Insights

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. 
Fiera Capital Jason Carvalho
Macroeconomics
Jun 2, 2020
13:27

Bank of Canada – Corporate Bond Purchase Program

Jason Carvalho, Senior Vice President and Capability Specialist, Fixed Income, explains the Bank of Canada's new Corporate Bond Purchase Program and its potential consequences for fixed income investors.
Good Governance. Greater Returns.
ESG/Responsible Investing
May 21, 2020

Good Governance. Greater Returns.

Environmental, Social and Governance (ESG) issues are taking a larger place in investor mindsets of late. As the Green Revolution takes hold, corporations’ roles in protecting our planet has driven their environmental practices to the forefront.
Nadim Rizk
Senior Vice President and Lead Portfolio Manager, Global Equities
Bond to Basics
Fixed Income
May 12, 2020

Bond to Basics

Following a stellar performance in 2019 with Canadian universe bonds returning almost 7%, at the beginning of the year we were hearing some legitimate concerns that bonds might have lost their appeal — after all, yields were at historic lows, credit spreads were tight, and the North American economy was showing no signs of slowing down.
Jean-Guy Mérette
Vice President and Portfolio Manager, Fixed Income
Volatility Overview
Market Comment
May 11, 2020
5:15

Volatility Overview

Vice President and Senior Portfolio Manager Alexandre Hocquard discusses the volatility during the first quarter and provides us with his outlook for the rest of the year.
Alexandre Hocquard
Vice President and Senior Portfolio Manager, Systematic Investment Strategies
Market Update by Candice Bangsund
General
May 5, 2020

Market Update from the Global Asset Allocation team – May 2020

In April, sentiment was reinvigorated and risky assets got some much-needed reprieve after the worst meltdown since the global financial crisis. Investors welcomed some tentative signs that the COVID global infection curve may be flattening, which sparked discussions about re-opening the economy.
Candice Bangsund
Vice President and Portfolio Manager, Global Asset Allocation
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Most Popular

Good Governance. Greater Returns.
ESG/Responsible Investing
May 21, 2020

Good Governance. Greater Returns.

Environmental, Social and Governance (ESG) issues are taking a larger place in investor mindsets of late. As the Green Revolution takes hold, corporations’ roles in protecting our planet has driven their environmental practices to the forefront.
Nadim Rizk
Senior Vice President and Lead Portfolio Manager, Global Equities