CI Financial Corp CIX

Morningstar Rating
CAD 19.32 +0.39 (2.06%)
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Company Report

CI Financial Earnings: More Noise in the Quarter but Solid Movement in Debt Repayment

There was little in no-moat CI Financial's second-quarter results that would alter our long-term view of the firm. We expect to leave our CAD 16 per share fair value estimate in place. We view the shares as being fairly valued. CI Financial closed out June 2024 with CAD 130.1 billion in core assets under management, or AUM, down 0.1% sequentially but up 6.3% year over year. Outflows of CAD 0.6 billion were offset by market gains of CAD 0.5 billion during the quarter. That said, the firm's redemption rate for its Canada fund operations remains in the mid-20s relative to 15%-20% historically, as compared with an average redemption rate of 15% for the Canadian fund industry.

Price vs Fair Value

CIX is trading at a 229% premium.
Price
CAD 18.93
Fair Value
CAD 17.00
Uncertainty
High
1-Star Price
CAD 27.80
5-Star Price
CAD 3.10
Economic Moat
Mcmd
Capital Allocation
Pltpx

Bulls Say, Bears Say

Bulls

With CAD 129.5 billion in core assets under management at the end of May 2024, CI Financial has the scale necessary to be competitive as the second-largest non-bank-affiliated provider of mutual funds in Canada.

Bears

With significant amounts of operating and financial leverage, and its fortunes tied to the equity and credit markets, CI Financial would be negatively impacted by market dislocations.

News

Trading Information

Previous Close Price
CAD 18.93
Day Range
CAD 18.8119.70
52-Week Range
CAD 12.5119.70
Bid/Ask
CAD 19.29 / CAD 19.39
Market Cap
CAD 2.82 Bil
Volume/Avg
890,382 / 423,485

Key Statistics

Price/Earnings (Normalized)
10.60
Price/Sales
1.01
Dividend Yield (Trailing)
4.23%
Dividend Yield (Forward)
4.23%
Total Yield
16.22%

Company Profile

CI Financial is a provider of asset and wealth management products and services. The company has a decent share in the Canadian fund market (fifth overall behind Royal Bank of Canada, Toronto-Dominion, IGM Financial, and Fidelity at the end of last year), and remains the second-largest nonbank-affiliated asset manager in the Canadian market, with CAD 129.5 billion in assets under management (including CAD 34.0 billion in AUM managed for its CI Assante Wealth Management, CI Private Counsel, and Aligned Capital Partners subsidiaries) at the end of May 2024. It also had CAD 342.2 billion in assets under advisement (including CAD 230.1 billion from its US wealth management operations and CAD 94.1 billion from its Canadian wealth management partners), and CAD 28.6 billion in custody assets.
Sector
Financial Services
Industry
Asset Management
Stock Style Box
Small Value
Total Number of Employees
2,390

Competitors

Valuation

Metric
CIX
IVZ
AGF.B
Price/Earnings (Normalized)
10.6011.067.70
Price/Book Value
2.940.740.59
Price/Sales
1.011.371.40
Price/Cash Flow
6.864.767.75
Price/Earnings
CIX
IVZ
AGF.B

Financial Strength

Metric
CIX
IVZ
AGF.B
Quick Ratio
0.121.881.17
Current Ratio
0.341.881.19
Interest Coverage
1.49−2.2617.96
Quick Ratio
CIX
IVZ
AGF.B

Profitability

Metric
CIX
IVZ
AGF.B
Return on Assets (Normalized)
3.02%2.50%4.30%
Return on Equity (Normalized)
27.68%6.60%5.91%
Return on Invested Capital (Normalized)
9.62%2.96%5.56%
Return on Assets
CIX
IVZ
AGF.B

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