The long-term success of our Canadian Equity Strategy is rooted in a quality investment philosophy. The aim of such an approach is to invest in businesses for the long-term (not trade stocks) that are profitable and well-established with durable, defensible attributes and can generate good returns on investment. We believe a focus on quality businesses combined with our disciplined approach to valuation and long-term holding period will continue to compound wealth for our clients.
As long-term investors, we believe that integrating Environmental, Social and Governance factors into our investment process helps us to identify high‑quality, sustainable businesses, as well as material risks and opportunities to the long-term value of our investments.
The Team also manages Ethical, Fossil Fuel Free and Dividend mandates.
Why Invest in this Strategy
- Long-term investing approach with a high degree of capital preservation in falling markets
- Disciplined, repeatable investment process focusing on high quality, attractively valued companies
- Strong risk-adjusted returns; top ranking relative to peers
|Q2 2022||YTD - 2022||2021||2020||2019||2018||2017||2016||2015||2014||2013||2012|
|S&P/TSX composite Index||-13.19||-9.87||25.09||5.60||22.88||-8.89||9.10||21.08||-8.32||10.55||12.99||-|
|S&P/TSX composite Index||-13.19|
|S&P/TSX composite Index||-9.87|
|S&P/TSX composite Index||25.09|
|S&P/TSX composite Index||5.60|
|S&P/TSX composite Index||22.88|
|S&P/TSX composite Index||-8.89|
|S&P/TSX composite Index||9.10|
|S&P/TSX composite Index||21.08|
|S&P/TSX composite Index||-8.32|
|S&P/TSX composite Index||10.55|
|S&P/TSX composite Index||12.99|
|S&P/TSX composite Index||-|
Annualized as at June 30, 2022
|1 Y||2 Y||3 Y||4 Y||5 Y||6 Y||7 Y||8 Y||9 Y||10 Y||SI|
|S&P/TSX composite Index||-3.87||13.43||7.97||6.93||7.62||8.18||6.94||5.89||8.21||-||7.66|
|S&P/TSX composite Index||-3.87|
|S&P/TSX composite Index||13.43|
|S&P/TSX composite Index||7.97|
|S&P/TSX composite Index||6.93|
|S&P/TSX composite Index||7.62|
|S&P/TSX composite Index||8.18|
|S&P/TSX composite Index||6.94|
|S&P/TSX composite Index||5.89|
|S&P/TSX composite Index||8.21|
|S&P/TSX composite Index||-|
|S&P/TSX composite Index||7.66|
Returns are presented gross of management fees.
Inception date: January 1, 2013
They are assisted by four analysts.
Canadian Equities – Responsible Investing Report
The information provided herein does not constitute investment advice and it should not be relied on as such. It should not be considered a solicitation to buy or an offer to sell a security. It does not take into account any investor’s particular investment objectives, strategies, tax status or investment horizon. There is no representation or warranty as to the current accuracy of, nor liability for, decisions based on such information. Past performance is no guarantee of future results. Information pertaining to Fiera pooled funds is not to be construed as a public offering of securities in any jurisdictions of Canada. The offering of units of Fiera pooled fund is made pursuant to the fund’s Trust Agreement and only to those investors in jurisdictions of Canada who meet certain eligibility or minimum purchase requirements. Important information about Fiera pooled funds, including a statement of the fund’s investment objective, is contained in its Trust Agreement, a copy of which may be obtained from Fiera Capital Corporation. Unit values and investment returns will fluctuate. Please read the Trust Agreement of the pooled funds before investing. All performance data assume reinvestment of all distributions or dividends and do not take into account other charges or income taxes payable by any unitholder that would have reduced returns. Pooled funds are not guaranteed, their values change frequently and past performance may not be repeated.