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Fiera Employees from the canadian equity team
Canadian Real Estate Market Update – Q3 2025
In our latest report, Michael Le Coche, Vice President, Research and Predictive Analytics, identifies key trends shaping Canada’s real estate landscape today, and where the most compelling opportunities in Canadian real estate lie for investors seeking income durability with inflation protection.
Elephant in the Warehouse – Unpacking the Market for Small to Mid-Box Logistics
Attractive fundamentals and a deepening occupier market continue to strengthen the investment case for ground-up development of best-in-class small to mid-box logistics in urban locations. Specialist managers developing and managing portfolios of high-quality, institutional-grade UK stock look set to outperform other sectors across this next phase of the real estate cycle and beyond.
Exploring Emerging and Frontier Markets Investing
Dominic Bokor-Ingram, Senior Portfolio Manager for Emerging and Frontier Markets, joined Asset TV to discuss key trends and opportunities in Emerging Markets. The conversation highlighted inefficiencies in major emerging market indices, compared opportunities across Saudi Arabia, Vietnam, and Poland, and delved into the perception-reality gap within the market.
Fiera Global Private Equity Fund
Increased Disbursement Quota for Canadian Charities
How can foundations and endowments preserve their wealth?
Changing Market Outlook: Opportunity Amid the Uncertainty
As we move into the second half of 2023 and the start of my second year as Head of European Real Estate at Fiera, it is an interesting moment to reflect on the past 12 months, which have certainly not been dull from a market perspective and consider what we can expect from the remainder of the year, with the mood music around inflation becoming increasingly downbeat.
Cultivating Resilience: How Agriculture can Strengthen Institutional Portfolios
Agriculture is emerging as an integral asset class for institutional investors seeking diversification, resilience and long-term value creation.
The Case for Prime UK Logistics in a World of Tariffs
Within real estate, ‘wait and see mode’ has been a preferred term of the last few years. The geopolitical landscape and a lack of market visibility have meant investors have exercised caution - and been even more selective - when it comes to the allocation or reallocation of capital. Risk management is key, balancing pressure to deploy with macro challenges.
Caroline Grandoit
Caroline Grandoit leads the Total Portfolio Solutions group. In this role, she is responsible for structuring, implementing and monitoring customized multi-asset mandates and pooled funds as well as risk-targeted and immunized liability-driven portfolios. Furthermore, she oversees the research and development supporting Fiera’s MACS (multi-asset class solutions) model, a proprietary risk factor-based asset allocation tool, and […]