Fiera Atlas Global Companies Strategy with Neil Mitchell
What really drives share prices over the long term? In this video, Neil Mitchell answers three key questions on how the Fiera Atlas Global Companies Team manages its strategy and what he thinks makes a company exceptional.
Q2 2022 Investment Outlook & Portfolio Strategy
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.
Fiera Capital Becomes Signatory of CFA Institute’s New DE&I Code
The firm is among the first 16 organizations in the industry to adopt the DE&I Code.
Operational Update on Fiera Atlas Global Companies Strategy
Fiera Capital announced the successful completion of the merger of the associated AMP Capital fund into one of Fiera Capital's funds.
Jean-Guy Desjardins to Become Executive Chairman of the Board of Fiera Capital
Jean-Philippe Lemay is appointed Global President and Chief Executive Officer.
G7-Backed Impact Taskforce Released Groundbreaking Reports
The reports put forward a roadmap for both public and private-sector stakeholders on how to mobilize private capital at scale to have a positive social and environmental impact.
The Role of Private Alternatives in Hedging Inflation
How do institutional investors manage inflation risk? Our team explores the use of private alternative investments in an inflationary environment.
Fiera Capital Announces Portfolio Management Transition
As part of a long- term transition plan, Sunil Reddy will succeed Nitin Kumbhani in leading the Growth team.
Explore insights from Fiera Capital's team worldwide to help investors navigate the impact of COVID-19 on investment strategies.
Non-Traditional Income Infographic
A map for navigating today’s yield environment and economically sound private market alternatives.
Downgrades & Defaults: Where are we this cycle for Corporates and COVID-19?
What has been the impacts of COVID-19 on the credit cycle? In this thought piece, Miriam Legrand takes a closer look at how COVID-19 is influencing credits across corporates markets.
Webinar May 13th, 2PM ET
Laura Cohen, VP & Global Equity Specialist, will highlight the investment approach and philosophy of our Global Equity Strategy in this upcoming webinar.
Municipal Credit and the CARES Act and Federal Lending Programs
Judy Wesalo Temel discusses the potential impact of recent Federal Reserve stimulus programs on municipal credit.
Equity Market Update
Candice Bangsund takes a look at recent financial market developments and provides us with her outlook and scenarios for the coming year.
Life vs Livelihood: Hobson's Choice for EM
In the wake of COVID-19, which of the world’s economies will be the first to return to normalcy? Commentary and webinar replay.
Tax Efficient Fixed Income Market Update Webinar
As a follow up to our webinar on March 25th, we will be holding an update webinar on Thursday April 30th, 2020 at 3pm EST for the ongoing COVID-19 crisis and the impact on the bond market.
Corporate Credit and the CARES Act and Federal Lending Programs
Miriam Legrand discusses recent stimulus programs and how they may impact Corporate Credit markets.
Municipal Market Volatility and Liquidity Amid COVID-19
Our Tax Efficient Fixed Income trading and portfolio management teams provide a market update amid the COVID-19 outbreak.
COVID-19: Assessing Impact on Municipal Credit and Sectors
Our Credit Research team has been diligently monitoring the outbreak of COVID-19.
COVID-19: Market Developments and Fiera Capital’s Preparedness
The latest analysis from our teams.
Impact Investing: A Third Factor to the Risk/Return Mindset
How Fiera Capital builds values-driven investment strategies.
Fear vs Fundamentals: Redux
Recapping the market's reaction to fourth quarter earnings and the Coronavirus outbreak.
The SEC, Congress, and ESG's Coming of Age
Jonathan Lewis, CIO, discusses the potential impact of SEC and Congressional developments in ESG.
Getting on Base: Moneyballing your Portfolio Using Risk Factor Investing
What baseball can teach us about a portfolio’s risk and return.
2020 Insights from the Global CIO Office
This longer term perspective focused on our 7 year Global Financial Forecast, identifies what we believe to be the 7 key drivers that will impact the landscape of the market.
