Market Update - October 2018
In September, appetite for risk resurfaced even in the wake of a tumultuous geopolitical backdrop.
Market Update - September 2018
Market Update - August 2018
The third quarter got off to a decent start, with risky assets thriving in the environment of robust global growth and healthy corporate earnings.
Brick and Mortgage: The How and Why of Investing in Commercial Mortgage Debt
Commercial mortgages as an investment can offer higher yields, lower volatility and lower duration than traditional fixed income.
Market Update - July 2018
In June, investors attempted to reconcile some encouraging signs of global economic strength with heightened trade tensions and some hawkish undertones from…
Market Update - June 2018
Investors remained on edge in May amid political upheaval in Europe and escalating trade tensions, which remained at odds with a constructive global…
Global Financial Forecast 2018-2025
Are inflation fears and rising rates paving the way for a recession?
Emerging Markets and the Return of Volatility
The resurgence in volatility over the course of the last few months has created an opportunity to acquire Emerging Market companies with a sustainable…
In the Middle Lies Opportunity: The Case for Mid Caps
Despite their attractive risk and return characteristics, U.S. mid cap stocks are frequently overlooked by equity investors.
The appeal of mid-market infrastructure investing
The Eighth Wonder of the World
The Canadian Equity Team explains the importance of capital preservation.
Market Update - May 2018
After a tumultuous start to the year, a sense of normalcy returned to the marketplace in April.
Invest Green… A Closer Look at Infrastructure Debt Investments
Infrastructure debt: How can it help you to invest Green?
Market Update - April 2018
Investors had plenty to contemplate in March, including some worrisome signs of a peak in global growth, further progress towards monetary policy…
Trade War or Political Noise?
Our expectations for the market in this bulletin on trade protectionism by Candice Bangsund, Vice President and Portfolio Manager, Global CIO Office.
Sharat Dua, Portfolio Manager for Fiera Capital's European Division, shares his outlook on key African economies.
Market Update - March 2018
After an exuberant start to the new year and an extended period of market calm, volatility reasserted itself last month.
The Art and Science of Investing in Farmland
This short piece provides context for investors who are considering an allocation to agricultural investments.
A Sentiment-Driven Market Correction
The Fiera Capital Global CIO Office breaks down this week’s volatile markets into What, Why and What’s Next.
Market Update - January 2018
As 2017 came to a close, the global macroeconomic backdrop continued to impress, with investors thriving on the lucrative combination of synchronous global…
Global Investment Outlook 2018
Market Update - December 2017
Global equity markets advanced for the 13th consecutive month in November, the longest winning streak in history.
Market Update - November 2017
Financial markets were particularly serene last month, with the risk-on trade lingering on unabated amid persistent signs of global economic resilience and…
Beta: The secret ingredient to successful Low Vol investing
Strategies focused on low volatility stocks have delivered compelling risk-adjusted returns; however, not all portfolio construction techniques result in…