Insights
2025 Sustainability Report
We are pleased to present our 2025 Sustainability Report, highlighting our commitment to sustainable investing and responsible business practices, as well as our ongoing efforts to integrate sustainability across our organization.
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Other Insights
Spread Widening: Opportunity or Threat?
Since the COVID-19 outbreak, credit spreads have widened to levels not seen since the Global Financial Crisis (GFC), as investors are bracing for a severe recession – potentially the worst one since the Great Depression, at least in the view of the International Monetary Fund.
Market Update from the Global Asset Allocation team – April 2020
The month of March was nothing short of unprecedented. Financial markets were roiled against the backdrop of the escalating COVID-19 pandemic and the dreadful economic fallout from the countermeasures to contain it.
COVID 19 – From the Bond Desk
Description: Jean-Guy Mérette, Vice President and Portfolio Manager, Active and Strategic Fixed Income Team, talks about the latest developments related to COVID-19 in the bond market.
Recession Risk Rising
The crisis in confidence stemming from COVID-19 has become increasingly self-fulfilling, which has brought into question our outlook for global growth as government efforts to contain the virus restricts economic activity and as individuals self-isolate in response to the fast-spreading pandemic.
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Global Asset Allocation Team Market Update – June 2026
Investor sentiment thrived in May, with unrelenting enthusiasm around the artificial intelligence (AI) boom and
lingering hopes for a truce between the United States and Iran buttressing risk appetite.







COVID-19 in the U.S. – Historical Point of View