Public Markets

Our Investment Capabilities
Fiera Capital offers a broad spectrum of investment capabilities across asset classes, structures and risk-return profiles.

Public Markets

At Fiera Capital, we offer a comprehensive suite of public markets capabilities designed to help investors navigate complexity, capture opportunity and achieve their long-term objectives.

Our investment philosophy is rooted in disciplined portfolio construction, rigorous research and a relentless focus on delivering risk-aware, financially sustainable outcomes.

Download Public Markets booklet

$103.7B
AUM
50+
strategies
90+
investment
professionals
20+
years serving
our clients

As at 31 December 2025, and in US dollars.

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Public Markets
Capabilities
(EMEA)

Emerging and Frontier Markets Equities

Our emerging and frontier markets equity offering is rooted in active management and independent, bottom-up fundamental research, targeting long-term absolute capital growth across a broad and diverse opportunity set.

The team constructs high-conviction portfolios through a disciplined, boots-on-the-ground research approach, including direct company engagement across emerging and frontier markets. This research generates proprietary insights that support differentiated stock selection, with a focus on under-owned, under-researched, high-quality companies offering attractive yield characteristics in less efficient markets.

Global Equities

Our global equity investment process combines active management with independent bottom-up fundamental research and top-down secular insights to identify long-term opportunities across global markets.

Across Fiera Capital’s global equities platform, investment teams employ high-conviction strategies with independent portfolio construction. Fundamental research, supported by macro and secular analysis, underpins portfolio decision-making, with a focus on quality and quality growth companies with durable business models to support long-term capital growth across market cycles.

U.S. Equities

Our U.S. equity investment process is driven by active management and rigorous bottom-up fundamental research, designed to identify durable businesses across market cycles.

Across Fiera Capital’s U.S. equities platform, teams construct high‑conviction portfolios, investing across the small- to large-cap spectrum. Extensive company engagement and disciplined research, combined with global secular themes, fuel insights that guide stock selection and support capital appreciation with resilience during periods of market volatility.

Explore EMEA’s Focus U.S. Equity Strategies

Fixed Income

Fiera Capital’s fixed income strategies are grounded in independent, high-conviction research.

Our investment teams perform deep, independent, fundamental credit work and macroeconomic analysis to identify opportunities that others may overlook. This independent lens supports capital preservation and value creation across interest rate and credit cycles.

Explore EMEA’s Focus Fixed Income Strategies

Public Markets
Capabilities
(Global)

Equities

Our equity investment process is centred on independent, bottom-up fundamental research which drives insights for active management.

Across Fiera Capital’s equities platform, investment teams utilise high-conviction approaches with independent portfolio construction relative to broad market indices. Each year, our investment professionals conduct hundreds of company meetings and management interviews globally, developing proprietary insights that fuel differentiated stock selection.

Public Markets Insights

Global Asset Allocation Team Market Update – March 2026 about Global Asset Allocation Team Market Update – March 2026
Market Commentary Public Markets

Global Asset Allocation Team Market Update – March 2026

March 5, 2026
Investor sentiment was generally stable in February – despite a plethora of headlines that plagued the marketplace last month.
Global Asset Allocation Team Market Update – February 2026 about Global Asset Allocation Team Market Update – February 2026
Market Commentary Public Markets

Global Asset Allocation Team Market Update – February 2026

February 6, 2026
Financial markets got off to a solid start to 2026, despite an array of developments on the geopolitical and policy fronts.
Emerging Markets Repriced: Dispersion, Reform and the Return of Alpha about Emerging Markets Repriced: Dispersion, Reform and the Return of Alpha
Emerging Markets Public Markets

Emerging Markets Repriced: Dispersion, Reform and the Return of Alpha

January 29, 2026
The experience of 2025 marked a decisive shift. Emerging Markets no longer behaved as a single macro trade driven by global liquidity, commodity cycles or single-country dominance. Instead, they became a collection of distinct national and sectoral drivers, shaped by domestic policy, reform momentum, corporate balance-sheet quality and exposure to global capital-spending cycles.
Taiwan, Supply Chain and AI: Powering the Next Phase of Growth about Taiwan, Supply Chain and AI: Powering the Next Phase of Growth
Emerging Markets Public Markets

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.
Fiera Atlas Global Companies Strategy – Q4 2025 Investment Update about Fiera Atlas Global Companies Strategy – Q4 2025 Investment Update
Equities Public Markets

