All financial amounts in Canadian dollars unless stated otherwise.
CI Financial Corp. (“CI”) (TSX: CIX) today reported preliminary total assets of $474.2 billion as at March 31, 2024, consisting of asset management assets of $130.1 billion, Canadian wealth management assets of $93.7 billion, Canadian custody assets of $28.0 billion, and U.S. wealth management assets of $222.3 billion.
CI FINANCIAL CORP. March 31, 2024 PRELIMINARY MONTH-END ASSETS (C$ Billions)  | 
|||||
ENDING ASSETS  | 
March 2024  | 
February 2024  | 
% Change  | 
March 2023  | 
% Change  | 
Asset management (1)  | 
$130.1  | 
$128.0  | 
1.6%  | 
$122.0  | 
6.7%  | 
Canada wealth management  | 
$93.7  | 
$91.9  | 
2.0%  | 
$81.6  | 
14.9%  | 
Canada custody (2)  | 
$28.0  | 
$27.1  | 
3.4%  | 
$8.6  | 
225.7%  | 
U.S. wealth management (3)  | 
$222.3  | 
$218.9  | 
1.6%  | 
$187.5  | 
18.6%  | 
TOTAL ASSETS  | 
$474.2  | 
$465.9  | 
1.8%  | 
$399.7  | 
18.6%  | 
  | 
  | 
  | 
  | 
  | 
  | 
U.S. wealth management from above in USD (3)  | 
$164.1  | 
$161.3  | 
1.8%  | 
$138.7  | 
18.3%  | 
ASSET MANAGEMENT – AVERAGE AUM  | 
March 2024  | 
February 2024  | 
December 2023  | 
Fiscal 2023  | 
% Change  | 
Monthly average  | 
$129.3  | 
$126.4  | 
-  | 
-  | 
2.3%  | 
Quarter-to-date average  | 
$126.8  | 
-  | 
$121.1  | 
-  | 
4.7%  | 
Year-to-date average  | 
$126.8  | 
-  | 
-  | 
$121.9  | 
4.0%  | 
PRELIMINARY QUARTER-END SALES RESULTS (C$ Billions)  | 
|||||
Asset Management  | 
1Q24  | 
4Q23  | 
3Q23  | 
2Q23  | 
1Q23  | 
Canadian retail  | 
$ (1.3)  | 
$(0.4)  | 
$ (0.1)  | 
-  | 
$ 0.8  | 
Canadian institutional  | 
-  | 
-  | 
$ (0.1)  | 
-  | 
$ (0.2)  | 
Australian asset management  | 
$(0.1)  | 
$0.2  | 
$ (0.1)  | 
$ 0.1  | 
$ (0.1)  | 
Closed business  | 
$(0.2)  | 
$(0.2)  | 
$ (0.2)  | 
$ (0.2)  | 
$ (0.2)  | 
Asset management segment  | 
$(1.6)  | 
$(0.4)  | 
(0.4)  | 
(0.1)  | 
0.4  | 
  | 
  | 
  | 
  | 
  | 
  | 
U.S. asset management (4)  | 
0.1  | 
(0.1)  | 
-  | 
(0.3)  | 
(0.1)  | 
PRELIMINARY ASSET MANAGEMENT SEGMENT FEE RATE  | 
|||||
  | 
1Q24  | 
4Q23  | 
3Q23  | 
2Q23  | 
1Q23  | 
Net management fees/average AUM (bps)  | 
81.0  | 
81.2  | 
83.8  | 
84.6  | 
86.0  | 
1.  | 
Includes $34.4 billion of assets managed by CI and held by clients of advisors with CI Assante Wealth Management, CI Private Counsel (CIPC) and Aligned Capital Partners as at March 31, 2024 ($33.9 billion at February 29, 2024 and $33.0 billion at March 31, 2023).  | 
|
2.  | 
Includes $24.5 billion of assets advised by CI and held by clients of advisors with Assante, CIPC, CI Direct Investing and Aligned Capital as at March 31, 2024 ($23.8 billion at February 29, 2024 and $5.0 billion at March 31, 2023). Prior to July 2023, custody assets were historically not included as part of reported assets for Canada wealth management or consolidated total assets.  | 
|
3.  | 
Month-end USD/CAD exchange rates of 1.3546, 1.3572 and 1.3515 for March 2024, February 2024 and March 2023, respectively.  | 
|
4.  | 
Includes 100% of inflows from CI’s minority investments in Columbia Pacific Advisors, OCM Capital Partners, The Cabana Group and GLASfunds Holdings.  | 
About CI Financial
CI Financial Corp. is a diversified global asset and wealth management company operating primarily in Canada, the United States and Australia. Founded in 1965, CI has developed world-class portfolio management talent, extensive capabilities in all aspects of wealth planning, and a comprehensive product suite.
CI operates in three segments:
- Asset Management, which includes CI Global Asset Management, which operates in Canada, and GSFM Funds Management, which operates in Australia.
 - Canadian Wealth Management, which includes the operations of CI Assante Wealth Management, Aligned Capital Partners, CI Private Wealth, Northwood Family Office, Coriel Capital, CI Direct Investing and CI Investment Services.
 - U.S. Wealth Management, which includes Corient Private Wealth, an integrated wealth management firm providing comprehensive solutions to ultra-high-net-worth and high-net-worth clients across the United States.
 
CI is headquartered in Toronto and listed on the Toronto Stock Exchange (TSX: CIX). To learn more, visit CI’s website or LinkedIn page.
CI Global Asset Management is a registered business name of CI Investments Inc., a wholly owned subsidiary of CI Financial Corp.  | 
View source version on businesswire.com: https://www.businesswire.com/news/home/20240418002447/en/
Contacts
Investor Relations 
Jason Weyeneth, CFA
Vice-President, Investor Relations & Strategy
416-681-8779
jweyeneth@ci.com
Media Relations 
Canada
Murray Oxby
Vice-President, Corporate Communications
416-681-3254
moxby@ci.com
United States
Jimmy Moock
Managing Partner, StreetCred
610-304-4570
jimmy@streetcredpr.com 
ci@streetcredpr.com
