market volatility

Keyword: market volatility

33 results found

The last 10 to 15 working years before retirement is a powerful and precarious time for defined contribution plan members, with roughly half of the retirement savings they’ll accumulate in their lifetime built up in that window of time as they reach their peak earning years, according to Glenn Dial, vice-president of retirement thought leadership […]

After a “Goldlilocks period” of low inflation and economic stability in the 2010s, the coming decades are expected to be marked by a higher cost of living and broader economic turbulence. Defined contribution plan members’ portfolios need to be “structured for this new reality,” said Nicole Lomax, vice-president, director and lead of institutional asset allocation […]

KPMG in Canada is aiming to boost plan member engagement with its retirement savings programs with a host of changes, including a refreshed defined contribution plan investment lineup, a new first home savings account, financial education programming, digital tools and switching record keepers. The changes, launched in early October, stemmed from a review of the […]

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The median solvency ratio of Ontario defined benefit pension plans increased to 122 per cent during the second quarter of 2025, an increase of three per cent from the previous quarter, according to a new report by the Financial Services Regulatory Authority of Ontario. Ontario DB plans showed resiliency and remain on track despite economic […]

  • By: Staff
  • September 4, 2025 September 2, 2025
  • 09:00

In a fast-paced world with increasingly complex risks around every corner, pension and investment executives are looking for ways to safeguard their portfolios. The 2025 Risk Management Conference was a one-day forum designed for GTA-based DB plan sponsors to hear about insights and strategies to help them navigate these risks and deliver positive outcomes to […]

The current uncertainty around tariffs and trade policy is dominating institutional investors’ macro view of fixed income, said Alexander M. Mackey, co‐chief investment officer of fixed income at MFS Investment Management, during a session at the Canadian Investment Review’s 2025 Risk Management Conference. To reduce the noise of the uncertainty, his day-to-day focus is dominated […]

The uncertain geopolitical climate and the ensuing market volatility are offering a variety of entry points into credit markets, according to Bill Bohnsack, president and senior partner at Oak Hill Advisors, in a session made possible by T. Rowe Price at the Canadian Investment Review’s 2025 Global Investment Conference. “The reason for that is, when […]

The funded position of a typical Canadian defined benefit pension plan increased slightly both on a solvency and accounting basis in April, according to Telus Health’s latest pension index. It found the average funded position increased slightly on a solvency basis from 97.7 per cent to 98.2 per cent at the end of the month. […]

  • By: Staff
  • June 12, 2025 June 10, 2025
  • 11:00

Six in 10 (60 per cent) global institutional investors say interest rate changes were the No. 1 factor behind portfolio adjustments in 2024, according to a new report by the International Forum of Sovereign Wealth Funds. The report, which was based on the activities of long-term institutional investors representing more than $46 trillion in assets […]

  • By: Staff
  • May 1, 2025 April 30, 2025
  • 11:00

The average solvency ratio of Canadian pension plans declined three per cent as at March 31, 2025, according to a new report by Normandin Beaudry. At the end of the first quarter of 2025, the average solvency ratio reached 111 per cent. The decrease was attributed to a combination of increased liabilities and investment performance, […]

  • By: Staff
  • April 23, 2025 April 22, 2025
  • 15:00