A World-Class
Investment Platform

With capital allocation efficiency as a focus, we are dedicated to serving the evolving needs of our institutional, financial intermediaries and private wealth clients.

Fiera Capital’s investment platform is characterized by our commitment to active management, rigorous research, risk management, customization, global perspective and environmental, social and governance (“ESG”) integration. Through these elements, we strive to deliver superior investment outcomes and build long-term relationships with our clients.

In 2023, Fiera Capital launched its global expansion strategy and implemented its new regionalized distribution model with a focus on building local capabilities.

Our dedicated team of distribution professionals engages in personalized interactions to deeply understand each client’s ambitions. Leveraging local insights, we craft tailored investment portfolios positioned to achieve their goals. This approach helps ensure extensive service and fosters stronger client connections, empowering them to navigate the investment landscape with confidence.

People shaking hands
Our focus remains on our clients. Through our innovative regionalized distribution model, we ensure tailored investment solutions, reaffirming our commitment to empowering clients in achieving their financial objectives.
Photo of Lucas Pontillo

Lucas Pontillo

Executive Director,
Global Chief Financial Officer

Our Investment Platform

Public Markets

  • Balanced and Multi-Asset Class Solutions
  • ESG Integration
Equities Fixed Income Liquid Alternatives
Public Markets
AUM $143.2B
  • Canadian Equity
  • Canadian Equity Small Cap
  • Global Equity
  • International Equity
  • U.S. Equity
  • U.S. Equity Small/Mid Cap
  • Emerging Markets
  • Frontier Markets
  • Systematic Solutions
  • Canadian Active
  • Canadian Credit
  • Core Plus
  • Infrastructure Debt
  • U.S. Municipal
  • North American High Yield
  • Liability Driven Investing
  • Emerging and Frontier Markets Long/Short
  • Global Market Neutral
Total $75.1B1 $67.6B $0.5B
Equities
Public Markets
AUM $143.2B
  • Canadian Equity
  • Canadian Equity Small Cap
  • Global Equity
  • International Equity
  • U.S. Equity
  • U.S. Equity Small/Mid Cap
  • Emerging Markets
  • Frontier Markets
  • Systematic Solutions
Total $75.1B1
Fixed Income
Public Markets
AUM $143.2B
  • Canadian Active
  • Canadian Credit
  • Core Plus
  • Infrastructure Debt
  • U.S. Municipal
  • North American High Yield
  • Liability Driven Investing
Total $67.6B
Liquid Alternatives
Public Markets
AUM $143.2B
  • Emerging and Frontier Markets Long/Short
  • Global Market Neutral
Total $0.5B
1. Includes $45.2 billion sub-advised by StonePine Asset Management
All figures are in Canadian dollars.

Private Markets

  • Balanced and Multi-Asset Class Solutions
  • ESG Integration
Real Estate Infrastructure Agriculture Private Equity Private Credit
Private Markets
AUM $18.5B2
  • Canada/UK Core
  • Canada Small Cap Industrials
  • Canada/UK Value-Add
  • Canada/UK/Asia Development
  • Global OECD, Mid-Market Core and Core-Plus
  • Global Agriculture
  • Global Private Equity
  • Canadian Real Estate
  • North American Infrastructure
  • North American Corporate
  • North American/European Opportunistic Credit
  • Asian Real Estate
  • Asia Special Situations/Stressed
  • Asia High Yield
  • Diversified Credit
Total $6.6B $3.9B $2.1B $0.8B $5.1B
Real Estate
Private Markets
AUM $18.5B2
  • Canada/UK Core
  • Canada Small Cap Industrials
  • Canada/UK Value-Add
  • Canada/UK/Asia Development
Total $6.6B
Infrastructure
Private Markets
AUM $18.5B2
  • Global OECD, Mid-Market Core and Core-Plus
Total $3.9B
Agriculture
Private Markets
AUM $18.5B2
  • Global Agriculture
Total $2.1B
Private Equity
Private Markets
AUM $18.5B2
  • Global Private Equity
Total $0.8B
Private Credit
Private Markets
AUM $18.5B2
  • Canadian Real Estate
  • North American Infrastructure
  • North American Corporate
  • North American/European Opportunistic Credit
  • Asian Real Estate
  • Asia Special Situations/Stressed
  • Asia High Yield
  • Diversified Credit
Total $5.1B
2. Includes $1.0B of committed, undeployed capital
All figures are in Canadian dollars.