Strategies

We currently offer the following investment strategies : Dynamic and Defensive

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Actively managed, high conviction portfolio comprised of a maximum of 25 stocks derived from proprietary quantitative models run against three broad North American indices (S&P/TSX Composite, S&P 500 and S&P 1000). This strategy can complement our clients’ more traditional, benchmark driven portfolios by focusing on strong capital growth using a dynamic investment process and active risk management.

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The strategy is an actively managed, high conviction portfolio invested in a maximum of 25 high quality companies defined as being sustainable businesses capable of generating stable cashflows with limited leverage. It aims to grow our clients’ core/benchmark driven portfolios in a stable and prudent manner through a defensive long term focused strategy with strong capital preservation during adverse markets.

Dynamic strategy Defensive strategy
Objective Significant wealth growth Prudent wealth management
Approach Quantitative and momentum driven Quantitative and fundamental driven
Investment horizon From 75-100% per annum From 10-25% per annum
Benchmark 1/3 S&P/TSX + 2/3 S&P 500 ($C) MSCI World, Net ($C)
Target return Benchmark + 5%, after fees Benchmark + 2%, after fees
Risk level High (up to 2 times the benchmark’s) Moderate, generally lower than benchmark
Country exposure Canada: 30 – 35%
United States: 65 – 70%
Canada: 0 – 25%
United States: 50 – 100%
Others: 0 – 25%
Sector exposure Minimum of 4 sectors
Maximum of 35% in anyone sector
Minimum of 4 sectors
Maximum of 35% in anyone sector

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