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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.
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.
Webinar: Growth in Focus: U.S. Equity Insights with Fiera Apex
Join Sunil Reddy and Rick Vallieres from the Fiera Apex Growth team for a timely update on Growth Equities, joined by Eric Roberts.
Fiera Apex: Growth In Focus
Sunil Reddy, Lead Portfolio Manager and Head of Fiera Apex Growth Equities reviews key themes that shaped growth equity markets in Q4 2025 and what the team sees on the horizon.
Investing in agriculture: “Word of mouth is very powerful in the farming community”
A big challenge for investors in conventional assets is that the negative correlation between bonds and equities no longer stands. To what extent can investing in agriculture offer portfolio diversification?
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 […]
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.
Webinar: Growth, Appeal and Opportunity – The European Real Estate Debt Landscape
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.
Philippe Ouellette
Philippe Ouellette is the lead portfolio manager for the Integrated Fixed Income (IFI) strategies. Philippe has over 25 years of industry experience and has been with the firm and a predecessor since 1995. Prior experience includes positions as Portfolio Manager and Analyst, Fixed Income at a major investment management firm. Philippe graduated from the University […]