets of $122.7 billion, Canadian wealth management assets of $83.7 billion, Canadian custody assets of $23.9 billion, and U.S. wealth management assets of $201.6 billion.
Sep 14, 2023 07:00 am ET
CI Global Asset Management Announces September 2023 Distributions for CI ETFs
CI Global Asset Management (“CI GAM”) announces the following regular cash distributions for the month or quarter ending September 30, 2023 in respect of the CI ETFs. In all cases, the distribution will be paid on or before September 29, 2023 to unitholders of record on September 25, 2023. The ex-dividend da
Aug 29, 2023 09:00 am ET
CI Global Asset Management Brings Leading Alternative Asset Managers to Canadian Investors Through Two Private Markets Solutions
CI Global Asset Management (“CI GAM”) announces two solutions that provide Canadian investors with access to unique investment opportunities in global private markets. The solutions, a growth mandate and an income mandate, are now available to accredited investors through an offering memorandum.
Aug 28, 2023 10:09 am ET
CI Financial Reports Total Assets of $430.3 Billion for July 2023
CI Financial Corp. (“CI”) (TSX: CIX) today reported preliminary total assets of $430.3 billion as at July 31, 2023, consisting of asset management assets of $123.7 billion, Canadian wealth management assets of $83.9 billion, Canadian custody assets of $23.5 billion, and U.S. wealth management assets of $199.2 billion.
Aug 28, 2023 07:00 am ET
CI Financial Reports Total Assets of $430.3 Billion for July 2023
CI Financial Corp. (“CI”) (TSX: CIX) today reported preliminary total assets of $430.3 billion as at June 30, 2023, consisting of asset management assets of $123.7 billion, Canadian wealth management assets of $83.9 billion, Canadian custody assets of $23.5 billion, and U.S. wealth management assets of $199.2 billion.
Aug 24, 2023 01:29 pm ET
CORRECTING and REPLACING CI Global Asset Management Announces August 2023 Distributions for the CI ETFs
First paragraph, third sentence of release dated August 16, 2023, should read: The ex-dividend date for all ETFs is August 24, 2023, with the exception of CI High Interest Savings ETF, CI Money Market ETF and CI U.S. Money Market ETF which have an ex-dividend date of August 25, 2023. (instead of The ex-dividend date for all ETFs is August 24, 2023, with the exception of CI High Interest Savings ETF, which has an ex-dividend date of August 25, 2023.).
Aug 16, 2023 07:00 am ET
CI Global Asset Management Announces August 2023 Distributions for the CI ETFs
CI Global Asset Management (“CI GAM”) announces the following regular cash distributions for the month ending August 31, 2023 in respect of the CI ETFs. In all cases, the distribution will be paid on or before August 31, 2023 to unitholders of record on August 25, 2023. The ex-dividend date for all ETFs is August 24, 2023, with the exception o
Aug 10, 2023 07:00 am ET
CI Financial Reports Financial Results for the Second Quarter of 2023
CI Financial Corp. (“CI”) (TSX: CIX) today released financial results for the quarter ended June 30, 2023.
Aug 10, 2023 06:55 am ET
CI Financial to Acquire Ultra-High-Net-Worth Wealth Manager Coriel Capital
CI Financial Corp. (“CI”) (TSX: CIX) and Coriel Capital Inc. (“Coriel”) today announced an agreement under which CI will acquire Coriel, a Montreal-based wealth management firm.
Aug 01, 2023 10:00 am ET
Smart Switch DCA™, a New Service from CI Global Asset Management, Provides a Systematic Approach to Investing in Uncertain Markets
CI Global Asset Management (“CI GAM”) today introduces Smart Switch DCA™, a new service that simplifies investing by providing automated dollar cost averaging into CI GAM funds.
Aug 01, 2023 09:00 am ET
CI Private Wealth rebrands as Corient
CI Private Wealth, one of the fastest-growing national wealth advisory platforms in the U.S., announces it is rebranding as Corient.* The new name is derived from “client oriented” and expresses the firm’s commitment to providing its clients with an unparalleled wealth management experience.
Jul 25, 2023 07:05 am ET
CI Financial Announces Second Quarter Earnings Conference Call and Webcast
CI Financial Corp. (“CI”) (TSX: CIX) will release its financial results for the second quarter of fiscal 2023 on Thursday, August 10, 2023.
