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Q1 2025 Financial Results
The Company will issue its financial results for the first quarter of 2025 on Friday, May 9, 2025, before markets open. A conference call will follow at 10:00 a.m. (ET) the same day.
Michael Nitchov
Michael Nitchov joined Fiera Capital in 2022 as an Analyst, Cash & Reconciliation. In 2025, he joined the Private Wealth team as an Associate. In this role, he is responsible for providing high quality service to clients. Mr. Nitchov began his career in finance in 2018, working in accounting for an invoice factoring company. He […]
Q2 2025 Investment Outlook & Portfolio Strategy
Read our latest quarterly Investment Outlook and Portfolio Strategy document, providing a financial market recap for Q1 and our outlook for the next 12-18 months.
Navigating Global Seas: Unleashing the Power of Global Multi-Sector Fixed Income Strategies
Read our latest insights on how global multi-sector fixed income strategies can create diverse potential opportunities for investors.
Navigating Global Seas: Unleashing the Power of Global Multi-Sector Fixed Income Strategies
Read our latest insights on how global multi-sector fixed income strategies can create diverse potential opportunities for investors.
Tariff Announcements: Update with Jean-Guy Desjardins & Candice Bangsund
In response to the recent and ongoing tariff announcements, Jean-Guy Desjardins and Candice Bangsund share their perspectives and analysis on their potential impacts on the global economy. Filmed on April 9, 2025.
Global Asset Allocation Team Market Update – April 2025
The first quarter ended on a softer note, with President Trump’s disruptive trade proposals and mounting stagflation fears driving investors out of risky assets.
Webinar: Geopolitical and Economic Updates
Join us for a timely discussion with Professor Thierry Warin from HEC Montreal, along with our very own Candice Bangsund and Alexander Comeau. Click below for more information and register now!
Global Asset Allocation Team Market Update – March 2025
Risk appetite deteriorated and financial markets were mainly in risk-off mode in February, with mounting risks of a trade war injecting some volatility into the marketplace and weighing on investor sentiment.
Global Asset Allocation Team Market Update – February 2025
Financial markets began 2025 on a positive note following the inauguration of President Donald Trump in mid‑January – even despite his looming threats to impose tariffs on Canada, Mexico, and China.