The market recovery helped restore the median solvency ratio to pre-pandemic levels
Loneliness, cognitive decline and an increased reliance on the internet intensify investors' vulnerability
Stronger balance sheets and commodity prices limit the risk of companies dropping to junk
A lack of detail and standards makes assessing banks' exposure to commercial real estate difficult
Excess deaths resumed in the fall but younger, western Canadians were more affected, the agency said
GRI survey of financial institutions finds confidence in financial system, despite risks
The pandemic revealed money market funds are still susceptible to extreme market stress
Firms' tech update troubles can be a key source of operational failures, the FCA has found
Overall caseloads declined, while Covid-19 and SPACs emerged as new issues
Research finds false information is widely read and shared by Canadians