Fiera Diversified Real Assets

Investment approach

The investment objective of the Strategy is to generate stable returns and income through a diversified and optimized global real assets portfolio. The Strategy invests primarily by leveraging various teams, track records and strategies that exist under the Fiera Capital Private Markets investment platform, including natural capital, infrastructure, and real estate.

Key Characteristics

  • A One-Stop Multi-Manager Solution: Gain exposure to a well-diversified multi-strategy portfolio of in-house investment teams in the real assets space
  • Portfolio Management Benefits: Generate the most favorable risk-adjusted return through an optimized portfolio solution
  • Access to Investment Specialists: Leverage the vast expertise of Fiera Capital Private Markets professionals
  • Extensive Research and Due Diligence: Active and ongoing monitoring of the quality of the underlying strategy teams, process, and investments
  • Macroeconomic Expertise: Identify strategic opportunities across asset classes, regions, and sectors where long term opportunities exist
  • Diversification Benefits: Reduce total portfolio risk due to low correlation to traditional asset classes
  • Compelling Income Generation: Strong and stable income stream
  • Inflation Protection: Real assets help protect against inflation
  • Disciplined Investment Process: Robust governance, risk management and portfolio monitoring discipline