Fixed Income
Local and actively managed fixed income solutions
Innovative, tailored strategies
Our fixed income solutions are designed to meet the specific needs of pension funds, insurance companies, foundations and Indigenous communities. Supported by active portfolio management and disciplined risk control provided by in-house experts, our strategies focus on income stability, capital preservation and durable performance aligned with each client’s objectives.
Active Duration Bonds
Long-term thinking. Active performance.
Core Fixed Income
A stabilizing force built on depth and discipline.
Impact Fixed Income
Where performance meets measurable impact.
Corporate Bonds
Rigorous selection for all-weather performance.
Core Plus Bonds
Add value through a broad range of higher‑yielding, complementary investments.
Absolute Returns
Built to deliver uncorrelated value through a dynamic, best‑ideas approach.
Preferred Shares
Deliver strong income and steady long‑term value through a diversified portfolio of high‑quality issuers.
Active management guided by research, discipline, and sustainability.
Our fixed income strategies draw on in-house economic research and sustainability expertise, integrated into hands-on portfolio management to address income, risk and long-term objectives.
- Active and disciplined management
Our fixed income portfolios are actively managed to capitalize on market conditions and valuation opportunities, guided by a disciplined process and a long-term perspective.
- Independent macroeconomic analysis
Led by accomplished economist Yanick Desnoyers, whose experience spans the Central Bank as well as the buy- and sell-side, our Economics team brings a uniquely informed and independent perspective to every investment decision. Recognized for delivering actionable insights grounded in rigorous econometric analysis, the team produces advanced projections and research that inform strategy and support customized solutions for our clients. Their work guides risk management and helps position portfolios to navigate confidently through changing economic cycles.
- Sustainability considerations
Our approach integrates environmental, social and governance factors directly into investment decisions to manage long-term risks and create sustainable value. An in-house sustainability team works alongside portfolio managers to actively inform security selection, risk assessment and portfolio construction.
- Risk-aware diversification
Market risks are evaluated first to ensure that every exposure is properly compensated. Diversification is actively managed to control risk and support portfolio stability across changing market conditions.
We’re invested in your financial goals.
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