For Advisor Use OnlySee full disclaimer Subscribe to Advisor ToGo e-alerts
Craig is a Portfolio Manager on the Canadian equity team, responsible for High Quality GARP (Growth at a Reasonable Price) mandates. Craig is the lead manager of the CIBC Canadian Equity Fund and CPIC Core Fund and co-manages the CIBC Monthly Income Fund, CIBC Global Monthly Income Fund, CIBC Dividend Growth, CIBC Dividend Income, Renaissance Diversified Income Fund, and the ICS Canadian Diversified Income Strategy.
Prior to joining CAM in 2006, Craig was an Analyst at Dynamic Mutual Funds focusing on international mobile gaming and the alternative energy sector. He began his career as a Software Developer at Amdocs Ltd.
Craig holds a Bachelor of Science from McGill University and a Master of Business Administration from the University of Toronto. He is also a CFA charterholder.
Outlook for stocks is nuanced but "definitely not all bad," PM says.
Dividend strategies can smooth volatility, portfolio manager says.
Lower credit loss provisions helped boost profits.
Value's on a roll, but investors shouldn't get carried away.
Listen to the full podcast on AdvisorToGo, powered by CIBC. Listen to the full podcast #2 on AdvisorToGo, powered by CIBC.
Rising rates and geopolitics present advantages.
PM shares three Canadian picks.
“We've seen the playbook before.”
The post-pandemic economy may favour the TSX.
“The S&P 500 has outperformed the S&P/TSX Composite nine out of the past 10 years. But I see the tide turning, and now is not the time to be chasing past performance,” says CIBC’s Craig Jerusalim.