Jul 25, 2023 07:00 am ET
CI Global Asset Management Launches Money Market ETFs
CI Global Asset Management (“CI GAM”) announces the launch of two money market ETFs, the latest step in a series of enhancements to its money market lineup. CI Money Market ETF and CI U.S. Money Market ETF (the “ETFs”) begin trading today on the Toronto Stock Exchange (“TSX”) under the ticker symbols
Jul 24, 2023 07:00 am ET
CI Financial Reports Total Assets of $398.9 Billion for June 2023
CI Financial Corp. (“CI”) (TSX: CIX) today reported preliminary total assets of $398.9 billion as at June 30, 2023, consisting of asset management assets of $122.4 billion, Canadian wealth management assets of $82.6 billion, and U.S. wealth management assets of $194.0 billion.
Jul 14, 2023 07:00 am ET
CI Global Asset Management Announces July 2023 Distributions for the CI ETFs
CI Global Asset Management (“CI GAM”) announces the following regular cash distributions for the month ending July 31, 2023 in respect of the CI ETFs. In all cases, the distribution will be paid on or before July 31, 2023 to unitholders of record on July 25, 2023. The ex-dividend date for all ETFs is July 24, 2023, with the exception of CI Hig
Jul 13, 2023 10:39 am ET
CI Global Asset Management Announces Risk Rating Changes for 13 Funds
CI Global Asset Management (“CI GAM”) announces risk rating changes for certain mutual funds, as follows:
Jul 04, 2023 07:00 am ET
CI Global Asset Management Announces Significant Fee Reductions on Money Market Fund Lineup
CI Global Asset Management (“CI GAM”) today announced a series of changes designed to modernize its money market fund lineup, including significant reductions in management fees, fund name changes and two new money market ETFs.
Jun 27, 2023 05:24 pm ET
CI Financial Announces Election of Directors and Results of Annual Meeting of Shareholders
CI Financial Corp. (the “Corporation”) announces the results of matters voted upon at its annual meeting of shareholders held earlier today.
Jun 21, 2023 07:00 am ET
CI Financial Reports Record Total Assets of $400.9 Billion for May 2023
CI Financial Corp. (“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.
Jun 16, 2023 07:00 am ET
CI Financial Renews Normal Course Issuer Bid and Automatic Securities Purchase Plan
CI Financial Corp. (“CI”) (TSX: CIX) announced today that the Toronto Stock Exchange (“TSX”) has accepted its Notice of Intention to make a Normal Course Issuer Bid and Automatic Securities Purchase Plan (“ASPP”).
Jun 15, 2023 07:00 am ET
CI Global Asset Management Announces June 2023 Distributions for CI ETFs
CI Global Asset Management (“CI GAM”) announces the following regular cash distributions for the month or quarter ending June 30, 2023 in respect of the CI ETFs. In all cases, the distribution will be paid on or before June 30, 2023 to unitholders of record on June 26, 2023. The ex-dividend date for all ETFs
May 24, 2023 06:17 pm ET
CI Financial Corp. Announces Completion of Debt Tender Offers and Pre-IPO Minority Investment in Its U.S. Wealth Management Business
CI Financial Corp. (“CI”) (TSX: CIX) today announced that it has repurchased $234,775,000 of its outstanding 3.215% Debentures due 2024, $370,762,000 of its outstanding 3.759% Debentures due 2025 and $97,531,000 of its outstanding 3.904% Debentures due 2027 pursuant to the terms of its previously announced offers to purchase.
May 23, 2023 07:01 am ET
CI Global Asset Management Simplifies Investing with New Suite of Asset Allocation ETFs
CI Global Asset Management (“CI GAM”) today launches the CI Asset Allocation ETFs, a suite of low-cost all-in-one portfolio solutions. The six ETFs, which begin trading today on the Toronto Stock Exchange (“TSX”), invest primarily in other ETFs to provide diversified portfolios that match a broad spec
May 23, 2023 07:00 am ET
CI Financial Reports Record Total Assets of $394.9 Billion for April 2023
CI Financial Corp. (“CI”) (TSX: CIX) today reported preliminary total assets of $394.9 billion as at April 30, 2023, a record for CI. The total consisted of asset management assets of $123.4 billion, Canadian wealth management assets of $82.6 billion, and U.S. wealth management assets of $188.9 billion.
