Fiera Capital

  • 501-1,000 employees
  • Financial Services

Fiera Capital

Fiera Capital is a leading independent asset management firm with a growing global presence and approximately CAD 155.3 billion in assets under management as of September 30, 2023. The Company delivers customized and multi-asset solutions across public and private market asset classes to institutional, financial intermediary and private wealth clients across North America, Europe and key markets in Asia. Fiera Capital's depth of expertise, diversified investment platform and commitment to delivering outstanding service are core to our mission of being at the forefront of investment management science to create sustainable wealth for clients.

Fiera Capital trades under the ticker FSZ on the Toronto Stock Exchange.

Headquartered in Montreal, Fiera Capital, with its affiliates in various jurisdictions, has offices in over a dozen cities around the world, including New York (U.S.), London (UK), and Hong Kong (SAR).

Fiera Capital Corporation does not provide investment advisory services, or offer investment funds, in the United States or to U.S. persons. In the U.S., asset management services are provided by the Firm’s U.S. affiliates, including Fiera Capital’s U.S. division, Fiera Capital Inc., which is registered with the U.S. Securities and Exchange Commission (SEC). Registration with the SEC does not imply a certain level of skill or training. Additional information about Fiera Capital Corporation, including the Firm's annual information form, is available on SEDAR at www.sedar.com. Additional information about Fiera Capital’s U.S. division is available in its annual Form ADV at www.sec.gov/iard.

For important disclosures related to Fiera Capital, please visit:
www.fieracapital.com/en/legal-notice

For important disclosures related to Fiera Capital’s US division, please visit:
us.fieracapital.com/important-disclosures/#goto-social-media-disclosures

Expertise

Canadian Equity, Global, International & US Equity, Canadian Fixed Income, Asset Allocation, and Non-traditional Investments

Fiera US SMID Cap Growth Q1 2025 Commentary
  • 1 day ago

US equity market returns generally turned negative for the first quarter of 2025 with the S&P 500 falling -4.30%. However, there was a huge divergence in performance by style.

Navigating Global Seas: Unleashing the Power of Global Multi-Sector Fixed Income Strategies
  • 16 days ago

Read our latest insights on how global multi-sector fixed income strategies can create diverse potential opportunities for investors.

Q2 2025 Investment Outlook & Portfolio Strategy
  • 16 days ago

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.

Building the Future – The Case for Infrastructure in LGPS Portfolios
  • 17 days ago

Decarbonisation, digitisation and demographic change are transforming infrastructure into one of the most exciting asset classes.

Eight Years Later: Reflecting on the Journey of Atlas Global Companies
  • 18 days ago

The Atlas Global Companies team reflect on the changing market landscapes, performance highs and economic challenges and how those experiences shape the team’s confidence in the road ahead since St...

Fiera Atlas Global Companies Strategy – Q1 2025 Investment Update
  • 24 days ago

In the debut edition of our Atlas Quarterly Update series, Sachin Sharma, Capability Specialist and Simon Steele, Lead Portfolio Manager of the Fiera Atlas Global Companies Strategy share valuable...

Global Asset Allocation Team Market Update – April 2025
  • 24 days ago

The first quarter ended on a softer note, with President Trump’s disruptive trade proposals and mounting stagflation fears driving investors out of risky assets.

European Real Estate Debt Q&A Video
  • 26 days ago

European real estate debt continues to gain prominence among institutional investors, offering the potential for attractive risk-adjusted returns and downside protection through senior secured posi...

Webinar: Growth, Appeal and Opportunity – The European Real Estate Debt Landscape
  • 1 month ago

European real estate debt continues to expand as a compelling asset class, driven by stricter bank regulations limiting traditional lending and a surge in borrower demand amid refinancing waves and...