Money Market

Investment approach

Fiera Capital offers three money market strategies, with various risk-return profiles, that are suited to our diversified clientele. They are top-down, actively managed approaches whose primary objectives are to preserve capital and achieve the highest possible income consistent with a low level of risk. Through extensive credit analysis and sector rotation, these strategies focus on high quality money market and other high quality fixed- income securities and take advantage of spread variations and interest rate fluctuations.

Key Characteristics

  • Capital preservation
  • Highest possible income consistent with a low level of risk