May 19, 2023 11:23 am ET
CI Financial Corp. Announces Final Pricing of Tender Offers for Three Series of Debentures
CI Financial Corp. (“CI” or the “Offeror”) (TSX: CIX) announced today the final pricing of its tender offers to purchase for cash, in three separate offers (the “Offers”), a targeted aggregate principal amount of up to $1,000,000,000 of the outstanding debentures of the three series set forth in the table below (collectively, the “Debentures”), on the terms and conditions set forth in the Offer to Purchase dated May 11, 2023 (the “Offer to Purchase”). References to “$” are to the Canadian dollar. Capitalized terms used but not defined in this announcement hav
May 18, 2023 07:42 pm ET
CI Financial Corp. Announces Expiration of Tender Offers for Three Series of Debentures
On May 11, 2023 CI Financial Corp. (“CI” or the “Offeror”) (TSX: CIX) announced that it was offering to purchase for cash, in three separate offers (the “Offers”), a targeted aggregate principal amount of up to $1,000,000,000 (the “Maximum Purchase Amount”) of the outstanding debentures of the three series set forth in the table below (collectively, the “Debentures”), on the terms and conditions set forth in the Offer to Purchase dated May 11, 2023 (the “Offer to Purchase”). The Offers expired at 5:00 p.m., Toronto time, on May 18, 2023 (the “
May 16, 2023 07:05 am ET
CI Global Asset Management Announces Name Change and Launch of Mutual Fund Series for CI Auspice Broad Commodity Fund
CI Global Asset Management (“CI GAM”) today announced the launch of a liquid alternatives mutual fund series that provides exposure to a diverse portfolio of commodities in the energy, metals and agriculture sectors.
May 16, 2023 07:00 am ET
CI Global Asset Management Announces May 2023 Distributions for the CI ETFs
CI Global Asset Management (“CI GAM”) announces the following regular cash distributions for the month ending May 31, 2023 in respect of the CI ETFs. In all cases, the distribution will be paid on or before May 31, 2023 to unitholders of record on May 25, 2023. The ex-dividend date for all ETFs is May 24, 2023, with the exception of CI High In
May 11, 2023 07:01 am ET
CI Financial Corp. Commences Tender Offers for Three Series of Debentures
CI Financial Corp. (“CI” or the “Offeror”) (TSX: CIX) today announced that it is offering to purchase for cash, in three separate offers (the “Offers”), a targeted aggregate principal amount of up to $1,000,000,000 (the “Maximum Purchase Amount”) of the outstanding debentures of the three series set forth in the table below (collectively, the “Debentures”), on the terms and conditions set forth in the Offer to Purchase dated May 11, 2023 (the “Offer to Purchase”). Unless specified otherwise, references to “$” are to the Canadian dollar. Capitalized ter
May 11, 2023 07:01 am ET
CI Financial Reports Financial Results for the First Quarter of 2023
CI Financial Corp. (“CI”) (TSX: CIX) today released financial results for the quarter ended March 31, 2023.
May 11, 2023 07:00 am ET
CI Financial Announces pre-IPO Minority Investment in its U.S. Wealth Management Business from Leading Global Institutional Investors
CI Financial Corp. (“CI”) (TSX: CIX) announced today that it has agreed to sell a 20% minority investment in its U.S. wealth management business (“CI US”) to a diversified group of leading institutional investors, including a wholly owned subsidiary of the Abu Dhabi Investment Authority (ADIA), Bain Capital, Flexpoint Ford, Ares Management funds
Apr 27, 2023 01:01 pm ET
CI Financial Announces Sale of its Minority Stake in Congress Wealth Management
CI Financial Corp. (“CI”) (TSX: CIX) announced today it has reached an agreement to sell its minority stake in Congress Wealth Management, LLC (“Congress”) to Audax Private Equity.
Apr 21, 2023 10:30 am ET
CI Financial Announces First Quarter Earnings Conference Call and Webcast
CI Financial Corp. (“CI”) (TSX: CIX) will release its financial results for the first quarter of fiscal 2023 on Thursday, May 11, 2023.
Apr 20, 2023 05:01 pm ET
CI Financial Reports Total Assets of $391.1 Billion for March 2023
CI Financial Corp. (“CI”) (TSX: CIX) today reported preliminary total assets of $391.1 billion as at March 31, 2023, consisting of asset management assets of $122.0 billion, Canadian wealth management assets of $81.6 billion, and U.S. wealth management assets of $187.5 billion.
