portfolio risk management

Keyword: portfolio risk management

18 results found

In a year marked by unpredictability and an unexpected rift between Canada and the U.S., Sophie Leblanc wants to look forward in McGill University’s investment strategy and avoid pitfalls from short-term volatility. “I’m less concerned with short-term volatility,” says the university’s chief investment officer and treasurer. “There has been a lot of short-term volatility and […]

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Canadian pension plan sponsors are facing a risky landscape in 2025 regarding currency fluctuation between the Canadian and U.S. dollar. Asset owners with access to U.S. investments typically buy assets unhedged during risk-off periods, with the expectation that the U.S. dollar would appreciate and provide a natural offset, says Etienne Bordeleau, vice-president and portfolio manager […]

Multi-portfolio management platforms combine a diverse set of investment strategies under one roof — a diversity where risk management becomes both essential and intricate, said Mehmet Bayraktar, chief risk officer at AllianceBernstein Arya Partners, during a session at the Canadian Investment Review’s 2025 Risk Management Conference. “That whole idea of complementing and coming up with […]

In the face of increasing risk, large asset owners are turning to private market allocations, according to a new report by Mercer. The report, which surveyed asset owners representing more than US$2 trillion in assets collectively, found nearly half (45 per cent) of institutional investors increased their allocation to private markets. In the next year, […]

  • By: Staff
  • May 8, 2025 July 24, 2025
  • 11:00

Despite the fact most geopolitical shocks can cause serious social and emotional damage, they have less of an impact on stock returns than many investors realize, according to Seth Weingram, senior vice-president and director of client advisory at Acadian Asset Management, during the Canadian Investment Review’s 2024 Investment Innovation Conference. Indeed, when examining the market’s average […]

The Investment Management Corp. of Ontario is making its strategic allocation decisions based on a guideline of worldwide events that will shape investment themes for decades to come. Speaking during a session at the Canadian Investment Review’s 2024 Risk Management Conference, Nick Chamie (pictured left), the IMCO’s chief strategist and senior managing director of total portfolio […]

The Ontario Teachers’ Pension Plan is making four key appointments to its executive team, effective immediately. The investment organization has appointed Stephen McLennan as chief investment officer of asset allocation and Gillian Brown as CIO of public and private investments, as well as Jonathan Hausman as chief strategy officer and Nick Jansa as executive managing director. Read: […]

  • By: Staff
  • January 12, 2024 January 12, 2024
  • 15:00

A majority (77 per cent) of U.S.-based institutional investors expect interest rates and inflation to remain elevated in 2024, causing problems for risk assessments over the next year, according to a new survey by CoreData. The survey, which polled 100 U.S. institutional investors, found the number of investors concerned about the role of inflation over […]

  • By: Staff
  • November 16, 2023 November 16, 2023
  • 11:00

A centralized trading approach forms the backbone of the recently revamped British Columbia Investment Management Corp., offering a more protective process for its stakeholders, according to Carmen Firmani, senior manager of client relations at the BCI, speaking during the Canadian Investment Review’s 2023 Risk Management Conference. She detailed the BCI’s transformation from a passive to a […]

Despite recent uptick in U.S. commercial office real estate landlords defaulting on their loans, the chances of the same trend moving north of the border is low, says Jim Clayton, professor and Timothy R. Price chair in real estate and infrastructure with the Schulich School of Business at York University. Since the onset of the […]