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.
Unlocking Place-based Impact at Every Stage of Development
February 9, 2026
The UK is experiencing a shortage of quality rental housing for middle‑income earners, while households need places that are affordable, high‑quality and energy‑efficient.
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
The Business Case for Sustainable Investing in Private Markets
May 15, 2025
In today's evolving investment landscape, sustainable investing in private markets presents a unique opportunity for those seeking to balance financial returns with broader impact. In our latest white paper, Jessica Pilz, Head of Sustainable Investing for Fiera Private Markets, explores how sustainable investing in private markets can drive long-term performance value, strengthen resilience, and mitigate risks.
Unlocking Opportunities in Reform-Led Economies
May 12, 2025
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 explored how policy-driven domestic reforms in smaller, under-researched emerging and frontier markets can offer compelling investment opportunities, especially when traditional macro indicators and large EM indices fall short.
Global Asset Allocation Team Market Update – May 2025
May 6, 2025
In April, financial markets were whiplashed by a flurry of headlines on the trade front. While “Liberation Day” was met with sweeping tariff announcements, the trade war between the United States and China escalated with tit-for-tat levies.
Fiera US SMID Cap Growth Q1 2025 Commentary
May 2, 2025
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.
Q2 2025 Investment Outlook & Portfolio Strategy
April 17, 2025
Read our latest quarterly Investment Outlook and Portfolio Strategy document, providing a financial market recap for Q1 and our outlook for the next 12-18 months.
Navigating Global Seas: Unleashing the Power of Global Multi-Sector Fixed Income Strategies
April 17, 2025
Read our latest insights on how global multi-sector fixed income strategies can create diverse potential opportunities for investors.
Building the Future – The Case for Infrastructure in LGPS Portfolios
April 16, 2025
Decarbonisation, digitisation and demographic change are transforming infrastructure into one of the most exciting asset classes.
Eight Years Later: Reflecting on the Journey of Atlas Global Companies
April 14, 2025
The Atlas Global Companies team reflect on the changing market landscapes, performance highs and economic challenges and how those experiences shape the team's confidence in the road ahead since Strategy launch.
Global Asset Allocation Team Market Update – April 2025
April 9, 2025
The first quarter ended on a softer note, with President Trump’s disruptive trade proposals and mounting stagflation fears driving investors out of risky assets.
Fiera Atlas Global Companies Strategy – Q1 2025 Investment Update
April 9, 2025
In the debut edition of our Atlas Quarterly Update series, Sachin Sharma, Capability Specialist and Simon Steele, Lead Portfolio Manager of the Fiera Atlas Global Companies Strategy share valuable insights from the last quarter.
European Real Estate Debt Q&A Video
April 8, 2025
European real estate debt continues to gain prominence among institutional investors, offering the potential for attractive risk-adjusted returns and downside protection through senior secured positions in the capital stack.
Webinar: Growth, Appeal and Opportunity – The European Real Estate Debt Landscape
April 3, 2025
European real estate debt continues to expand as a compelling asset class, driven by stricter bank regulations limiting traditional lending and a surge in borrower demand amid refinancing waves and ongoing funding gaps.