Apr 17, 2023 07:00 am ET
CI Global Asset Management Announces ETF Name Changes, Risk Rating Changes and Completion of Mutual Fund Merger
CI Global Asset Management (“CI GAM”) today announced name changes for five ETFs, risk rating changes for six series of ETFs, and the completion of the previously announced merger of CI Global Equity Income Private Pool Class into CI Global Concentrated Equity Private Pool.
Apr 14, 2023 02:17 pm ET
CI Financial to Hold Annual Meeting of Shareholders on June 27, 2023
CI Financial Corp. (“CI”) (TSX: CIX) announced today it will hold its Annual Meeting of Shareholders on June 27, 2023 at 2 p.m. EDT.
Apr 13, 2023 07:00 am ET
CI Global Asset Management Announces April 2023 Distributions for the CI ETFs
CI Global Asset Management (“CI GAM”) announces the following regular cash distributions for the month ending April 30, 2023 in respect of the CI ETFs. In all cases, the distribution will be paid on or before April 28, 2023 to unitholders of record on April 24, 2023. The ex-dividend date for all ETFs is April 21, 2023, with the exception of CI
Apr 03, 2023 07:00 am ET
CI Global Asset Management Completes ETF Mergers and Mutual Fund ETF Series Delisting
CI Global Asset Management (“CI GAM”) announced today it has completed the mergers of three exchange-traded funds into CI Global Minimum Downside Volatility Index ETF. The mergers were implemented after the close of business on March 31, 2023.
Apr 03, 2023 07:00 am ET
CI Private Wealth Launches Trust Company, Enhancing its Wealth Planning Capabilities
CI Private Wealth, LLC (“CIPW”), a subsidiary of CI Fin
Mar 30, 2023 07:00 am ET
CI Global Asset Management Announces Estimated Reinvested Distributions in Connection with ETF Mergers
CI Global Asset Management (“CI GAM”) announces the following estimated reinvested distributions (the “Estimated Reinvested Distributions”) in respect of the upcoming mergers of certain ETFs on or about March 31, 2023, which were
Mar 23, 2023 07:00 am ET
CI Global Asset Management Announces Securityholder Approval of Mutual Fund Merger
CI Global Asset Management (“CI GAM”) announces that securityholders of
Mar 22, 2023 05:01 pm ET
CI Financial Reports Total Assets of $389.4 Billion for February 2023
CI Financial Corp. (“CI”) (TSX: CIX) today reported preliminary total assets of $389.4 billion as at February 28, 2023, consisting of asset management assets of $121.9 billion, Canadian wealth management assets of $81.1 billion, and U.S. wealth management assets of $186.4 billion.
Mar 16, 2023 07:00 am ET
CI Global Asset Management Announces March 2023 Distributions for CI ETFs
CI Global Asset Management (“CI GAM”) announces the following regular cash distributions for the month or quarter ending March 31, 2023 in respect of the CI ETFs. In all cases, the distribution will be paid on or before March 31, 2023 to unitholders of record on March 27, 2023. The ex-dividend date for all E
Mar 08, 2023 07:00 am ET
CI Global Asset Management Announces Securityholder Approval of Proposed ETF Mergers
CI Global Asset Management (“CI GAM”) announced today that it has received the required securityholder approval to merge three exchange-traded funds (each, a “Terminating ETF”) into
Mar 01, 2023 07:15 am ET
JFT Strategies Fund Launches At-The-Market Equity Program
CI Global Asset Management ("CI GAM") announces that
Feb 28, 2023 07:00 am ET
CI Financial Reports Record Total Assets of $391.6 Billion for January 2023
CI Financial Corp. (“CI”) (TSX: CIX) today reported preliminary total assets of $391.6 billion as at January 31, 2023, a record for the company. The total consisted of asset management assets of $123.4 billion, Canadian wealth management assets of $81.4 billion, and U.S. wealth management assets of $186.7 billion.
Feb 24, 2023 07:06 am ET
CI Financial Reports Financial Results for the Fourth Quarter of 2022
CI Financial Corp. (“CI”) (TSX: CIX) today released financial results for the quarter ended December 31, 2022.
