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.
In the Middle Lies Opportunity: The Growth Sweet Spot for 2026
February 11, 2026
Mid‑cap equities have historically delivered compelling risk‑adjusted returns, combining elements of growth and resilience. This paper explores why mid caps may represent a differentiated allocation opportunity, examining long‑term performance, earnings growth potential, valuation, diversification benefits, and quality fundamentals.
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.
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.
Explore Insights
Global Asset Allocation Team Market Update – September 2024
September 10, 2024
After a turbulent start to the month, sentiment improved and global equity markets came roaring back in August.
2023 Sustainable Investing Report
August 26, 2024
We are pleased to share with you our 2023 Sustainable Investing Report, which highlights some of our sustainable investing activities and accomplishments over the past year.
Global Asset Allocation Team Market Update – August 2024
August 7, 2024
In July, both stock and bond markets pushed higher
Q3 2024 Investment Outlook & Portfolio Strategy
July 19, 2024
Read our latest quarterly Investment Outlook and Portfolio Strategy document, providing a financial market recap for Q2 and our outlook for the next 12-18 months.
Global Asset Allocation Team Market Update – July 2024
July 5, 2024
The first half of 2024 wrapped up on a solid note
Global Asset Allocation Team Market Update – June 2024
June 7, 2024
Investor hopes for a so-called soft landing catalyzed a profound rally across both stock and bond markets in May.
Follow the Money: A Strategic Call to the Heart of The Gulf
May 8, 2024
In a world where geopolitical tensions often dictate the ebb and flow of international markets, the Gulf Cooperation Council (GCC) nations stand apart, against common misconception.
Global Asset Allocation Team Market Update – May 2024
May 7, 2024
After a stellar first quarter performance, the second quarter got off to a softer start
Greece: A transformative region for investors?
April 29, 2024
Under the stewardship of Prime Minister Mitsotakis, Greece is experiencing an economic revival and consistent outperformance beyond market GDP growth forecasts that have created a transformative environment for investors.
Q2 2024 Investment Outlook & Portfolio Strategy
April 18, 2024
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.
Global Asset Allocation Team Market Update – April 2024
April 9, 2024
The first quarter wrapped up on a positive note
Korea’s Long-Awaited “Value-Up” Reforms
March 14, 2024
Mathieu Bortot, Portfolio Manager, examines whether the “Korean Discount” phenomenon of low company valuations and poor corporate governance can be overcome by newly imposed reforms in the country.










