AGF Investments

Est. 1957
501-1,000 employees Financial Services

About AGF Investments

AGF Investments is comprised of various subsidiaries of AGF Management Limited who manage and advise on a variety of investment solutions for clients globally. The investment teams draw upon and integrate fundamental and quantitative investing capabilities and research across the companies. AGF Investments’ disciplined approach, global mindset and eye to risk management have allowed us to continue to evolve and thrive as a diversified asset manager. AGF Investments’ teams embrace a culture of collaboration with the belief that an interconnected team leads to a better understanding of an interconnected world as we strive to deliver on investment objectives and provide an exceptional client experience.

AGF Investments’ offerings include a broad range of equity, fixed income, alternative and multi-asset strategies covering a spectrum of objectives from wealth accumulation and risk management to income-generating solutions. AGF Investments services a diverse client base from financial advisors and individual investors to institutional investors across the globe through segregated accounts, mutual funds, exchange-traded funds and separately managed accounts. AGF Investments entities only provide investment advisory services or offers investment funds in the jurisdiction where such firm and/or product is registered or authorized to provide such services.

Why AI’s Impact on Inflation Isn’t Straightforward
  • 18 Jun 2026

AGF Investments’ David Stonehouse explains why artificial intelligence is driving up prices in the short term but may be disinflationary over time.

Moving to the Beats: Why Corporate Earnings Growth is Anchoring Equity Markets
  • 27 May 2026

David discusses another impressive earnings season with guest Mike Archibald. John takes a well-deserved break.

What Resurgent Inflation Means for Investors
  • 26 May 2026

AGF Investments' Head of North American and Specialty Investments David Stonehouse explains how rising energy prices and geopolitical tensions are driving a more persistent inflation backdrop.

What it Takes to Create Value for Investors
  • 12 May 2026

AGF Perspectives sat down with John Porter, AGF Investments’ new Chief Investment Officer (CIO), to discuss his approach to asset management and why firms that are nimble, collaborative and willing...

Asset Allocation Committee’s Q2 2026 Update: Boosting Exposure to Canada
  • 22 Apr 2026

David Stonehouse, Head of North American and Specialty Investments at AGF Investments Inc., summarizes the latest quarterly update from the firm’s Asset Allocation Committee.

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  • 09 Apr 2026

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A Mix of Relief and Caution: What a Halt to the Iran War Could Mean for Markets
  • 08 Apr 2026

A two-week ceasefire between the United States and Iran is being met with positive vibes from investors, but caution may be warranted about a “return-to-normal” until a permanent halt to the war ca...

Helium: A Quiet Strategic Input Exposed by the Iran Conflict
  • 06 Apr 2026

While headlines around the escalating conflict involving Iran have focused on oil and liquefied natural gas (LNG), a far less visible — but strategically critical — commodity has moved abruptly int...

Are We There Yet? What’s Next for the Iran War and Markets
  • 30 Mar 2026

David Stonehouse, AGF Investments’ interim CIO, provides his analysis on the ongoing war and where opportunities may lie ahead for investors going forward.