Feb 21, 2023 07:00 am ET
CI Global Asset Management Expands Suite of Covered Call Strategies with New ETF and Four Mutual Funds
CI Global Asset Management (“CI GAM”) announces the launch of a new series of covered call investment funds, including an ETF focused on the utilities sector.
Feb 10, 2023 07:00 am ET
CI Global Asset Management Announces February 2023 Distributions for the CI ETFs
CI Global Asset Management (“CI GAM”) announces the following regular cash distributions for the month ending February 28, 2023 in respect of the CI ETFs. In all cases, the distribution will be paid on or before February 28, 2023 to unitholders of record on February 22, 2023. The ex-dividend date for all ETFs is February 21, 2023, with the exc
Feb 08, 2023 09:00 am ET
CI Global Asset Management Builds on its Leadership in Alternative Investments with New Multi-Manager Private Markets Solution
CI Global Asset Management (“CI GAM”) announces a new investment solution designed to deliver the benefits of private markets investing to individual investors.
Jan 31, 2023 11:45 am ET
CI Direct Investing Boosts Commitment to Straightforward Saving and Investing with Educational Collaboration
Online wealth management platform CI Direct Investing announces a collaboration with
Jan 27, 2023 09:44 am ET
CI Global Asset Management Investment Funds Honoured for Outstanding Performance
CI Global Asset Management (“CI GAM”) announces it has received 39 FundGrade A+® Awards for 2022. The winning CI GAM funds include 16 mutual funds and exchange-traded funds and 23 segregated funds managed by CI GAM.
Jan 24, 2023 07:00 am ET
CI Global Asset Management Launches Minimum Downside Volatility ETFs
CI Global Asset Management (“CI GAM”) announces that CI Global Minimum Downside Volatility Index ETF and CI U.S. Minimum Downside Volatility Index ETF begin trading today on the Toronto Stock Exchange (“TSX”) under the following tickers:
Jan 23, 2023 07:00 am ET
CI Financial Announces Fourth Quarter Earnings Conference Call and Webcast
CI Financial Corp. (“CI”) (TSX: CIX) will release its financial results for the fourth quarter of fiscal 2022 on Friday, February 24, 2023.
Jan 17, 2023 07:00 am ET
CI Financial Reports Total Assets of $375.8 Billion for December 2022
CI Financial Corp. (“CI”) (TSX: CIX, NYSE: CIXX) today reported preliminary total assets of $375.8 billion as at December 31, 2022, consisting of asset management assets of $117.8 billion, Canadian wealth management assets of $77.5 billion, and U.S. wealth management assets of $180.6 billion.
Jan 16, 2023 07:00 am ET
CI Global Asset Management Announces Fund Merger, ETF Risk Rating Change
CI Global Asset Management (“CI GAM”) today announced a proposal to merge CI Global Equity Income Private Pool Class into CI Global Concentrated Equity Private Pool, and a risk rating change for the Hedged Common Units of CI Tech Giants Covered Call ETF (TSX: TXF).
Jan 16, 2023 07:00 am ET
CI Global Asset Management Announces January 2023 Distributions for CI ETFs
Supporting investors’ needs  Stay in the market, minimize costs, and take advantage of a smart, simple and efficient feature designed to support investors’ needs. The CI Distribution Reinvestment Plan (DRIP) will automatically reinvest cash distributions into the CI ETF making the distribution. All of the distributions indicated in the table above will be paid in cash unless the unitholder has enrolled in the applicable DRIP of the respective ETF. For more information on how to enroll in DRIP and other considerations, please see the applicable ETF’s prospectus.
Jan 06, 2023 07:00 am ET
CI Global Asset Management Announces Confirmed Annual Reinvested Distributions for JFT Strategies Fund
CI Global Asset Management (“CI GAM”) announces the following reinvested distributions (the “Reinvested Distributions”) for JFT Strategies Fund (the “Fund”) for the year ending December 31, 2022. Estimated reinvested distributions for the Fund were previously announced on December 5, 2022.
Dec 30, 2022 02:17 pm ET
CI Global Asset Management Announces Reinvested Distributions
CI Global Asset Management (“CI GAM”) announces the following reinvested distributions (the “Reinvested Distributions”) in respect of certain ETFs listed below. In all cases, these Reinvested Distributions will be reinvested on or about December 30, 2022 to unitholders of record on December 29, 2022.
