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.
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.
Q3 2026 Investment Outlook & Portfolio Strategy
July 17, 2026
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.
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
Investing in agriculture: “Word of mouth is very powerful in the farming community”
February 14, 2024
Matthew Corbett, Partner at Fiera Comox examines why the firm’s equity partnership model for agriculture offers investment opportunities for the LGPS.
New Zealand: The Safe Haven Story
January 26, 2024
This multi-series report aims to provide a general understanding of New Zealand and explore its differentiating features as an investment safe haven.
Fiera Atlas Global Companies Strategy: Research and Risk
December 20, 2023
In the final video in our Atlas series, David Naughtin, Portfolio Manager, describes the team’s research process and how they think about risk.
Fiera Atlas Global Companies Strategy: Portfolio Construction
November 28, 2023
In the penultimate part of our Fiera Atlas video series, Neil Mitchell, Portfolio Manager, explores how the team construct the Atlas portfolio and their approach to diversification and risk.
Fiera Atlas Global Companies Strategy: Company Selection
November 7, 2023
In the next part of the Fiera Atlas video series, Andy Gardner, Portfolio Manager, explains the thinking behind team’s stock selection, including how they define and identify exceptional companies.
Introducing The Fiera Atlas Global Companies Strategy Philosophy
October 18, 2023
The Fiera Atlas Global Companies Strategy team is delighted to introduce their philosophy by kicking off their video series, featuring Simon Steele, Portfolio Manager and Head of Fiera Atlas Global Companies Team.
2022 Sustainable Investing Report
September 19, 2023
In releasing our 2022 Sustainable Investing Report, we are excited to reflect on our ESG practices and successes to date and are eager to continue building momentum and furthering Fiera Capital’s sustainable investing journey.
Enhanced Liability-Driven Investing (LDI)
May 18, 2023
Defined Benefit (DB) pension plan financials ended 2022 on a solid footing, improving the capacity to take meaningful de-risking actions.
Investing for a Low Carbon World
May 15, 2023
The energy transition comes with many structural growth and ESG considerations. Read how the Atlas Global Companies Strategy team approaches these factors as part of an overall investment case.
Finding Value Across the Capital Structure: Limited Recourse Capital Notes
April 19, 2023
Limited Recourse Capital Notes are an evolving segment of the Canadian fixed-income landscape.
Canadian Equities – 2022 Sustainable Investing Report
January 16, 2023
Our Canadian Equity team’s latest sustainable investing report is now available and outlines their continued efforts toward current social and environmental issues.
Q1 2023 Investment Outlook & Portfolio Strategy
January 12, 2023
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.















