Public Markets
in Evolving Markets
Fiera Capital’s global suite of Public Markets strategies covers a wide range of investments and solutions, with diverse capabilities spanning across equity, fixed income and liquid alternative asset classes. Each asset class includes unique strategies managed by multiple proprietary investment teams, offering clients solutions that range in terms of geographic coverage, market capitalization and investment style.
- rigorous
research - disciplined
portfolio
management - client-centric
approach
we aim to deliver consistent and compelling investment outcomes for clients. Our differentiated team structure, which emphasizes independence and accountability, enhances the competitiveness and attractiveness of our comprehensive investment platform.
In 2024, Public Markets remained a key driver in delivering on Fiera Capital’s growth ambitions, bolstering our resilience amidst heightened volatility and shifting macroeconomic conditions. In a year where both equity and fixed income markets achieved positive returns, we continued to attract new clients globally and successfully increased our assets under management in Public Markets to $147.4 billion.
- C$147.4B
- AUM in Public Markets
Our strategies strive to offer clients consistent outperformance.

Public Markets Strategies
Equity
Fiera Capital’s differentiated Public Markets equity platform is focused on offering clients core active exposure to Canadian, foreign and emerging and frontier markets, as well as specialization in several niche products.
With investment capabilities that span across market capitalizations and investment styles, each strategy is actively managed by our experienced teams using consistent, rigorous and repeatable investment processes to balance positive alpha generation and capital preservation across different market cycles.
Fixed Income
Fiera Capital’s Public Markets fixed income platform features a diverse set of investment teams, each focused on integrating top-down macroeconomic views with thorough bottom-up credit selection to drive consistent, risk-adjusted returns.
Spanning across Canadian, U.S. and global geographies, with capabilities across the full maturity spectrum, Fiera Capital’s fixed income offering is composed of diversified strategies including core, core plus, credit and multi-sector fixed income, tailored to meet a wide range of client needs.
Balanced Investment Strategies
Fiera Capital manages a range of balanced investment solutions with unique risk profiles that cover the entire risk spectrum, presenting a suitable option for all investor profiles.
Our balanced investment solutions leverage our full investment platform, offering clients the option to invest in either public markets only or public- and private-market investment solutions. Fiera Capital seeks to generate positive risk-adjusted returns for our clients through strategic asset allocation, tactical asset allocation and underlying investment managers' returns.
Insurance Capabilities
Fiera Capital helps insurers create customized, capital-efficient solutions that balance multiple objectives and constraints, including risk/return preferences, income needs and accounting and regulatory considerations.
Our in-house optimization tools, developed by Fiera Capital’s experienced actuarial and investment professionals, are at the core of the portfolio construction process. Within an established risk budget, our team leverages market opportunities in equity, fixed income and private alternatives to maximize investment returns and improve capital ratios and financial statements for insurers.