Dec 30, 2022 07:00 am ET
CI Global Asset Management Announces Confirmed Annual Reinvested Capital Gains Distributions for CI ETFs
CI Global Asset Management (“CI GAM”) announces the confirmed annual reinvested capital gains distributions (the “Reinvested Distributions”) for the 2022 tax year for the CI ETFs listed below.
Dec 30, 2022 07:00 am ET
Following Previously Announced Confidential Submission of Draft Registration Statement for its U.S. Business, CI Financial Confirms Intent to Voluntarily Delist from the NYSE and Deregister with the U
CI Financial Corp. (TSX: CIX; NYSE: CIXX) (“CI”) announced today that it has submitted a formal notice to the New York Stock Exchange (“NYSE”) of its decision to voluntarily delist its common shares from NYSE. Following the proposed delisting, CI expects that it will suspend its reporting obligations under the Securities Exchange Act of 1934, as amended (the “Exchange Act”). The common shares will continue to be listed and traded on the Toronto Stock Exchange under the symbol “CIX” and CI will remain a reporting issuer in Canada. The plan for the proposed U.S. delisting was initially outlined
Dec 29, 2022 07:00 am ET
CI Global Asset Management Announces Risk Rating Change for CI MSCI International Low Risk Weighted ETF
CI Global Asset Management (“CI GAM”) today announced a risk rating change for CI MSCI International Low Risk Weighted ETF, as follows:
Dec 22, 2022 02:44 pm ET
CI Financial Confirms Confidential Submission of Draft Registration Statement for Proposed Initial Public Offering of CI U.S. Holdings Inc.’s Common Stock
CI Financial Corp. (TSX: CIX; NYSE: CIXX) (“CI”), the parent of CI US Holdings Inc. (“CI US”), confirms that CI US has confidentially submitted a draft registration statement on Form S-1 with the Securities and Exchange Commission (the “SEC”), relating to a proposed initial public offering of common stock of CI US. The number of shares to be offered and the price range for the proposed offering have not yet been determined. The initial public offering is expected to take place after the SEC completes its review process, subject to market and other conditions. The company is making the announce
Dec 22, 2022 07:00 am ET
CI Financial Reports Record Total Assets of $384.9 Billion for November 2022
CI Financial Corp. (“CI”) (TSX: CIX, NYSE: CIXX) today reported preliminary total assets of $384.9 billion as at November 30, 2022, an all-time month-end high for the company. The total consisted of asset management assets of $121.7 billion, Canadian wealth management assets of $79.9 billion, and U.S. wealth management assets of $183.3 billion.
Dec 21, 2022 07:00 am ET
CI Global Asset Management to Launch Global and U.S. ETFs Focused on Managing Downside Volatility
CI Global Asset Management (“CI GAM”) today announced that it has received a receipt for the final prospectus of CI Global Minimum Downside Volatility Index ETF and CI U.S. Minimum Downside Volatility Index ETF.
Dec 13, 2022 07:00 am ET
CI Global Asset Management Announces December 2022 Distributions for CI ETFs
CI Global Asset Management (“CI GAM”) announces the following regular cash distributions for the month or quarter ending December 31, 2022 in respect of the CI ETFs. In all cases, the distribution will be paid on or before December 30, 2022 to unitholders of record on December 22, 2022. The ex-dividend date
Dec 09, 2022 12:28 pm ET
CORRECTING and REPLACING CI Global Asset Management Announces Estimated Annual Reinvested Capital Gains Distributions for CI ETFs
Please replace the release dated December 8, 2022 with the following corrected version due to additional amendments to the estimated annual reinvested capital gains for CI Gold Bullion Fund.
Dec 09, 2022 11:20 am ET
CI Financial Named a Top Employer for 2023
“Our employees are our greatest assets and we’re committed to investing in their development and providing meaningful opportunities for growth,” said CI Chief Executive Officer Kurt MacAlpine. “We’re incredibly proud of our staff. They continue to perform at a high level and achieved significant milestones in the strategic transformation of our company.”
Dec 08, 2022 03:46 pm ET
CORRECTING and REPLACING CI Global Asset Management Announces Estimated Annual Reinvested Capital Gains Distributions for CI ETFs
Please replace the release dated December 5, 2022 with the following corrected version due to amendments to the estimated annual reinvested capital gains for CI Gold Bullion Fund.
