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.
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.
Embrace Duration in Rising Rates?
Read our most recent white paper to see how thinking unconventionally and embracing duration at this point of the cycle can open the door to market opportunities.
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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.







Market Update from the Global Asset Allocation team – April 2020