News and resources for Canada's top financial advisors
Senior analyst, G10, Multi-asset and currency management
Éric Morin contributes to the economic research that underlies the development of our firm’s macro-economic outlook. He is also responsible for the coverage of G10 economies in the currency-allocation investment management process.
Prior to joining CIBC Asset Management, Mr. Morin worked at the Bank of Canada as senior economist with the bank’s International Economic Analysis Department. He started his career at its United States Division, where he held different responsibilities, including monitoring U.S. economic developments and as lead economist on U.S. macroeconomic projections. Mr. Morin was later appointed to other divisions, where he covered advanced economies, such as Canada, the eurozone and Japan. He was also a visiting economist with the European Central Bank.
Mr. Morin earned his B.B.A. Applied Economics degree from the École des hautes études commerciales of Montreal and his M.Sc. Economics degree from the Université du Québec à Montréal.
Equities
Markets may be underestimating risks to the global economy.
By Éric Morin, M.sc |June 5, 2023
4 min read
A CIBC analyst is bearish for several reasons.
By Éric Morin, M.sc |June 8, 2022
5 min read
Fixed Income
Government bonds are more attractive than at the start of the year.
By Éric Morin, M.sc |June 1, 2022
3 min read
Last year’s returns likely won’t be repeated, analyst says.
By Éric Morin, M.sc |May 10, 2021
Lower returns are likely on tap for developed-market sovereigns, analyst says.
By Éric Morin, M.sc |May 3, 2021
Planning and Advice
May 8, 2024|5 min read
March 20, 2024|5 min read
May 7, 2024|4 min read
March 7, 2024|4 min read
February 15, 2024|3 min read
December 20, 2023|3 min read
Tax & Estate
January 17, 2024|4 min read
October 26, 2023|4 min read
We use cookies to make your website experience better. By accepting this notice and continuing to browse our website you confirm you accept our Terms of Use & Privacy Policy.