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Market updates

Q1 2025 | Market Update

2025 started relatively calmly. But sentiment shifted drastically in early April following the U.S. administration’s April 2 (Liberation Day) announcements on steep tariffs, targeting countries across the world. This sparked extreme short-term volatility – on both the up and downside - for stocks and bonds.

Q1 2025 | Market Update

2025 started relatively calmly. But sentiment shifted drastically in early April following the U.S. administration’s April 2 (Liberation Day) announcements on steep tariffs, targeting countries across the world. This sparked extreme short-term volatility – on both the up and downside - for stocks and bonds.

  • August 16, 2023

    Rates, recession and rallies - What now?

    Chhad Aul, Chief Investment Officer and Head of Multi-Asset Solutions, SLGI Asset Management Inc., discusses how the rate-hiking cycle will affect the economy. He also shares his insights on a potential recession, the performance of artificial intelligence stocks and the current risk-reward scenario provided by high-quality bonds.

  • August 16, 2023

    Granite Target Risk Funds - Q2 CIO Views

    Lagged effects of rate hikes are elevating risks to the global economy warns Chhad Aul, CIO and Head of the Multi-Asset Solutions, SLGI Asset Management Inc. He discusses this and how active management and investing in bonds can help amid rising uncertainty. 

  • July 05, 2023

    Q2 2023 | Market Update

    Markets rise spurred by high hopes for artificial intelligence and receding recession fears

  • May 09, 2023

    Will stocks & bonds move again in opposite directions to strengthen balanced portfolios?

    Our latest insight looks at when stocks and bonds correlate negatively and positively, why they move the way they do, and what that could mean for market watchers. 

  • April 21, 2023

    Nothing Unusual About Bear Market Rallies

    MFS Investment Management is the sub-advisor to the Sun Life MFS mutual funds

    In a recently published article ‘Looking Ahead to 2023: End and Beginning of an Earnings Cycle’ that was first published in the United States by MFS Investment Management, Robert M. Almeida Jr., Portfolio Manager and Global Investment Strategist, discusses his outlook on inflation, recession risks and earnings expectations for the rest of 2023. Here’s a summary of our takeaways.

  • April 13, 2023

    Why Canadian banks are largely immune to a bank run

    Strong regulation, supervision and a conservative risk culture characterize Canada’s concentrated banking industry. This has reinforced the message that Canadian banks are safe following recent bank runs in the U.S. 

  • April 05, 2023

    Q1 2023 | Market Update

    Markets rollercoaster through a volatile first quarter after interest rates expectations fluctuate.

  • March 28, 2023

    Federal Budget 2023

    Federal budget 2023 includes green tax credits, measures to make it easier to use RESPs and RDSPs, and benefits to help lower income Canadians fight inflation.

  • March 15, 2023

    Silicon Valley Bank and U.S. Regional Bank Fallout – What it means for Canadian investors

    Canadian markets turned volatile recently due to bank runs in the U.S. Despite the market turmoil, we encourage Canadian investors to stay invested. While bank runs may have limited direct impact on Canadian economy, the U.S. Federal Reserve’s interest rate decision could dictate the tone for Canada.

  • February 28, 2023

    Why it’s vital to consider low probability investment risks

    At times, investors tend to underestimate risks that seem unlikely to happen. But potentially high impact risks that have a low probability of occurring are important to consider while building and managing portfolios. Here is a list of such risks that markets could encounter in the short to medium term.