Featured Insights
Insights from Our Experts: The Risk Transfer Asset Manager
March 13, 2026
As the financial position of defined benefit pension plans improves, group annuity purchases play a key role in risk management strategies.
Investing in Tomorrow: The Mid-Market Infrastructure Advantage
March 12, 2026
Our latest publication explores why the mid‑market is emerging as a powerful source of opportunity in infrastructure investing and how Fiera Infrastructure approaches the mid‑market with an emphasis on diversification, active ownership and long‑term asset stewardship.
Q3 2023 Investment Outlook & Portfolio Strategy
July 19, 2023
Read our latest quarterly Investment Outlook and Portfolio Strategy document, providing a financial market recap for Q2 and our outlook for the next 12-18 months.
Explore Insights
The AI Platform Shift : A framework for navigating evolving moats and business models in the AI era
July 23, 2026
Artificial intelligence is driving the next major platform shift in technology, reshaping competitive advantages, business models and the way organizations operate. In this paper, we examine how AI is redefining the technology landscape, why competitive moats are evolving, and how we are navigating the opportunities and risks created by this transition through a disciplined investment framework.
Q3 2026 Investment Outlook & Portfolio Strategy
July 17, 2026
Read our latest quarterly Investment Outlook and Portfolio Strategy document, providing a financial market recap for Q2 and our outlook for the next 12-18 months.
Fiera Apex: Growth In Focus
July 16, 2026
Sunil Reddy, Lead Portfolio Manager and Head of Fiera Apex Growth Equities reviews key themes that shaped growth equity markets in Q2 2026 and what the team sees on the horizon.
2025 Sustainability Report
July 15, 2026
We are pleased to present our 2025 Sustainability Report, highlighting our commitment to sustainable investing and responsible business practices, as well as our ongoing efforts to integrate sustainability across our organization.
Private Real Estate Debt: A Complement to Traditional Fixed Income
July 13, 2026
This paper explores how private real estate debt may act as an attractive complement to traditional allocations, emphasizing its differentiated characteristics, including shorter duration and asset-backed exposure. It also outlines how these features may support diversification and income generation across varying market conditions.
Rethinking Duration Management: Moving Beyond Traditional Bonds
July 8, 2026
Over the past several years, we have engaged with institutional investors seeking to extend their fixed income asset duration to take advantage of higher long-term yields while protecting their asset-liability position.
These efforts have generally focused on reallocating from universe bonds to long bonds or to strategies somewhere in between.
Global Asset Allocation Team Market Update – July 2026
July 8, 2026
In June, sentiment was dominated by both geopolitical developments and evolving trends in Artificial Intelligence (AI). Investors welcomed news of an interim peace accord between the US and Iran and the reopening of the Strait of Hormuz.
Rethinking Benchmarking and Alpha in Emerging Markets
July 7, 2026
A closer look at inefficiencies, concentration risk and the evolving role of active management in emerging markets.
Q&A: Building Long-Term Value Through Global Timberland
June 16, 2026
In this Q&A, Jeff Zweig, Partner, Vice Chair and Head of Natural Capital at Fiera Comox, outlines how disciplined asset selection, active management and a strong focus on sustainability can support durable returns and long-term outcomes aligned with a wide range of investor objectives.
Ethical Fixed Income Without Compromise
June 11, 2026
In this publication, our Active and Strategic Fixed Income (ASFI) team examines how the firm’s Ethical Fossil Fuel-Free Fixed Income strategy combines exclusionary screening with active portfolio construction and ESG analysis.
Mid-Market Infrastructure Debt: A Defensive Allocation for a Changing Market Environment
June 9, 2026
As investors navigate a more complex environment, resilient income and downside protection remain increasingly important. Our latest publication explores why mid-market infrastructure debt may offer a differentiated allocation, and how specialized managers with direct origination capabilities and sector expertise can help investors access these opportunities.
Global Asset Allocation Team Market Update – June 2026
June 8, 2026
Investor sentiment thrived in May, with unrelenting enthusiasm around the artificial intelligence (AI) boom and
lingering hopes for a truce between the United States and Iran buttressing risk appetite.