Fiera Capital’s Global Chief Investment Officer, François Bourdon, shares his outlook for financial markets over the next 7 years
Alt Credit US Intelligence Award 2020
Fiera Capital shortlisted for Niche Lending and Credit Newcomer Awards for Global Diversified Lending Strategy
Boots on the Ground: Looking Beyond China
The latest addition to our Boots on the Ground Series explores the shifting supply chain dynamics arising out of the US-China confrontation and the new opportunities which appear to be emerging.
Private Asset Management Awards 2020
Fiera Capital shortlisted for Best Asset Manager Solution for Family Offices.
US Fixed Income 2019 Year-in-Review
Important themes identified in 2019's fixed income markets.
Recap 2019, Outlook 2020
Candice Bangsund, Vice President and Portfolio Manager, Global Asset Allocation provides a recap of 2019 financial market developments as well as an outlook for 2020.
François Bourdon, Global Chief Investment Officer, describes impact investing, which types of investors might allocate funds to it, and why impact-friendly companies may impress in the long run.
Institutional Asset Management Awards 2019
Fiera Capital was shortlisted across 5 categories for our Global Equity, US Equity, Mid Cap Growth Equity, and Frontier Markets Equity strategies.
We are proud to sponsor the Global ARC 2019 Conference in Boston
Rob Petty will be discussing how to embrace volatility as an opportunity to improve risk adjusted returns at the market volatility general session.
Fiera Capital’s 4th Annual Spotlight on Women Event
Thank you to all that attended our 4th annual Spotlight on Women event, with 360 degree views of Chicago and the markets, courtesy of our panelists.
Growth and Income Investing in Emerging Markets - The Trend Continues
Since the start of the millennium, emerging market companies paying high and growing dividends have significantly outperformed the asset class.
A Conversation with Judy Wesalo Temel
We sat down with Judy Wesalo Temel, Senior Vice President, Director of Credit Research, Fixed Income to discuss her start in public finance, the growth of ESG, and her outlook on the changing credit landscape.
Fear vs. Fundamentals
Our Global CIO team has attempted to look past the noise and volatility of recent days to construct a fundamental-based outlook for the market.
Asia Deserves Some Credit
Robert Petty, discusses the opportunities and risks faced by fixed income investors seeking to allocate capital towards the world's fastest-growing region.
Expanding your alternatives portfolio: The potential benefits of Private Equity
Patrick S. Lynch discusses the broader market landscape and potential of this rapidly growing alternative asset class.
Webinar: Middle East - The Reform and Upgrade Story
Dominic Bokor-Ingram discusses the political, economic, and capital market reforms in the Middle East and the ramifications for investment markets.
US Supreme Court Blocks Citizenship Question on the 2020 Census
Judy Wesalo Temel discusses the long term credit implications of the census.
Fiera Infrastructure Becomes Member of GRESB
Being a GRESB infrastructure fund manager member allows Fiera Infrastructure to apply a single, globally recognized ESG framework to all its real assets.
Private Credit Solutions: A Closer Look at the Opportunity in Emerging Markets
An EMPEA report, with research contributed by Fiera Capital's Asia Credit specialists.
New Strategic Partnership with Natixis
We are proud to announce that we have entered into a long-term strategic partnership with Natixis Investment Managers.
India: Reforms are Here to Stay
India's upcoming election - why the next president's performance in key existing structural reforms may be critical for India's path to higher economic growth.
California Investor-owned Utility Bankruptcy Elevates Wildfire Risk Concerns
Wildfires in California, regulatory uncertainty, and potential corporate negligence contributed to PG&E's bankruptcy, placing CA utilities at the forefront of climate change discussions.
The Value of Adding Alternatives in a Portfolio Examined Through Risk Factor Analysis
Caroline Grandoit, CFA, discusses the value of adding alternatives in a portfolio examined through risk factor analysis.
Proxy Voting and ESG
Proxy voting is under increasing scrutiny by regulators and industry stakeholders. We examine the issues through the lens of Milton Friedman and ESG investing.