Results

Market Update from the Global Asset Allocation Team – November 2021

Sentiment improved markedly in October and global equity markets made a swift comeback after the lull in September.

Optimizing Fixed Income Strategies in a Low Interest Rate Environment

Read our newest article to deep dive into our Active and Strategic Fixed Income team’s approach to Core plus strategies as a possible solution to a low interest rate environment.

Q3 2021 Financial Results

The Company will issue its financial results for the third quarter of 2021 on Thursday, November 11, 2021, before markets open. A conference call will follow at 10:00 a.m. (ET) the same day.

The Role of Private Alternatives in Hedging Inflation

How do institutional investors manage inflation risk? Our team explores the use of private alternative investments in an inflationary environment.

Fixed Income Monthly Monitor – October 2021

The taper is coming. In what many expected to be the beginning of the end, the Fed signaled at the September FOMC meeting tapering could begin before year end.

Q4 2021 Investment Outlook & Portfolio Strategy

Read our latest quarterly Investment Outlook and Portfolio Strategy document, providing a financial market recap for Q3 and our outlook for the next 12-18 months.

Market Update from the Global Asset Allocation Team – October 2021

After an extended period of calm, volatility resurfaced in September.

Maxime Carrier

Maxime Carrier leads the Fixed Income Solutions team and is a senior portfolio manager responsible for structuring, implementing and monitoring investment solutions for liability-focused clients.  Maxime began his career in the industry in 2003 and has been with the firm since 2021. Before joining Fiera Capital, he was Vice President & Director at a large Canadian-based […]

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.

Market Update from the Global Asset Allocation Team – September 2021

Global equity markets churned higher in August, even as investors contemplated the fast-spreading delta variant, signs of cooling global growth, accelerating inflation, and the path for monetary policy.
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