The Board of Directors of the Investment Industry Association of Canada (IIAC) meets quarterly and is comprised of 14 elected individuals from its Member firms. Board members represent all sectors of Canada’s investment industry, including:
- Large retail dealers (non-bank owned)
- Medium retail dealers
- Small retail dealers
- Institutional dealers
- Integrated dealers (including bank-owned)
The Board of Directors of the Investment Industry Association of Canada
Greg Woynarski (Chair)
Managing Director, GBM Strategy Office
Scotiabank Global Banking and Markets, Scotia Capital Inc.
John Chambers (Vice Chair)
Chief Executive Officer
FirstEnergy Capital Corp.
Senior Vice President
TD Bank Group, Wealth Management
Assante Wealth Management Inc.
Chief Executive Officer and Chairman
Burgeonvest Bick Securities Limited
EVP & Managing Director, Head, Private Client Division
BMO Nesbitt Burns Inc.
Managing Director and Head
CIBC Wood Gundy
Executive Vice President and Head of the Private Client Group
Raymond James Ltd.
Managing Director, Equity Capital Markets and Operations
Cormark Securities Inc.
Co-Head, Global Capital Markets and I&TS Compliance
RBC Dominion Securities Inc.
Chief Compliance Officer
Stuart R. Raftus
Canaccord Genuity Wealth Management
President and Chief Executive Officer
The Investment Industry Association of Canada
Vice Chairman & Member, Executive Committee
National Bank Financial Wealth Management
Chief Financial Officer and Secretary
GMP Capital Inc.
Click here to access the IIAC’s Competition Law Compliance Policy and Guidelines