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Friday May 24, 2013 5:40 PM ET. Data delayed 15 minutes.
30.35
-0.33 (-1.08%)
Bid/Lots
30.26/2
Ask/Lots
30.36/2
Open/Prev Close
30.68/30.68
Day Range
30.31-30.79
52-Week Range
21.00-30.99
Vol/Avg Daily Vol
127.2K/221.7K
Price Comparison Chart
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Recent News»

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Skylon Funds Announce Distributions For Month Ending May 2013
9:30AM ET on Wednesday May 22, 2013 by CNW Group

CI Investments Inc., as manager of each of the issuers named below (the Skylon Funds), announces the following distributions for the month ending May 31, 2013 payable on June 14, 2013 to unitholders of record as at May 31, 2013:

CANADA RESEARCH ROUNDUP: Fortis Inc, Paramount Resources, Westjet Airlines
11:30AM ET on Wednesday May 08, 2013 by Thomson Reuters

May 8 (Reuters) - Securities analysts revised their ratings and price targets on several Canadian companies, including Fortis Inc and Westjet Airlines...

CI Financial reports first quarter results: Earnings per share increase 6%; dividend raised 6%
11:37AM ET on Tuesday May 07, 2013 by CNW Group

TSX Symbol: CIX

CI Financial Corp. ("CI") today released unaudited financial results for the quarter ended March 31, 2013.

For the quarter ended March 31, 2013, average assets under management reached a record high of $78.8 bill...

CI Financial reports a new high in assets under management
12:57PM ET on Wednesday May 01, 2013 by CNW Group

TSX Symbol: CIX

CI Financial Corp. ("CI") today reported assets under management as of April 30, 2013 of $81.6 billion, an all-time record for the company. Total assets were $105.8 billion.

CI's assets under management grew $1.1...

CI Financial announces earnings conference call and webcast
3:50PM ET on Tuesday Apr 30, 2013 by CNW Group

TSX Symbol: CIX

CI Financial Corp. ("CI") will release its financial results for the first quarter of fiscal year 2013 on Tuesday, May 7, 2013. The results will be issued through CNW Group Ltd. and on www.cifinancial.com.

Company Information

CI Financial Corp. (CI) is a diversified wealth management and an independent investment fund company. The principal business of CI is the management, marketing, distribution and administration of mutual funds, segregated funds, structured products and other fee-earning investment products for Canadian investors. They are distributed primarily through brokers, independent financial planners and insurance advisors, including ACM and AFM financial advisors. CI operates through two business segments, Asset Management and Asset Administration. The Asset Management segment provides the majority of CI's income and derives its revenue principally from the fees earned on the management of several families of mutual, segregated, pooled and closed-end funds, structured products and discretionary accounts. The Asset Administration segment derives its revenue principally from commissions and fees earned on the sale of mutual funds and other financial products and ongoing service to clients.

CONTACT INFORMATION

HeadquartersTwentieth Floor, 2 Queen Street East
TORONTO, ON, Canada M5C 3G7
Phone416-364-1145
Fax416-365-0501

EXECUTIVE OFFICERS

Executive Chairman of the BoardWilliam Holland
President, Chief Executive Officer, DirectorStephen MacPhail
Chief Financial Officer, Senior Vice PresidentDouglas Jamieson
Chief Operating Officer, Executive Vice PresidentDavid Pauli
Executive Vice President, General Counsel, SecretarySheila Murray

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Market Cap$8.7BBeta0.90
Revenue (TTM)$1.5BEPS$1.26
Shares Out.283.4MBook Value$5.92
Dividend Yield3.56%P/E24.4x
Annual Dividend Rate$1.08Price/Sales (TTM)5.9
Ex-Div Date5/29/13P/Cash Flow (TTM)23.6x
Pay Date6/14/13Operating Margin34.72%

*GAAP = prior to non-GAAP analyst adjusted earnings.

(Non-GAAP)*

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