Private
Markets

Leading in private markets strategies

Total AUM (Assets under management)

$19.4B September 30, 2024

About Fiera Private Markets

Fiera Capital’s extensive offering of private markets strategies leverages the firm’s outstanding talent and execution capabilities to provide investors seeking to further diversify their portfolios with innovative solutions that offer the potential for higher growth, higher yields, stronger absolute returns and less volatility, along with a liquidity-risk premium.

Private markets solutions enable clients to address their capital-appreciation and income objectives while enjoying a measure of protection against inflation.

Key
Differentiators

  • Global investment perspective
    with mid-market focus
  • Access to diverse in-house
    private market solutions
  • Local expertise and networks
    to source opportunities
  • In-house expertise
    with a track record of
    delivering results
  • Demonstrated
    leadership in private
    markets investments
  • Time-tested institutional
    investment processes
  • Proprietary investment
    opportunity set and
    entrepreneurial mindset

Why Invest in Fiera Private Markets Assets?

As set out below, there are a number of compelling reasons for investing in private markets assets.1

Natural Capital

  • Historically Strong & Reliable Income Stream
  • Potential Diversification Benefits
  • Potential High Risk Adjusted Returns
  • Inflation Hedge
  • Less Vulnerability to Financial Market Volatility

Infrastructure

  • Historically Strong & Reliable Income Stream
  • Potential Diversification Benefits
  • Potential High Risk Adjusted Returns
  • Inflation Hedge
  • Less Vulnerability to Financial Market Volatility

Real Estate

  • Historically Strong & Reliable Income Stream
  • Potential Diversification Benefits
  • Potential High Risk Adjusted Returns
  • Inflation Hedge
  • Less Vulnerability to Financial Market Volatility

Private Credit

  • Historically Strong & Reliable Income Stream
  • Potential Diversification Benefits
  • Potential High Risk Adjusted Returns
  • Less Vulnerability to Financial Market Volatility

Infrastructure Private Debt

  • Historically Strong & Reliable Income Stream
  • Potential Diversification Benefits
  • Potential High Risk Adjusted Returns
  • Inflation Hedge
  • Less Vulnerability to Financial Market Volatility

Private Equity

  • Potential Diversification Benefits
  • Potential High Risk Adjusted Returns
  • Less Vulnerability to Financial Market Volatility
Natural Capital Infrastucture Real Estate Private Credit Infrastructure
Private Debt
Private Equity
Historically Strong & Reliable Income Stream Yes Yes Yes Yes Yes
Potential Diversification Benefits Yes Yes Yes Yes Yes Yes
Potential High Risk Adjusted Returns Yes Yes Yes Yes Yes Yes
Inflation Hedge Yes Yes Yes Yes
Less Vulnerability to Financial Market Volatility Yes Yes Yes Yes Yes Yes
The strategies presented in the above section are not intended for persons that are citizens of, domiciled or resident in, or entities registered in a country or jurisdiction in which its distribution, publication, provision or use would violate current laws and regulations.

Private Markets Strategies

Natural Capital

Natural Capital

  • Global Agriculture
  • Global Sustainable Timberland
Private Credit

Private Credit

  • Canadian Real Estate
  • European Real Estate
  • U.S. Real Estate
  • Australia & New Zealand Real Estate
  • Canadian Corporate
  • Private Credit Opportunities
  • North American Infrastructure
Infrastructure

Infrastructure

  • Global OECD, Mid-Market Core and Core-Plus
Private Equity

Private Equity

  • Global
Real Estate

Real Estate

  • Canada/U.K. Core
  • Canada/U.K. Value-Add
  • Canada/U.K. Development
  • Canada/U.S./Australia & New Zealand/European Debt
Diversified Private Markets Strategies

Diversified Private Markets Strategies

Private markets investments are speculative and involve a great deal of risk and are not suitable for all investors. There can be no assurance that the strategy or target objective will be successful. The overall performance of the strategy is dependent not only on investment performance but also on the ability of investment teams to source assets. Investment return and principal value will fluctuate so that an investor’s equity interests, if and when redeemed, may be worth more or less than original cost. The fees and expenses charged within the strategy may offset its total return. Exposure to currency fluctuations may have an impact on such strategy’s cash flow and asset values denominated in the currency of domicile. The use of leverage could increase the risks of an investment. Portfolio Investments may be subject to high levels of regulation which could result in risks related to delays in obtaining relevant permits or approvals. Neither Fiera Capital Corporation nor any of its affiliates are liable for any errors or omissions in the information or for any loss or damage suffered.

Contact Us

John Valentini