Pound ETF volatility likely to continue in near term
The aftermath of Brexit has saw the pound sterling plunge in value and with that the slew of ETFs tracking its progress
CSA propose ban on trailer fees, embedded commissions for mutual funds
Securities regulators reveal reform plan for mutual funds, with move away from commissions gathering pace
Post-Brexit investors fear the unknown
It’s more important than ever for advisors to provide investor guidance with a focus on the fundamentals says wealth principal
Protectionist attitude returning, says iA Clarington manager
What are the long-term implications of Brexit on Canadian investors and where is the smart money going in this environment?
Risk management not much better than 2008, Allianz survey reveals
Survey by Allianz Global Investors reveals growing concern among investment community that lessons weren’t learned from 2008 meltdown
UK credit rating slashed by S&P
Standard & Poor has opted to cut the credit rating for the UK from AAA, following ‘leave’ referendum result
Brexit volatility may last years, says Sprott manager
Mark Wisniewski of Sprott Asset Management says Leave vote was a surprise, but something he had prepared for with his portfolio’s exposure
How long can Brexit market jitters last?
Markets continue to swing following last week’s Brexit outcome. How will investor panic impact the economy?
New reporting standard a major challenge for big banks
Darryl Ivan of SAS Canada explains how analytics will increase in importance for financial institutions moving forward
Beware dangerous volatility following Brexit, say market experts
Currency chaos, market madness and political pandemonium are going to follow Brexit, say three expert commentators, and Canada is in no way immune to the fallout