Fiera Atlas Global Companies Strategy – Q4 2025 Investment Update

January 19, 2026
Simon Steele, Senior Portfolio Manager & Head of Atlas Global Companies and Sachin Sharma, Client Portfolio Manager, share insights from the last quarter.
Q1 2026 Investment Outlook & Portfolio Strategy about Q1 2026 Investment Outlook & Portfolio Strategy
Market Commentary Public Markets

Q1 2026 Investment Outlook & Portfolio Strategy

January 16, 2026
Read our latest quarterly Investment Outlook and Portfolio Strategy document, providing a financial market recap for Q4 and our outlook for the next 12-18 months.
Global Asset Allocation Team Market Update – January 2026 about Global Asset Allocation Team Market Update – January 2026
Market Commentary Public Markets

Global Asset Allocation Team Market Update – January 2026

January 9, 2026
Financial markets generated some mixed results in December as fears around lofty valuations saw the AI trade fizzle towards year end – while investors were also contemplating the path for global monetary policy as the synchronized easing cycle winds down.
The Active Edge: Capturing Mispriced Quality in Global Emerging Markets about The Active Edge: Capturing Mispriced Quality in Global Emerging Markets
Emerging Markets Public Markets

The Active Edge: Capturing Mispriced Quality in Global Emerging Markets

December 18, 2025
Ian Simmons, Senior Portfolio Manager and CJ Morrell, Managing Director, Head of Japan, recently explored why emerging markets are entering a new period of structural opportunity.
Emerging Markets Equities Unpacked: IPO Booms, Geopolitical Risk and Frontier Opportunities about Emerging Markets Equities Unpacked: IPO Booms, Geopolitical Risk and Frontier Opportunities
Emerging Markets Public Markets

Emerging Markets Equities Unpacked: IPO Booms, Geopolitical Risk and Frontier Opportunities

December 10, 2025
Senior Portfolio Manager Dominic Bokor-Ingram joined Tellimer CEO Duncan Wales to discuss the key forces shaping emerging markets and the opportunities they see heading into 2026.
Global Asset Allocation Team Market Update – December 2025 about Global Asset Allocation Team Market Update – December 2025
Market Commentary Public Markets
Reflection to Renewal: The Case for Quality about Reflection to Renewal: The Case for Quality
Equities Public Markets

Reflection to Renewal: The Case for Quality

December 1, 2025
Quality investing is a marathon, not a sprint, and recent events serve as a reminder of that.
The Post-Dollar EM Opportunity about The Post-Dollar EM Opportunity
Emerging Markets Public Markets

The Post-Dollar EM Opportunity

November 24, 2025
Senior Portfolio Manager Ian Simmons discusses the drivers behind renewed momentum in emerging markets, key reform stories and where he sees the most compelling opportunities ahead.
Webinar: The Active Edge – Capturing Mispriced Quality in Global Emerging Markets about Webinar: The Active Edge – Capturing Mispriced Quality in Global Emerging Markets
Emerging Markets Public Markets

Webinar: The Active Edge – Capturing Mispriced Quality in Global Emerging Markets

November 19, 2025
In our latest webinar, speakers Jerome Booth, Ian Simmons and CJ Morrell explored where today’s most compelling opportunities are emerging, why selective active exposure can outperform passive allocations and how structural reforms are reshaping markets across Asia, the Middle East and frontier economies.
Passive Pain, Active Gain Write-Up about Passive Pain, Active Gain Write-Up
Emerging Markets Public Markets

Passive Pain, Active Gain Write-Up

November 13, 2025
At a recent roundtable for UK intermediaries and institutional investors, Fiera Capital’s OAKS investment team made the case for emerging markets in 2025. Senior Portfolio Managers Ian Simmons and Dominic Bokor-Ingram explained how their absolute return focus and disciplined stock selection allow them to uncover opportunities that others may overlook.
Global Asset Allocation Team Market Update – November 2025 about Global Asset Allocation Team Market Update – November 2025
Market Commentary Public Markets

Global Asset Allocation Team Market Update – November 2025

November 7, 2025
The fourth quarter got off to a strong start. Solid economic and corporate earnings results in the United States provided a tailwind for global stock markets – while a tentative trade truce between the United States and China added to the optimistic mood in the market.

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