Insights
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.
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Other Insights
Impact Investing: A Third Factor to the Risk/Return Mindset
Traditionally, risk and return are the two most important considerations in the realm of investment management. Modern Portfolio Theory hypothesizes that investors can construct optimal – or “efficient” – portfolios which maximize expected returns by taking on a quantifiable and specific amount of risk.
2020 Responsible Investment Report – Investing in a Sustainable Future
At Fiera Capital, acting responsibly has always been one of our fundamental guiding principles, both as an organization and as an asset manager.
Canadian Equities – 2023 Sustainable Investing Report
The Fiera Canadian Equity Team is proud to publish their 2023 Sustainable Investing Report, showcasing the tangible evidence that their holdings have made on their sustainability progress.
Fiera Atlas Global Companies Strategy: Company Selection
In the next part of the Fiera Atlas video series, Andy Gardner, Portfolio Manager, explains the thinking behind team’s stock selection, including how they define and identify exceptional companies.
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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.






COVID-19 – Reflationary Train Delayed, Not Derailed