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TORONTO, June 22, 2022--(BUSINESS WIRE)--CI Financial Corp. (the "Corporation") announced the results of matters voted upon at its annual meeting of shareholders held on June 22, 2022.
All nominated directors were elected with voting results tabulated as follows:
William E. Butt
William T. Holland
David P. Miller
Tom P. Muir
Paul J. Perrow
Sarah M. Ward
At the meeting, shareholders also approved the appointment of Ernst & Young LLP as the auditors of the Corporation. The vote on the Board’s disclosed approach to executive compensation did not carry.
Details of each of these matters are set out in the Management Information Circular of the Corporation dated May 3, 2022. A report of voting results for each resolution presented at the Meeting prepared in accordance with National Instrument 51-102 will be filed under the Corporation’s profile on SEDAR at www.sedar.com.
About CI Financial
CI Financial Corp. is an integrated global wealth and asset management company. CI managed and advised on approximately $349.6 billion in client assets as at May 31, 2022. CI’s primary asset management businesses are CI Global Asset Management (CI Investments Inc.) and GSFM Pty Ltd., and it operates in Canadian wealth management through CI Assante Wealth Management (Assante Wealth Management (Canada) Ltd.), CI Private Counsel LP, Aligned Capital Partners Inc., Northwood Family Office Ltd., CI Direct Investing (WealthBar Financial Services Inc.), and CI Investment Services Inc.
CI’s U.S. wealth management businesses consist of Barrett Asset Management, LLC, Balasa Dinverno Foltz LLC, Bowling Portfolio Management LLC, Brightworth, LLC, BRR OpCo, LLC (Budros, Ruhlin & Roe), The Cabana Group, LLC, Corient Capital Partners, LLC, CPWM, LLC (Columbia Pacific Wealth Management), Columbia Pacific Advisors, LLC, Congress Wealth Management LLC, Dowling & Yahnke, LLC, Doyle Wealth Management, LLC, Galapagos Partners, LP, GLASfunds, LLC, Gofen & Glossberg, LLC, Matrix Capital Advisors, LLC, McCutchen Group LLC, OCM Capital Partners, LLC, Portola Partners Group LLC, Radnor Financial Advisors, LLC, RegentAtlantic Capital, LLC, The Roosevelt Investment Group, LLC, RGT Wealth Advisors, LLC, R.H. Bluestein & Co., Segall Bryant & Hamill, LLC, Stavis & Cohen Private Wealth, LLC, and Surevest LLC.
CI is listed on the Toronto Stock Exchange under CIX and on the New York Stock Exchange under CIXX. Further information is available at www.cifinancial.com.
View source version on businesswire.com: https://www.businesswire.com/news/home/20220622005982/en/
Jason Weyeneth, CFA
Vice-President, Investor Relations & Strategy
Vice-President, Corporate Communications
Managing Partner, StreetCred