Positioning for Resilience: A Global Market Perspective

In his Q3 2025 update, Paul Punzo provides his take on equity markets, the economy, and current portfolio positioning for IPC Private Wealth. With a cautious but constructive outlook, Paul is emphasizing quality, earnings resilience, and macro signal...

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Resilience in Focus: Navigating Rate Cuts and Market Highs

In this client-friendly video, Blair Setford, Canada Life Investment Management Ltd.’s AVP of Product Management, discusses how global markets surged in Q3 amid rate cuts and strong earnings....

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Q3 2025 Investment Insights | Balancing Resilience and Fragility

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The Importance of Diversification and Long-Term Investing

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2025 Q2 investment insights: Embracing the Unknowable

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Staying Disciplined Amid Global Uncertainty

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Insights in 5: A Volatile Start to 2025

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Volatility: A Historical Perspective

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Our Perspective: A Structural Break in Global Trade Norms

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Q1 2025 Investment Insights: Navigating Uncertainty Amid Trade Policy and Market Volatility

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