Portfolio Managers Mike Clare and Eric Chadwick discuss the outlook for the global financial sector, including the impact of rate hikes, the potential impact of rate cuts in 2024, the credit environment, and recent regulatory developments.
2024 Financials Sector Outlook
Joining Brompton Group in March of 2006, Mr. Cullen is a CFA charterholder and is a member of the Toronto CFA Society. He graduated with a Bachelor of Applied Science in Chemical Engineering and Applied Chemistry from the University of Toronto and a Master of Business Administration from the Rotman School of Management, University of Toronto.
Recent Insights
Since publishing our 2026 outlook Don’t Bet Against the Fed, there have been substantial changes to the geopolitical...
Fund in focus: Brompton U.S. Cash Flow Kings ETF, Brompton Canadian Cash Flow Kings ETF, Brompton International Cash...
Funds in focus: Brompton Split Corp. Preferred Share ETF (SPLT), Brompton Global Healthcare Income & Growth ETF (HIG),Brompton...



