Rates are rising: what does this mean for your portfolio? May 30, 2022 - Uncertainty is higher now than earlier in the recovery, and investors are anxious about rate increases’ timing, magnitude and knock-on economic effects.
CC&L Private Capital's first-quarter financial market summary and outlook April 07, 2022 - This quarter inflation accelerated, Russia invaded Ukraine and central banks increased rates to cool the economy.
Ukraine war: portfolio review March 23, 2022 - We speak to some questions received and provide insights into how we are currently managing portfolios.
CC&L Private Capital's fourth-quarter financial market summary and outlook January 07, 2022 - Equity market returns were strong this quarter as the economy showed resilience in the face of higher COVID cases and more lockdowns.
Weekly Markets Roundup - Fiscal tailwinds and tech crosscurrents November 07, 2025 This week, Canada’s 2025 federal budget was unveiled, marking a shift toward long-term investment, productivity, and economic resilience.
Weekly Markets Roundup - Treading carefully October 31, 2025 This week the United States (US) Federal Reserve (Fed) and the Bank of Canada (BoC) cut rates by 0.25%.