Featured Insights
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.
Building Long-Term Value Through Global Timberland
February 16, 2026
For LGPS investors seeking long-term value, diversification and resilience, timberland offers a compelling investment opportunity.
Taiwan, Supply Chain and AI: Powering the Next Phase of Growth
January 28, 2026
A frequent topic in recent meetings has been whether the AI narrative, and the stocks linked to it, are showing signs of a bubble.
Explore Insights
Pan-European Real Estate Credit: An Immediate, Compelling and Expanding Investment Opportunity
November 15, 2023
A whole loan real estate credit strategy provides investors with a compelling and sustainable long-term investment thesis. Supported by an existing €2.0 trillion market, real estate credit looks particularly attractive at this stage of the market cycle.
2022 Sustainable Investing Report
September 19, 2023
In releasing our 2022 Sustainable Investing Report, we are excited to reflect on our ESG practices and successes to date and are eager to continue building momentum and furthering Fiera Capital’s sustainable investing journey.
Agriculture – The Final Frontier of Private Capital Investing?
December 12, 2022
Investing in Agriculture offers investors the chance to meet one of society’s most basic needs. It’s a diverse “real” asset class that can offer genuine portfolio diversification and resiliency.
ESG – Breaking Through the Noise
December 12, 2022
In recent years, private markets have experienced an evolution in the importance of ESG issues, both across the wider business community and society as a whole.
Infrastructure – Navigating Macroeconomic Volatility
December 12, 2022
In this session we will explore how inflation, rising interest rates, geopolitical tensions, FX volatility and supply chain issues are impacting the infrastructure asset class and how this is affecting investment decisions. We will also look to explore the outlook for infrastructure globally and analyse how fund managers and LPs can capitalise on the opportunities at hand whilst minimising the risks.
Private Credit Proves its Place
December 12, 2022
What role can private credit be expected to play in a portfolio context and how can investors identify opportunities while seeking to avoid potential pitfalls as this asset class experiences its first economic cycle?
2021 Sustainable Investing Report – Investing in a Sustainable Future
December 8, 2022
Learn more about how we ensure that ESG remains a core aspect of our investment approach while providing our clients with the best investment opportunities.
Building Resilience Into Your UK Real Estate Portfolio
December 1, 2022
Recent events are leading to increasing uncertainty in a turbulent and complex UK market. Inflation, rising interest rates, geo-political instability and supply chain issues are just a few of the challenges that we are facing.










