This Niagara-on-the-Lake advisor is having to talk clients out of reducing too much risk
It wasn't simply a matter of strong index returns: S&P Global report
Markets face multiple risks this year, all of them heightened relative to 2024
Solid market returns drove household net worth to almost $17.5 trillion
Threats include inflation, job cuts and the potential for higher borrowing rates
'I don’t think you can continue on as you’ve done historically,' portfolio manager says
The moves include industry-agnostic requirements for industrial companies and mining category updates
Canada is not alone in its reliance on U.S. purchasers
OSFI put the reforms on hold indefinitely in February
The announcement comes after the president spoke with leaders of the big three U.S. automakers