AGF Investments

since 1957
  • 501-1,000 employees
  • Financial Services

AGF Investments

AGF Investments is comprised of various subsidiaries of AGF Management Limited who manage and advise on a variety of investment solutions for clients globally. The investment teams draw upon and integrate fundamental and quantitative investing capabilities and research across the companies. AGF Investments’ disciplined approach, global mindset and eye to risk management have allowed us to continue to evolve and thrive as a diversified asset manager. AGF Investments’ teams embrace a culture of collaboration with the belief that an interconnected team leads to a better understanding of an interconnected world as we strive to deliver on investment objectives and provide an exceptional client experience.

AGF Investments’ offerings include a broad range of equity, fixed income, alternative and multi-asset strategies covering a spectrum of objectives from wealth accumulation and risk management to income-generating solutions. AGF Investments services a diverse client base from financial advisors and individual investors to institutional investors across the globe through segregated accounts, mutual funds, exchange-traded funds and separately managed accounts. AGF Investments entities only provide investment advisory services or offers investment funds in the jurisdiction where such firm and/or product is registered or authorized to provide such services.

Ukraine Talks Hit a Wall
  • 8 days ago

Timely insights from inside Washington.

Ukraine Talks Hit a Wall – AGF Perspectives
  • 8 days ago

Timely insights from inside Washington.

Equities | Canada
  • 9 days ago

Outlook: The main drivers of the Canadian equity market—banks, commodity companies, industrials and technology—continue to be well positioned moving forward.

Equities | Emerging Markets
  • 9 days ago

Outlook: Emerging Markets’ (EM) path could remain uneven and country specific, however, the current environment may offer an attractive entry point for investors.

Equities | Europe
  • 9 days ago

Outlook: Although it is never plain sailing in Europe, there are clear signs of improvement, and it may not be too late for investors to benefit.

Equities | Japan
  • 9 days ago

Outlook: The combination of steady macro conditions, improved governance, and industrial renewal supports the case for sustained outperformance relative to many other developed markets.

Equities | United States
  • 9 days ago

Outlook: Companies with positive earnings revisions, strong free cash flow and exposure to secular growth themes continue to attract capital, while those lacking operational leverage or pricing pow...

Fixed Income | Credit
  • 9 days ago

Outlook: With its combination of financial discipline, transparency, and reliable income characteristics, the asset class is increasingly viewed as a core component of portfolios.

Fixed Income | Currency
  • 9 days ago

Outlook: Supportive fiscal policy is among the catalysts that could benefit currencies in emerging markets and select developed markets.