Investment Planning Counsel Inc. Reports September 2010 Mutual Fund Sales and Assets Under Management
TORONTO, ONTARIO--(Marketwire - Oct. 1, 2010) - Counsel Portfolio Services Inc., a division of Investment Planning Counsel Inc., today reported preliminary mutual fund sales and assets under management for the month ending September 30, 2010. Mutual fund assets under management were $2.38 billion at September 30, 2010 compared with $2.03 billion at September 30, 2009 and $2.14 billion at ...
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Orignal From: Investment Planning Counsel Inc. Reports September 2010 Mutual Fund Sales and Assets Under Management
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