Oil price stall, global uncertainty prompt caution as oil firms roll out Q3 reports
Producers should be feeling better after an improvement from the second quarter
- By: Dan Healing
- October 19, 2020 October 19, 2020
- 10:56
Producers should be feeling better after an improvement from the second quarter
The U.S. firm specializes in fixed index annuities
Retail sales finally returned to pre-virus levels
Experts predict the Bank of Canada will continue to focus on inflation targeting
FINTRAC and OSFI are redistributing AML responsibilities
Two commissioners have criticized the weaker standards, claiming they reduce transparency
Canadian debt back in demand, domestic investors add U.S. securities
FSB aims to curb transition risks with industry roadmap
Bearish investors are baking in their personal pandemic experiences, says Horizons ETFs CEO
CIO Rob Mikalachki is leaving the firm
The fund will initially start at $50 million
Retail sales jumped 1.9% last month, better than economists expected
Activity concentrated in handful of brokers, trading venues
Investors had expected oil to bottom out around US$60 a barrel this year — now the war in Iran is expected to have a lasting…
Province forecasted a historic $1.4B deficit in its 2026 budget
Court to hear appeal from man convicted after OSC appealed his acquittal
Firm failed to pay attention to red flags in rep's trading activity
Hedge fund trader pleaded guilty in market manipulation case
The net worth of the top 20% averaged $3.5 million per household
Product options, focus on planning add to last year's sales momentum
The Calgary-based asset manager negotiated with its lender to buy more time to repay its debt
Plus, Designed Wealth adds advisor and inaugural taxonomy and transition planning council named
McIntyre to start a new role later this month
Plus, appointments at Sun Life, Connor, Clark & Lunn, Sapling Financial and more
Plus, new emerging market, target-date and tech funds, and a raft of fund changes
The lack of a structured follow-up when a client changes hands can leave the policyholder vulnerable
Gold prices, equity markets drove strong seg fund sales but couldn’t prevent net outflows in 2025