at Fiera Capital
Headlines & Insights
Dominic Bokor-Ingram on Emerging Markets Opportunities
Navigating Manager Selection as Private Credit Looks Poised to Perform
The Greek Recovery Story
Vietnam, the Reform Story Continues
Private Credit Proves its Place
2021 Sustainable Investing Report – Investing in a Sustainable Future
Net Zero Asset Managers Initiative: Fiera Capital Sets Initial Net Zero Target
Navigating Through Turbulent Times: Building Portfolio Resiliency through Private Markets
Seeking Repeatable Alpha – Let the Fundamentals Do the Heavy Lifting
Fiera Atlas Global Companies Strategy with Neil Mitchell
G7-Backed Impact Taskforce Released Groundbreaking Reports
Domus Social Housing – a UK Social Housing Platform
Canadian Equities – Responsible Investing Report
Introducing the new Fiera Atlas Global Companies Strategy
The Role of Private Alternatives in Hedging Inflation
A look at the UK industrial and logistics real estate market
Fiera Infrastructure Completes the Acquisition of Augean plc
Thoughts from our Frontier Markets Team – Smaller Emerging Markets: a Wealth of Opportunities
2020 Responsible Investment Report – Investing in a Sustainable Future
Investing in the MENA region
Fiera Capital’s set of alternative strategies provides a choice of innovative solutions with the potential for higher growth, higher yields, stronger absolute returns and less volatility for investors seeking to diversify their portfolios. The firm’s alternative strategies include hedge funds and private alternative investments focused on real estate, infrastructure, private lending, agriculture and private equity – sectors with a liquidity risk premium that historically has been difficult for many investors to access. Teams of investment professionals specializing in each of these strategies aim to generate superior returns that are less correlated to market cycles than traditional fixed income and equity strategies.
Fundamental research is the cornerstone of Fiera Capital’s approach to equity strategies. Those looking to invest in equities benefit from the firm’s exceptional expertise and established track record in this asset class. Whether investing in Canadian, U.S., global, international, European or emerging and frontier equity strategies, in every instance, meticulous research methods are used to identify companies for inclusion in a given portfolio.
Fiera Capital’s active management approach to fixed income strategies aims to enhance overall portfolio returns in virtually any interest rate or economic environment. Fiera Capital offers an array of fixed income solutions that provide opportunities to add value within a disciplined risk-controlled framework to suit a number of investment objectives. Other options include term loans, which are less sensitive to interest rate variations, and global fixed income products that provide currency diversification.
We work directly with clients and their advisors to construct customized portfolios designed to achieve their investment goals. We manage our portfolios with a long-term outlook and we seek to preserve and enhance the capital base while achieving a tax efficient risk-adjusted total return.
About Fiera Capital
Fiera Capital offers thoughtful investment solutions to suit a variety of investor needs.
Fiera Capital Corporation, one of North America’s leading independent asset management firms, is rapidly acquiring a global presence and reputation. With over USD117.0 billion in assets under management as at 30 December 2022, the firm offers to institutional, private wealth and retail markets full-service, integrated portfolio-management solutions that span a broad array of traditional and alternative asset classes.