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Fiera US SMID Cap Growth Q1 2025 Commentary
US equity market returns generally turned negative for the first quarter of 2025 with the S&P 500 falling -4.30%. However, there was a huge divergence in performance by style.
Agriculture: The Next Big Investment?
Matthew Corbett, Partner, Agriculture at Fiera Comox, recently joined Asset TV to share his insights on why agriculture is gaining momentum as a long-term investment opportunity.
Fiera Atlas Global Companies Strategy – Q3 2025 Investment Update
Andy Gardner, Senior Portfolio Manager & Chris Nicholas, SVP – Intermediaries Distribution share insights from the last quarter.
Fiera Atlas Global Companies Strategy – Q4 2025 Investment Update
Simon Steele, Senior Portfolio Manager & Head of Atlas Global Companies and Sachin Sharma, Client Portfolio Manager, share insights from the last quarter.
Small Bay, Big Potential: Unlocking Canada’s Industrial Underdog
The Canadian industrial market is vast, but not all assets are created equal.
Mid-Market Infrastructure Debt: A Defensive Allocation for a Changing Market Environment
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.
Investing in Tomorrow: The Mid-Market Infrastructure Advantage
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.
Canadian Real Estate: A Strategic Shield Against Monetary Debasement
In the current new regime, Canadian real estate is no longer just a yield play. It is a strategic “shield.” A repricing mechanism. A scarce store of value that responds almost mechanically to debasement, adjusting upward in price to reflect declining value changes in the denominator – money itself.
2021 Sustainable Investing Report – Investing in a Sustainable Future
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.
Eastern European Equities: Close to a Re-Risking Catalyst
The onset of the conflict in Ukraine in March 2022 heightened uncertainties about the economic and financial prospects of Eastern Europe.