Insights

Image for 2024 Sustainability Report

2024 Sustainability Report

We are pleased to present our Sustainability Report, showcasing our commitment to both sustainable investing and corporate responsibility and highlighting our ongoing efforts to integrate sustainability into every aspect of our business.

Other Insights

Candice Bangsund for Fiera Capital
Market Commentaries
February 24, 2020

COVID-19 – Reflationary Train Delayed, Not Derailed

Description: Candice Bangsund, Vice President and Portfolio Manager, Global Asset Allocation details how financial markets have reacted to the spread of the COVID-19 virus, and shares her thoughts on the near and long term macroeconomic impacts.
Candice Bangsund
Vice President and Portfolio Manager, Global Asset Allocation and Private Markets Solutions
The Debt Canary
Fixed Income
February 19, 2020

The Debt Canary

In the fourth quarter of 2019, there were 35,155 consumer insolvency filings, according to Canada’s Office of the Superintendent of Bankruptcy. That’s the highest since 2010 and about 5,000 shy of the record reached in the third quarter of 2009. For the full year, over 137,000 Canadians declared bankruptcy, 9.5% more than the previous year […]
Fear vs Fundamentals: Redux
Market Commentaries
February 19, 2020

Fear vs Fundamentals: Redux

We are well into earnings season for the final quarter of 2019, but one could be forgiven for not noticing. After all, Coronavirus fears and the accompanying environment of heightened uncertainty have stolen the headlines.
Global Financial Forecast 2020-2027
Market Commentaries
February 18, 2020

Global Financial Forecast 2020-2027

Since 2008, the economy and financial markets have been driven by extraordinary actions from central banks, a thirst for yield, falling productivity and a prolonged expansion characterized by very low inflation. We continue to expect the next seven years to be driven by a return to normality in central bank activities and productivity. Demographics should […]
Emerging Market Bonds
Fixed Income
February 12, 2020
3:58

Emerging Market Bonds

Nicolas Vaugeois, Portfolio Manager, Global Asset Allocation, discusses the benefits of investing in emerging market bonds and shares his current underweights and investment ideas for 2020.
Nicolas Vaugeois
Portfolio Manager, Global Fixed Income
To navigate through pages, please change the current page number and press Enter
of 44

Most Popular

Abstract background with dark blue and arrows
Insights
April 15, 2026

Q2 2026 Investment Outlook & Portfolio Strategy

Read our latest quarterly Investment Outlook and Portfolio Strategy document, providing a financial market recap for Q1 and our outlook for the next 12-18 months.