Dec 05, 2022 07:00 am ET
CI Global Asset Management Announces Estimated Annual Reinvested Capital Gains Distributions for CI ETFs
CI Global Asset Management (“CI GAM”) announces the estimated annual reinvested capital gains distributions (the “Reinvested Distributions”) for the 2022 tax year for the CI ETFs listed below.
Dec 05, 2022 07:00 am ET
CI Global Asset Management Announces Estimated Annual Reinvested Distributions for JFT Strategies Fund
CI Global Asset Management (“CI GAM”) announces the estimated reinvested distributions (the “Estimated Reinvested Distributions”) for JFT Strategies Fund (the “Fund”), a closed-end fund, for the year ending December 31, 2022.
Nov 30, 2022 07:00 am ET
CI Financial Announces Debenture Financing to Refinance Existing Indebtedness
CI Financial Corp. (“CI”) (TSX: CIX; NYSE: CIXX) announced today that it has entered into an agreement to sell debentures with an aggregate principal amount of $400 million, maturing on December 2, 2025. The 2025 debentures have a term of three years and carry an interest rate of 7.00% payable semi-annually. The debentures have a provisional rating of BBB (Stable) by DBRS, Baa2 (Stable) by Moody’s, and BBB- (Negative) by Standard & Poor’s.
Nov 22, 2022 09:30 am ET
CI Global Asset Management Launches CI Global Investment Grade Fund
CI Global Asset Management (“CI GAM”) today launched
Nov 17, 2022 09:05 am ET
CI Global Asset Management Mutual Funds and ETFs Recognized for Investment Excellence
CI Global Asset Management (“CI GAM”) announced today that its investment funds have been recognized with 14 Refinitiv Canada Lipper Fund Awards for 2022. The awards recognize mutual funds and exchange-traded funds that have provided consistently strong risk-adjusted performance, relative to peers.
Nov 15, 2022 07:00 am ET
CI Global Asset Management Announces November 2022 Distributions for CI ETFs
CI Global Asset Management (“CI GAM”) announces the following regular cash distributions for the month ending November 30, 2022 in respect of the CI ETFs. In all cases, the distribution will be paid on or before November 30, 2022 to unitholders of record on November 24, 2022. The ex-dividend date for all ETF
Nov 14, 2022 07:00 am ET
CI Financial Reports Total Assets of $364.3 Billion for October 2022
CI Financial Corp. (“CI”) (TSX: CIX, NYSE: CIXX) today reported preliminary total assets of $364.3 billion as at October 31, 2022, consisting of asset management assets of $116.3 billion, Canadian wealth management assets of $76.2 billion, and U.S. wealth management assets of $171.9 billion.
Nov 10, 2022 07:00 am ET
CI Financial Reports Financial Results for the Third Quarter of 2022
CI Financial Corp. (“CI”) (TSX: CIX, NYSE: CIXX) today released financial results for the quarter ended September 30, 2022.
Nov 01, 2022 07:00 am ET
CI Global Asset Management Launches Global Fixed-Income Mandates
CI Global Asset Management (“CI GAM”) today launched two new global fixed-income mandates, providing Canadian investors with additional options for income and diversification.
Oct 19, 2022 11:45 am ET
CI Financial Announces Third Quarter Earnings Conference Call and Webcast
CI Financial Corp. (“CI”) (TSX: CIX; NYSE: CIXX) will release its financial results for the third quarter of fiscal 2022 on Thursday, November 10, 2022.
Oct 17, 2022 07:00 am ET
CI Financial Reports Total Assets of $338.1 Billion for September 2022
CI Financial Corp. (“CI”) (TSX: CIX, NYSE: CIXX) today reported preliminary total assets of $338.1 billion as at September 30, 2022, consisting of asset management assets of $114.2 billion, Canadian wealth management assets of $74.0 billion, and U.S. wealth management assets of $149.9 billion.
Oct 14, 2022 07:00 am ET
CI Global Asset Management Announces October 2022 Distributions for CI ETFs
CI Global Asset Management (“CI GAM”) announces the following regular cash distributions for the month ending October 31, 2022 in respect of the CI ETFs. In all cases, the distribution will be paid on or before October 31, 2022 to unitholders of record on October 25, 2022. The ex-dividend date for all ETFs is October 24, 2022, with the excepti

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