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
What to Expect When Expecting Rates to Rise
2021 saw financial markets that were defined by transitioning expectations. The resiliency of the economic recovery is expected to be put to test.
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.
Favouring high credit quality within high yield
Jane-Marie Rocca, Portfolio Manager, Fixed Income talks about high yield bonds and why she favours higher credit quality issuers within the asset class in the current market environment.
Fixed Income Monthly Monitor – November 2022
The FTSE Canada Universe Bond Index pulled back on the month, with a negative 1.0% return, which was an improvement from mid-month tracking.
Fixed Income Monthly Monitor – September 2021
Canadian Q2 GDP unexpectedly declined 1.1% (ann.) versus what many expected would be a 2% or better figure.





Global Asset Allocation Team Market Update – June 2026