Global Capabilities

The Investment division comprises portfolio management, research and dealing functions across Equities, Fixed Income, Multi-asset and Emerging Market Debt, Commodities and Real Estate. We have a broad range of products and solutions that meet investor demand at different phases of the economic and market cycle.

All investment activities are managed with the aim of delivering performance that meets or exceeds client objectives within specific risk parameters. We primarily assess investment performance relative to benchmark and peer group over a market cycle.

Assets under management and administration

CAD$757.7 billion 

Equities includes single country, regional and global funds, small and mid-cap funds, growth, value, quantitative strategies, and defensive strategies to reduce market risk.


Asia Pacific; Australia; Emerging markets; Europe; Global; Japan; Small and mid-cap; Quantitative equities; UK; US


CAD$292 billion

Fixed Income employs fundamental and quantitative approaches and is based on research-intensive, globally-integrated credit and macro capabilities.    


Aggregate and multi-strategy; Cash/liquidity; Convertibles; Credit; Emerging market debt; Asian fixed income; Global; Government; High yield; Insurance-linked securities; Tax-exempt

Fixed Income

CAD$154 billion

Multi-Asset offers a comprehensive range of customized solutions, pooled products and advisory services. We specialize in providing a consultative, solutions-based approach for clients.


Customised solutions; Liability-driven investments; Multi-asset strategies; Structured investments


CAD$148 billion

We manage emerging market debt, commodities and agriculture funds. Our Real Estate business manages a wide range of open and closed-end funds.      


Agriculture; Commodities; Currencies; Direct real estate; Emerging market debt absolute return; Gold and precious metals; Private equity funds of funds; Real estate securities


CAD$29 billion 

*All figures as of June 30, 2017