Strategy Overview
Strategy Description
Credit strategy investing in the full spectrum of the Canadian investment grade corporate universe. The strategy is focused on maximizing total return, generating yield greater than the overall Canadian bond market, and on capital preservation, through its investment in investment grade corporate bonds. We believe that investment grade corporate bonds provide higher value-added returns than government bonds, through active management and diversification opportunities. Our selection of corporate bonds is underpinned by proprietary bottom-up research, which enables us to mitigate credit risk. Our prudent, disciplined and repeatable process results in a low-volatility portfolio designed to provide consistent risk-adjusted returns over the long term.
Key Differentiators
- Investment team with extensive experience in the full breath of the Canadian investment grade market
- Focused corporate bond portfolio
- Low-volatility strategy is designed to provide consistent risk-adjusted returns over the long term.
- Long strategy track record with attractive absolute and relative perfomance
Disclaimer
Nothing on this website should be viewed as a recommendation, offer or solicitation to buy or sell any security or investment and does not constitute investment, legal, tax or accounting advice. Services are offered only to qualified investors and only in accordance with applicable laws and regulations in each relevant jurisdiction. Information is believed to be accurate as of the publication date but may change without notice; no warranty is provided, and Fiera Capital and its affiliates disclaim liability for its use.
Past performance is not a guarantee of future results. Inherent in any investment is the potential for loss. Target returns are aspirational, forward-looking and do not represent actual performance. There is no guarantee that such performance will be achieved, and actual results may vary substantially. Metrics (e.g., exposures, ratios, characteristics) are for reference only and may not capture all relevant factors. Different metrics may lead to materially different conclusions; Any specific holdings mentioned are for illustration only, and may not represent the full portfolio, past holdings, or future positions. Indices are unmanaged, not investable, and do not reflect fees or expenses. Index comparisons are provided for context and portfolio holdings may differ significantly from those of any index; All investment strategies involve risks, including market, economic, financial, operational, liquidity, valuation, and regulatory risks. Certain strategies may use leverage, derivatives, or concentrated exposures, which can increase volatility and risk of loss; No strategy, diversification approach, or risk management technique can eliminate risk, or guarantee returns in all market environments; Investors should review relevant governing documents and consult their own advisers before making investment decisions.
Environmental, social, governance (“ESG”) or impact related goals, commitments, or initiatives referenced on this website are voluntary, may not apply uniformly across strategies, and may be modified or discontinued at Fiera Capital’s discretion. ESG-related processes do not guarantee any specific investment outcome.