Featured Insights
Mid-Market Infrastructure Debt: A Defensive Allocation for a Changing Market Environment
June 9, 2026
As investors navigate a more complex environment, resilient income and downside protection remain increasingly important. Our latest publication explores why mid-market infrastructure debt may offer a differentiated allocation, and how specialized managers with direct origination capabilities and sector expertise can help investors access these opportunities.
Q2 2026 Investment Outlook & Portfolio Strategy
April 15, 2026
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.
All Eyes on Emerging Markets
November 27, 2025
With the impressive gains seen across emerging markets indices in 2025, our team is thrilled to share our latest insights in this space to highlight the expertise behind our strategies.
Explore Insights
Global Asset Allocation Team Market Update – September 2025
September 9, 2025
In August, investors welcomed a dovish-leaning message from Federal Reserve Chair Powel at his Jackson Hole appearance – where he pivoted his focus towards downward risks to the labor market versus upside risks to inflation.
2024 Climate Report
September 9, 2025
In preparing this Climate Report, we have utilized the TCFD recommendations as a key reference framework to enhance the transparency and consistency of our climate-related reporting.
2024 Sustainability Report
August 20, 2025
We are pleased to present our Sustainability Report, showcasing our commitment to both sustainable investing and corporate responsibility and highlighting our ongoing efforts to integrate sustainability into every aspect of our business.
2024 Annual Report
August 11, 2025
Fiera Capital is proud to publish its 2024 Annual Report. Discover how we’ve strengthened our global positioning, our market engagement, and reinforced our commitment to sustainable growth.
15-Year Milestone: Fiera Global Emerging Markets Strategy
August 7, 2025
As the Fiera Global Emerging Markets Strategy marks its 15-year milestone, Senior Portfolio Manager, Ian Simmons reflects on the evolution of the Strategy and shares how active stock selection, local insight and a catalyst-driven approach continue to uncover compelling opportunities across EM.
Canadian Equities – 2024 Sustainable Investing Report
August 5, 2025
The Fiera Canadian Equity Team is proud to publish their 2024 Sustainable Investing Report, showcasing the tangible evidence that their holdings have made on their sustainability progress.
Small Bay, Big Potential: Unlocking Canada’s Industrial Underdog
April 28, 2025
The Canadian industrial market is vast, but not all assets are created equal.
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.
Tariff Announcements: Update with Jean-Guy Desjardins & Candice Bangsund
April 9, 2025
In response to the recent and ongoing tariff announcements, Jean-Guy Desjardins and Candice Bangsund share their perspectives and analysis on their potential impacts on the global economy. Filmed on April 9, 2025.
A New Regime: Insurance Investment Strategies in 2025
January 29, 2025
Consult our latest whitepaper for insights on the evolving economic and regulatory environment faced by insurers, and how investment strategies can be reassessed to adapt to this new context.
Private Credit Essentials: Key Insights and Strategies
November 22, 2024
Learn more about private credit, an attractive and highly versatile asset class, in our latest white paper.
Unlocking Potential: How Timberland Investments Can Strengthen Portfolios
October 23, 2024
Room 151 sits down with Jeff Zweig, Partner, Vice Chair, Head of Natural Capital (Agriculture and Timberland), to discuss Fiera Comox’s Global Timberland Strategy and the increasing demand for natural capital assets, as investors look to diversify portfolios and capitalise on sustainable, long-term growth opportunities.














